0001904373-22-000003.txt : 20220211
0001904373-22-000003.hdr.sgml : 20220211
20220211130713
ACCESSION NUMBER: 0001904373-22-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20211231
FILED AS OF DATE: 20220211
DATE AS OF CHANGE: 20220211
EFFECTIVENESS DATE: 20220211
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Caldwell Investment Management Ltd.
CENTRAL INDEX KEY: 0001904373
IRS NUMBER: 000000000
STATE OF INCORPORATION: A6
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-21806
FILM NUMBER: 22618883
BUSINESS ADDRESS:
STREET 1: 150 KING STREET WEST
STREET 2: SUITE 1702
CITY: TORONTO
STATE: A6
ZIP: M5H 1J9
BUSINESS PHONE: 14168625123
MAIL ADDRESS:
STREET 1: 150 KING STREET WEST
STREET 2: SUITE 1702
CITY: TORONTO
STATE: A6
ZIP: M5H 1J9
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001904373
XXXXXXXX
12-31-2021
12-31-2021
Caldwell Investment Management Ltd.
150 KING STREET WEST
SUITE 1702
TORONTO
A6
M5H 1J9
13F HOLDINGS REPORT
028-21806
N
Grant Patterson
Chief Compliance Officer
416-862-5123
Grant Patterson
Toronto
A6
02-11-2022
0
33
128045
false
INFORMATION TABLE
2
cim13ftabledec31final.xml
ALGONQUIN POWER & UTILITIES
COM
015857105
1452
100000
SH
SOLE
100000
0
0
AMDOCS LTD
SHS
G02602103
1556
20600
SH
SOLE
20600
0
0
AMPHENOL CORP
NEW CL A
032095101
1096
12600
SH
SOLE
12600
0
0
ANSYS INC
COM
03662Q105
1577
3860
SH
SOLE
3860
0
0
BK OF AMERICA CORP
COM
060505104
15698
350000
SH
SOLE
350000
0
0
BERRY GLOBAL GROUP INC
COM
08579W103
2128
28800
SH
SOLE
28800
0
0
BROADCOM INC
COM
11135F101
1867
2807
SH
SOLE
2807
0
0
BROADRIDGE FINL SOLUTIONS IN
COM
11133T103
3067
16700
SH
SOLE
16700
0
0
BROOKFIELD BUSINESS PARTNERS UNIT LTD L P
COM
G16234109
2086
45200
SH
SOLE
45200
0
0
CBOE GLOBAL MKTS INC
COM
12503M108
14322
110000
SH
SOLE
110000
0
0
CDW CORP
COM
12514G108
647
3170
SH
SOLE
3170
0
0
CGI INC
CL A SUB VTG
12532H104
1993
22410
SH
SOLE
22410
0
0
CISCO SYS INC
COM
17275R102
1005
15690
SH
SOLE
15690
0
0
DEVON ENERGY CORP
NEW COM
25179M103
1000
22900
SH
SOLE
22900
0
0
EVERCORE INC
CL A
29977A105
1342
9850
SH
SOLE
9850
0
0
INSPERITY INC
COM
45778Q107
1163
9900
SH
SOLE
9900
0
0
INSTALLED BUILDING PROD INC
COM
45780R101
1291
9300
SH
SOLE
9300
0
0
INTERCONTINENTAL EXCHANGE IN
COM
45866F104
15085
109565
SH
SOLE
109565
0
0
IPG PHOTONICS CORP
COM
44980X109
928
5350
SH
SOLE
5350
0
0
KEYSIGHT TECHNOLOGIES INC
COM
49338L103
1367
6565
SH
SOLE
6565
0
0
KKR & CO INC
COM
48251W104
15062
200000
SH
SOLE
200000
0
0
NUTRIEN LTD
COM
67077M108
7909
105300
SH
SOLE
105300
0
0
NUVEI CORP
SUB VTG SHS ADDED
67079A102
3314
49300
SH
SOLE
49300
0
0
QUEST DIAGNOSTICS INC
COM
74834L100
2433
14100
SH
SOLE
14100
0
0
S&P GLOBAL INC
COM
78409V104
2396
5071
SH
SOLE
5071
0
0
STANTEC INC
COM
85472N109
1976
35200
SH
SOLE
35200
0
0
TETRA TECH INC
NEW COM
88162G103
1570
9300
SH
SOLE
9300
0
0
TFI INTL INC
COM
87241L109
1880
16900
SH
SOLE
16900
0
0
TRICON RESIDENTIAL INC
COM NPV ADDED
89612W102
13275
877000
SH
SOLE
877000
0
0
UNITEDHEALTH GROUP INC
COM
91324P102
4251
8391
SH
SOLE
8391
0
0
VERISK ANALYTICS INC
COM
92345Y106
753
3300
SH
SOLE
3300
0
0
VISA INC
COM CL A
92826C839
1821
8300
SH
SOLE
8300
0
0
ZOETIS INC
CL A
98978V103
735
3000
SH
SOLE
3000
0
0