|
|
2025-11-21 04:00 PM |
HEB |
Hamilton Canadian Bank Equal-Weight Index ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
25.31 |
937.40 m |
37.00 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HFG |
Hamilton Global Financials ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
31.38 |
60.00 m |
1.90 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HFIN |
Hamilton Enhanced Canadian Financials ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
24.76 |
266.50 m |
10.70 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HMAX |
Hamilton Canadian Financials YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
15.70 |
1.70 b |
109.90 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HUTS |
Hamilton Enhanced Utilities ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
14.39 |
158.10 m |
10.90 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HYLD.U |
Hamilton Enhanced U.S. Covered Call ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
15.27 |
71.60 m |
4.60 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
HYLD |
Hamilton Enhanced U.S. Covered Call ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
14.36 |
889.60 m |
61.90 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
LMAX |
Hamilton Healthcare YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
14.75 |
151.80 m |
10.20 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
QMAX |
Hamilton Technology YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
22.45 |
665.50 m |
29.60 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
RMAX |
Hamilton REITs YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
16.32 |
106.00 m |
6.40 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
SMAX |
Hamilton U.S. Equity YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
20.60 |
830.10 m |
40.30 m |
TSX |
|
|
|
|
2025-11-21 04:00 PM |
UMAX |
Hamilton Utilities YIELD MAXIMIZER TM ETF |
Hamilton ETFs Announces November 2025 Monthly & Upcoming Semi-Monthly Cash Distributions
|
13.51 |
928.30 m |
68.70 m |
TSX |
|
|
|
|
2025-11-21 03:50 PM |
PMC |
Peloton Minerals Corporation |
Notice of Private Placement Grant of Stock Options and Share Appreciation Rights Units
|
0.110 |
15.20 m |
138.70 m |
CSE |
|
Private placement
Stock options
|
|
|
2025-11-21 03:50 PM |
SCM |
Steadright Critical Minerals Inc. |
Steadright Closes First Tranche Of Unit Offering And Announces CFO Appointment
|
0.200 |
8.10 m |
40.60 m |
CSE |
|
Private placement
Management changes
|
|
|
2025-11-21 03:30 PM |
CNVI |
Conavi Medical Corp. |
Conavi Medical Corp. Announces Proposed Public Offering of Common Shares and Pre-Funded Warrants
|
0.59 |
45.20 m |
76.70 m |
TSXV |
|
|
|
|
2025-11-21 03:30 PM |
PESO |
Pesorama Inc. |
PesoRama Announces First Closing of Equity Financing
|
0.250 |
35.40 m |
141.90 m |
TSXV |
|
|
|
|
2025-11-21 03:30 PM |
ICPB |
IA Clarington Core Plus Bond Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
9.49 |
76.10 m |
8.00 m |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
IFRF |
IA Clarington Floating Rate Income Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
7.81 |
1.90 m |
250.00 k |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
IGAF |
IA Clarington Loomis Global Allocation Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
16.30 |
50.90 m |
3.10 m |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
IGEO |
IA Clarington Loomis Global Equity Opportunities Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
15.52 |
4.80 m |
310.00 k |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
ILGB |
IA Clarington Loomis Global Multisector Bond Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
9.03 |
18.20 m |
2.00 m |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
ISCB |
IA Clarington Strategic Corporate Bond Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
10.84 |
3.50 m |
325.00 k |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
ISIF |
IA Clarington Strategic Income Fund |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
12.84 |
2.20 m |
175.00 k |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
IWEB |
IA Wealth Enhanced Bond Pool |
iA Clarington Investments announces November 2025 distributions for Active ETF Series
|
10.85 |
1.10 m |
110.00 k |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
PZA |
Pizza Pizza Royalty Corp. |
PIZZA PIZZA ROYALTY CORP. ANNOUNCES NOVEMBER DIVIDEND
|
14.83 |
494.60 m |
33.30 m |
TSX |
|
|
|
|
2025-11-21 03:30 PM |
ZEN |
Zentek Ltd. |
Zentek Receives CRA Notice of Reassessment for 2019
|
1.05 |
112.60 m |
107.30 m |
TSXV |
|
|
|
|
2025-11-21 03:23 PM |
NACO |
NINEPOINT ALTERNATIVE CREDIT OPPORTUNITIES FUND |
Ninepoint Partners Announces November 2025 Cash Distributions for its ETFs and ETF Series Securities
|
17.37 |
2.60 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:23 PM |
NBND |
NINEPOINT DIVERSIFIED BOND FUND |
