STANTEC INC COM

STANTEC INC COM is a security (CUSIP 85472N109) tracked across SEC portfolio filings. 307 institutional managers reported $6.1B on Form 13F as of 2026-06-30; 12 registered fund positions totaling $18.2M via N-PORT as of 2026-05-31.

Summary

Top institutional holders (Form 13F)

Showing 15 of 307 managers by value.

ManagerLocationValueShares
VANGUARD GROUP INCValley Forge, PA$468.6M4,966,062
Jarislowsky, Fraser LtdMONTREAL, A8$440.3M4,082,124
BANK OF MONTREAL /CAN/TORONTO, A6$410.2M4,743,566
1832 Asset Management L.P.TORONTO, A6$339.3M3,927,603
ALLIANCEBERNSTEIN L.P.NASHVILLE, TN$326.9M3,463,970
Royal Bank of CanadaTORONTO, A6$324.9M3,760,103
MACKENZIE FINANCIAL CORPTORONTO ONTARIO, A6$268.4M3,105,136
Fiera Capital CorpMONTREAL, A8$174.0M2,016,034
FMR LLCBOSTON, MA$164.5M1,902,982
Pictet Asset Management Holding SACAROUGE, V8$133.8M1,940,375
MORGAN STANLEYNEW YORK, NY$131.6M1,522,921
Man Group plcLONDON, X0$131.1M1,520,891
MANUFACTURERS LIFE INSURANCE COMPANY, THEToronto, A6$120.5M1,394,724
GOLDMAN SACHS GROUP INCNEW YORK, NY$110.3M1,276,934
BANK OF AMERICA CORP /DE/CHARLOTTE, NC$98.6M1,140,686

Top fund holders (N-PORT)

FundRegistrantValue% of fund
Impax Ellevate Global Women's Leadership FundIMPAX FUNDS SERIES TRUST III$7.3M123.75%
BBR ALO Fund, LLC.BBR ALO Fund, LLC.$5.8M31.72%
BlackRock Balanced Fund, Inc.BlackRock Balanced Fund, Inc.$1.7M9.46%
VOYA GLOBAL EQUITY DIVIDEND & PREMIUM OPPORTUNITY FUNDVoya Global Equity Dividend & Premium Opportunity Fund$1.4M27.71%
BlackRock Balanced PortfolioBlackRock Series Fund, Inc.$833K17.90%
VOYA INFRASTRUCTURE, INDUSTRIALS & MATERIALS FUNDVoya Infrastructure, Industrials & Materials Fund$818K38.12%
Calvert International Responsible Index FundCalvert Responsible Index Series, Inc.$625K4.69%
VOYA GLOBAL ADVANTAGE & PREMIUM OPPORTUNITY FUNDVoya Global Advantage & Premium Opportunity Fund$452K27.71%
VIP International Index PortfolioVariable Insurance Products Fund II$344K2.72%
AB All Market Total Return PortfolioAB PORTFOLIOS$281K6.49%
Federated Hermes Global Allocation FundFederated Hermes Global Allocation Fund$13K0.43%
TIFF MULTI-ASSET FUNDTIFF Investment Program$-1.5M-10.63%

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