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Enbridge Income Fund Holdings Inc. | Mutual Funds

Mutual Funds that own Enbridge Income Fund Holdings Inc.

Name
Shares Held
% Shares Out
Change In Shares
% of Assets
As of Date
First Trust North American Energy Infrastructure Fund
2,820,888
2.29%
0
3.07%
09/05/2018
Manulife Monthly High Income Fund
2,802,033
2.27%
2,802,033
1.02%
12/31/2017
Investors Dividend Fund
2,342,480
1.9%
-500,000
0.49%
03/31/2018
Government Pension Fund - Global (The)
1,992,141
1.61%
941,980
0.01%
12/31/2017
MDPIM Dividend Pool
1,965,454
1.59%
798,530
3.03%
12/31/2017
Vanguard Total International Stock Index Fund
1,913,248
1.55%
25,600
0.01%
07/31/2018
RBC Canadian Equity Income Fund
1,805,000
1.46%
1,270,000
1.7%
12/31/2017
RBC Canadian Dividend Fund
1,251,225
1.01%
750,000
0.21%
05/31/2018
BMO Monthly Income Fund
999,900
0.81%
96,700
0.75%
03/31/2018
iShares S&P/TSX Canadian Dividend Aristocrats Index Fund
957,765
0.78%
0
3.37%
09/06/2018

About Enbridge Income Fund Holdings

View Profile
Address
200 Fifth Avenue Place
Calgary Alberta T2P 3L8
Canada
Employees -
Website http://www.enbridgeincomefund.com
Updated 09/14/2018
Enbridge Income Fund Holdings, Inc. operates as an close-ended investment fund, which engages in the investment in its fund. The fund's business comprises of the transportation, storage, and generation of energy. It operates through the following business segments: Liquid Pipelines, Gas Pipelines, and Green Power.