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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

K.J. Harrison & Partners Inc

Quarter ended Q2 2025 · Filed August 5, 2025 · Accession 0001085146-25-004519

Total Value
$603.6M
Positions
183
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (183)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL167,032$34.3M5.68%
2MICROSOFT CORPMSFT55,044$27.4M4.54%
3AMAZON COM INCAMZN102,996$22.6M3.74%
4ROYAL BK CDA780087102155,965$20.5M3.40%
5META PLATFORMS INCMETA26,830$19.8M3.28%
6BERKSHIRE HATHAWAY INC DELBRK-A28,921$14.0M2.33%
7NVIDIA CORPORATIONNVDA75,732$12.0M1.98%
8BERKSHIRE HATHAWAY INC DELBRK-A16$11.7M1.93%
9FREEPORT-MCMORAN INCFCX240,541$10.4M1.73%
10CANADIAN IMPERIAL BK COMMCNDIF140,272$9.9M1.65%
11ALPHABET INCGOOG54,602$9.6M1.59%
12COSTCO WHSL CORP NEW22160K1058,587$8.5M1.41%
13NEWMONT CORPNEMCL141,287$8.2M1.36%
14AGNICO EAGLE MINES LTDAEM64,176$7.6M1.26%
15VISA INCV21,360$7.6M1.26%
16ALPHABET INCGOOG42,613$7.6M1.25%
17HOME DEPOT INCHD20,260$7.4M1.23%
18ISHARES BITCOIN TRUST ETFIBIT119,228$7.3M1.21%
19WASTE CONNECTIONS INCWCN39,123$7.3M1.21%
20SPROTT PHYSICAL GOLD TRSII274,198$6.9M1.15%
21MOODYS CORPMCO13,675$6.9M1.14%
22RB GLOBAL INCRBA62,949$6.7M1.11%
23JPMORGAN CHASE & CO.VYLD22,835$6.6M1.10%
24SELECT SECTOR SPDR TR81369Y80325,477$6.5M1.07%
25STRYKER CORPORATIONSYK16,185$6.4M1.06%
26TORONTO DOMINION BK ONTTORO82,198$6.0M1.00%
27BOSTON SCIENTIFIC CORPBSX54,409$5.8M0.97%
28MASTERCARD INCORPORATEDMA10,386$5.8M0.97%
29GOLDMAN SACHS GROUP INCGSCE8,239$5.8M0.97%
30BANK MONTREAL QUE06367110152,488$5.8M0.96%
31ENBRIDGE INCENNPF125,401$5.7M0.94%
32SPROTT PHYSICAL SILVER TRSII460,765$5.6M0.93%
33SPOTIFY TECHNOLOGY S ASPOT6,900$5.3M0.88%
34PURE STORAGE INC74624M10290,100$5.2M0.86%
35SHOPIFY INCSHOP44,227$5.1M0.84%
36BOEING COBA-PA23,100$4.8M0.80%
37HEICO CORP NEWHEI-A14,540$4.8M0.79%
38CANADIAN NAT RES LTD136385101151,665$4.8M0.79%
39SUNCOR ENERGY INC NEWSU124,572$4.7M0.77%
40BCE INCBCPPF209,800$4.6M0.77%
41MORGAN STANLEYMS-PQ32,909$4.6M0.77%
42TC ENERGY CORPTRPRF95,061$4.6M0.77%
43ELI LILLY & COLLY5,582$4.4M0.72%
44TECK RESOURCES LTDTCKRF107,020$4.3M0.72%
45STANTEC INCSTN39,500$4.3M0.71%
46BROOKFIELD CORP11271J10768,931$4.3M0.71%
47CELESTICA INCCLS27,000$4.2M0.70%
48OREILLY AUTOMOTIVE INC67103H10746,500$4.2M0.69%
49NORTH AMERN CONSTR GROUP LTD656811106259,642$4.1M0.69%
50CANADIAN PACIFIC KANSAS CITYCP47,530$3.8M0.62%
51CLEAN HARBORS INCCLH16,295$3.8M0.62%
52NUTRIEN LTDNTR63,656$3.7M0.61%
53UNILEVER PLCUNLYF60,000$3.7M0.61%
54SPDR S&P 500 ETF TRSPY5,830$3.6M0.60%
55SNOWFLAKE INCSNOW16,005$3.6M0.59%
56WATSCO INCWSO-B8,060$3.6M0.59%
57VSE CORPVSECU26,200$3.4M0.57%
