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Guardian Partners Inc.

Guardian Partners Inc.. CRD 324189

Guardian Partners Inc. logo

CRD: 324189

Guardian Partners Inc.

Toronto, Ontario, M5L 1
(416) 840-8001
$3.3B Total AUM
$3.3B Disc. AUM
-- 3Y CAGR
76 Employees
3,141 ADV. Clients
5 yrs Firm Age

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Firm Details

Custodian
Cibc Mellon · Fidelity/NFS
Clients
Retail and Institutional
Platforms
Available
Established Date
03-01-2021
Office Locations
1

Office Locations

Commerce Court West, 199 BAY Street, Suite 2700 Toronto, Ontario --

About Guardian Partners Inc.

Guardian Partners Inc. provides wealth management and custom-built investment solutions for many of Canada’s wealthiest individuals, families, and institutions. The team emphasizes independent, unbiased advice supported by thorough research and analysis, with portfolios tailored to client needs and long-term wealth preservation. As a wholly owned subsidiary of TSX-listed Guardian Capital Group, it brings the scale and stability of a 60+ year Canadian investment firm.

Team overview

-- AVG AGE
$109.8M AVG AUM / ADVISOR
$1.0M AVG AUM / CLIENT
2.7 yrs AVG TENURE
76 Employees
30 Advisory Reps
6 RIA Reps
5yrs Firm Age

Insights

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Asset Classes

Available

Client Personas

Available

CRM

Available

Custodian

Available

Investment Themes

Available

Investment Vehicles

Available

Services

Available

Technology

Available

Owner & Executives

A

ANDREW MICHAEL CHRISTODOULOU

DIRECTOR

CRD
--
Ownership
25% but less than 50%
Available
Available
Available
MARGO CHRISTINA FORSTER PAZIENZA

MARGO CHRISTINA FORSTER PAZIENZA

Chief Compliance Officer

CRD
--
Ownership
Less than 5%
Available
Available
Available

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Contacts

JOHN MATTHEW BAKER

JOHN MATTHEW BAKER

Vice President – Client Portfolio Manager

CRD
#1546644
Available
Available
Available
M

Mark Bodnar

--

CRD
#7073422
Available
Available
Available

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
10-22-2024
03-31-2025
03-31-2026
Category Assets AVG. Account size
Discretionary $3,294,238,414 $1,066,442
Non-Discretionary $0 --
Total $3,294,238,414 $1,066,442

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Separately Managed Accounts

Total SMA Asset: Available

Locked Total SMA
Equity - Exchange:
Available
Private Funds:
Available
Corporate - Investment Grade:
Available
Cash:
Available
Public Funds:
Available
Asset class Assets Assets %
Equity - Exchange Available Available
Private Funds Available Available
Corporate - Investment Grade Available Available
Cash Available Available
Public Funds Available Available
Total Available Available

13F Holdings | Q1 2026

Issuer Class CUSIP Ticker % Value
Available Available Available Available Available Available
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