Ninepoint Partners Announces November 2025 Cash Distributions for its ETFs and ETF Series Securities
|
18.89 |
1.50 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:23 PM |
NRGI |
NINEPOINT ENERGY INCOME FUND |
Ninepoint Partners Announces November 2025 Cash Distributions for its ETFs and ETF Series Securities
|
18.78 |
111.40 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:23 PM |
TIF |
NINEPOINT TARGET INCOME FUND |
Ninepoint Partners Announces November 2025 Cash Distributions for its ETFs and ETF Series Securities
|
19.74 |
987.00 k |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:10 PM |
HILL |
Hill Incorporated |
Hill Incorporated Makes Assignment in Bankruptcy Under the Bankruptcy and Insolvency Act (Canada)
|
0.170 |
558.00 k |
3.20 m |
TSXV |
|
|
|
|
2025-11-21 03:05 PM |
CBL |
Franklin Core ETF Portfolio |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
23.54 |
2.30 m |
100.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
CNV |
Franklin Conservative Income ETF Portfolio |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
21.71 |
26.00 m |
1.20 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
EQY |
Franklin All-Equity ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
25.82 |
2.50 m |
100.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FBGO |
Franklin Brandywine Global Sustainable Income Optimiser Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
17.55 |
21.90 m |
1.20 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FCII |
Franklin ClearBridge Sustainable Global Infrastructure Income Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
25.82 |
15.40 m |
600.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FCSI |
Franklin ClearBridge Sustainable International Growth Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
26.41 |
5.20 m |
200.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FGGE |
Franklin Global Growth Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
25.35 |
13.90 m |
550.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FGOV |
Franklin Canadian Government Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
20.95 |
9.40 m |
450.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FHIS |
Franklin Canadian Ultra Short Term Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
20.99 |
283.30 m |
13.50 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FINO |
Franklin Innovation Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
29.93 |
7.40 m |
250.00 k |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FLAM |
FRANKLIN FTSE U.S. INDEX ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
52.29 |
402.60 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:05 PM |
FLCD |
FRANKLIN FTSE CANADA ALL CAP INDEX ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
39.11 |
271.80 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:05 PM |
FLCI |
Franklin Canadian Corporate Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
18.31 |
19.20 m |
1.00 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FLCP |
Franklin Canadian Core Plus Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
18.20 |
148.30 m |
8.00 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FLEM |
FRANKLIN EMERGING MARKETS EQUITY INDEX ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
21.69 |
15.10 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:05 PM |
FLGA |
Franklin Global Core Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
19.09 |
430.40 m |
22.50 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FLJA |
FRANKLIN FTSE JAPAN INDEX ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
32.34 |
67.90 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:05 PM |
FLSD |
Franklin Canadian Short Term Bond Fund |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
19.47 |
63.20 m |
3.20 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
FLUR |
FRANKLIN INTERNATIONAL EQUITY INDEX ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
34.11 |
306.90 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 03:05 PM |
FLUS |
Franklin U.S. Large Cap Multifactor Index ETF |
Franklin Templeton Canada Announces ETF Cash Distributions and Estimated Annual Reinvested Distributions
|
54.56 |
103.60 m |
1.90 m |
TSX |
|
|
|
|
2025-11-21 03:05 PM |
GGO |
Galleon Gold Corp. |
Galleon Gold Announces Issuance of Shares for Interest Payment on Convertible Debentures
|
0.61 |
46.80 m |
76.80 m |
TSXV |
|
Debt & loans
|
|
|
2025-11-21 03:05 PM |
SPRK |
Spark Energy Minerals Inc Com |
Spark Energy Minerals Announces Non-Brokered Private Placement to Fund Near-Term Drilling at Arapaima
|
0.050 |
5.50 m |
110.40 m |
CSE |
|
Private placement
|
|
|
2025-11-21 03:00 PM |
LYCT |
Lysander-Canso Corporate Treasury ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.52 |
4.20 m |
400.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