58BANK NOVA SCOTIA HALIFAX06414910761,630$3.4M0.56%
59FTAI AVIATION LTDFTAIN29,200$3.4M0.56%
60ROBINHOOD MKTS INC77070010235,392$3.3M0.55%
61WALMART INCWMT33,404$3.3M0.54%
62SCHWAB CHARLES CORPSCHW-PJ34,943$3.2M0.53%
63NETFLIX INCNFLX2,359$3.2M0.52%
64ROCKET LAB CORPRKLB85,000$3.0M0.50%
65MANULIFE FINL CORP56501R10692,456$3.0M0.49%
66LIVE NATION ENTERTAINMENT INLYV19,400$2.9M0.49%
67TELUS CORPORATIONTU180,964$2.9M0.48%
68ADVANCED MICRO DEVICES INCAMD20,347$2.9M0.48%
69ENERFLEX LTDEFXT355,019$2.8M0.46%
70MSCI INCMSCI4,614$2.7M0.44%
71COPART INCCPRT50,214$2.5M0.41%
72VIZSLA SILVER CORPVZLA834,833$2.5M0.41%
73RIO TINTO PLCRTNTF41,250$2.4M0.40%
74S&P GLOBAL INCSPGI4,530$2.4M0.40%
75CRH PLCCRH25,820$2.4M0.39%
76MERCADOLIBRE INCMELI900$2.4M0.39%
77UNITED RENTALS INCURI3,100$2.3M0.39%
78ISHARES TR46428743225,470$2.2M0.37%
79HENRY SCHEIN INCHSIC30,000$2.2M0.36%
80TESLA INCTSLA6,841$2.2M0.36%
81NATERA INCNTRA12,800$2.2M0.36%
82VANECK ETF TRUST92189F10641,439$2.2M0.36%
83SOMNIGROUP INTERNATIONAL INCSGI30,000$2.0M0.34%
84ISHARES TR4642876559,458$2.0M0.34%
85FAIR ISAAC CORPFICO1,100$2.0M0.33%
86HOLOGIC INCHOLX30,500$2.0M0.33%
87GRACO INCGGG22,980$2.0M0.33%
88DOORDASH INCDASH8,010$2.0M0.33%
89ISHARES TR46428745723,200$1.9M0.32%
90UNITED PARKS & RESORTS INCPRKS40,000$1.9M0.31%
91MICRON TECHNOLOGY INCMU15,008$1.8M0.31%
92CORTEVA INCCTVA24,300$1.8M0.30%
93IMPINJ INCPI16,200$1.8M0.30%
94CISCO SYS INCCSCO25,303$1.8M0.29%
95ISHARES TR46428750728,000$1.7M0.29%
96FLUTTER ENTMT PLCG3643J1086,075$1.7M0.29%
97VANECK ETF TRUST92189F79125,159$1.7M0.28%
98CARVANA COCVNA5,000$1.7M0.28%
99GALLAGHER ARTHUR J & CO3635761095,104$1.6M0.27%
100INTUITIVE SURGICAL INCISRG3,004$1.6M0.27%
101PEMBINA PIPELINE CORPPPLOF43,060$1.6M0.27%
102PROCTER AND GAMBLE CO74271810910,110$1.6M0.27%
103CATERPILLAR INCCAT4,125$1.6M0.27%
104JANUS DETROIT STR TR47103U84531,000$1.6M0.26%
105SITIME CORPSITM7,000$1.5M0.25%
106BHP GROUP LTDBHPLF30,005$1.4M0.24%
107PFIZER INCPFE59,363$1.4M0.24%
108LULULEMON ATHLETICA INCLULU6,002$1.4M0.24%
109SPORTRADAR GROUP AGSRAD50,000$1.4M0.23%
110TAT TECHNOLOGIES LTDTATT45,000$1.4M0.23%
111SALESFORCE INCCRM5,006$1.4M0.23%
112TOAST INCTOST30,000$1.3M0.22%
113JANUS HENDERSON GROUP PLCJHG34,000$1.3M0.22%
114PIMCO ETF TR72201R83311,835$1.2M0.20%
115CAMECO CORPCCJ15,307$1.1M0.19%
116FORTIS INCFTRSF23,391$1.1M0.18%
117DRAFTKINGS INC NEWDKNG25,200$1.1M0.18%
118QXO INCQXO-PB50,000$1.1M0.18%
119REGENERON PHARMACEUTICALSREGN2,001$1.1M0.17%
120JOHNSON & JOHNSONJNJ6,871$1.0M0.17%
121DANAHER CORPORATION2358511025,265$1.0M0.17%
122CENOVUS ENERGY INCCVE74,836$1.0M0.17%
123THERMO FISHER SCIENTIFIC INCTMO2,378$964,1840.16%
124INTEL CORPINTC42,798$958,6750.16%
125AMETEK INCAME5,255$950,9450.16%
126ISHARES INC46434G76415,000$947,1000.16%
127DISNEY WALT CO2546871067,616$944,4600.16%
128CREDO TECHNOLOGY GROUP HOLDICRDO10,000$925,9000.15%
129CANADIAN NATL RY CO1363751028,583$892,6500.15%
130ACCENTURE PLC IRELANDACN2,840$886,1940.15%
131ABBOTT LABSABLZF6,265$852,1030.14%
132TUCOWS INCTCX42,291$833,5560.14%
133BROOKFIELD INFRAST PARTNERSG1625210124,555$821,0800.14%
134ZOETIS INCZTS4,685$730,6260.12%
135UGI CORP NEW90268110520,000$728,4000.12%
136THE TRADE DESK INC88339J10510,008$720,4760.12%
137ROPER TECHNOLOGIES INCROP1,225$694,3790.12%
138FEDEX CORPFDX3,020$686,4760.11%
139ZILLOW GROUP INCZ10,000$684,9000.11%
140LAMAR ADVERTISING CO NEWLAMR5,500$667,4800.11%
141BROOKFIELD INFRASTRUCTURE COBIPC15,985$663,8640.11%
142COLGATE PALMOLIVE COCL7,130$648,1170.11%
143MERCK & CO INCMRK8,150$645,1540.11%
144CADENCE DESIGN SYSTEM INCCDNS2,004$617,5330.10%
145TELESAT CORPTSAT25,400$616,9870.10%
146UNITEDHEALTH GROUP INCUNH1,924$600,2300.10%
147TAIWAN SEMICONDUCTOR MFG LTD8740391002,575$583,2120.10%
148SHERWIN WILLIAMS COSHW1,587$544,9120.09%
149UNION PAC CORPUNP2,350$540,6880.09%
150ISHARES TR4642882573,860$496,3960.08%
151AMRIZE LTDAMRZ10,000$495,5000.08%
152ISHARES TR4642876221,443$490,0000.08%
153LATTICE SEMICONDUCTOR CORPLSCC10,000$489,9000.08%
154ISHARES TR46428723410,000$482,4000.08%
155SPDR SERIES TRUST78464A8705,800$480,9940.08%
156RAMBUS INC DELRMBS7,500$480,1500.08%
157BLOOM ENERGY CORPBE20,000$478,4000.08%
158STARBUCKS CORPSBUX5,004$458,5170.08%
159THOMSON REUTERS CORPTMSOF2,275$456,6340.08%
160BROOKFIELD ASSET MANAGMT LTD1130041057,959$439,6910.07%
161GILEAD SCIENCES INCGILD3,678$407,7800.07%
162INTUITINTU500$393,8150.07%
163VAIL RESORTS INCMTN2,500$392,8250.07%
164SUN LIFE FINANCIAL INC.SUNFF5,699$378,4990.06%
165BOOKING HOLDINGS INCBKNG62$358,9330.06%
166NEXTERA ENERGY INCNEE-PW4,649$322,7340.05%
167SPROTT INCSII4,608$317,9290.05%
168ISHARES TR46429B5985,677$315,7550.05%
169EMERA INCEMRJF6,687$305,7500.05%
170BP PLCBPPFF10,000$299,3000.05%
171SOUTH BOW CORPSOBO11,166$289,3190.05%
172EATON CORP PLCETN805$287,3770.05%
173DESCARTES SYS GROUP INC2499061082,815$285,4200.05%
174ISHARES TR4642894381,138$280,5280.05%
175BANK AMERICA CORP0605051045,771$273,0840.05%
176SPDR GOLD TRGLD853$260,0200.04%
177BROOKFIELD RENEWABLE PARTNERG1625810810,000$254,4890.04%
178AUTOMATIC DATA PROCESSING INADP801$247,0280.04%
179CCC INTELLIGENT SOLUTIONS HLCCC24,700$232,4270.04%
180APPLOVIN CORPAPP644$225,4520.04%
181GRAYSCALE ETHEREUM TRUST ETF38963810710,000$208,7000.03%
182ROGERS COMMUNICATIONS INCRCIAF7,014$207,6490.03%
183METTLER TOLEDO INTERNATIONALMTD172$202,0520.03%