LYFR |
Lysander-Canso Floating Rate ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.12 |
6.00 m |
600.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
PR |
Lysander-Slater Preferred Share ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.25 |
83.90 m |
8.10 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
LYCT |
Lysander-Canso Corporate Treasury ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.52 |
4.20 m |
400.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
LYFR |
Lysander-Canso Floating Rate ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.12 |
6.00 m |
600.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
PR |
Lysander-Slater Preferred Share ActivETF |
Lysander Announces Cash Distributions for the Lysander ActivETFs
|
10.25 |
83.90 m |
8.10 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
BKCC |
Global X Equal Weight Canadian Bank Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
16.03 |
279.40 m |
17.40 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
BKCL |
Global X Enhanced Equal Weight Canadian Banks Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
21.76 |
147.60 m |
6.70 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
BNKL |
Global X Enhanced Equal Weight Banks Index ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
35.24 |
16.70 m |
450.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
CANL |
Global X Enhanced S&P/TSX 60 Index ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
31.23 |
4.60 m |
150.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
CASH |
Global X High Interest Savings ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
50.06 |
6.70 b |
135.20 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
CBIL |
Global X 0-3 Month T-Bill ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
50.09 |
1.50 b |
31.70 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
CNCC |
Global X S&P/TSX 60 Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
13.34 |
126.60 m |
9.40 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
CNCL |
Global X Enhanced S&P/TSX 60 Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
21.79 |
15.90 m |
730.10 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
ENCC |
Global X Canadian Oil and Gas Equity Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
10.95 |
640.50 m |
58.30 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
ENCL |
Global X Enhanced Canadian Oil and Gas Equity Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
19.10 |
258.50 m |
13.40 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
EQCC |
Global X All-Equity Asset Allocation Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
21.57 |
10.20 m |
475.00 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
EQCL |
Global X Enhanced All-Equity Asset Allocation Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
23.40 |
48.20 m |
2.00 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
GLCC |
Global X Gold Producer Equity Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
49.66 |
530.50 m |
10.60 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
GRCC |
Global X Growth Asset Allocation Covered Call ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
22.47 |
11.80 m |
525.80 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HAB |
Global X Active Corporate Bond ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
10.37 |
284.30 m |
27.40 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HAD |
Global X Active Canadian Bond ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
9.16 |
47.20 m |
5.10 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HAF |
Global X Active Global Fixed Income ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
6.96 |
62.00 m |
8.90 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HBAL |
Global X Balanced Asset Allocation ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
17.25 |
159.30 m |
9.20 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HBNK |
Global X Equal Weight Canadian Banks Index ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
32.23 |
1.00 b |
31.80 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HCON |
Global X Conservative Asset Allocation ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
14.75 |
43.60 m |
2.90 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HEQL |
Global X Enhanced All-Equity Asset Allocation ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
32.22 |
11.20 m |
300.10 k |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HEQT |
Global X All-Equity Asset Allocation ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
20.73 |
295.70 m |
14.20 m |
TSX |
|
|
|
|
2025-11-21 03:00 PM |
HFR |
Global X Active Ultra-Short Term Investment Grade Bond ETF |
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
|
10.12 |
505.80 m |
50.00 m |
TSX |
|
|
|
|
2025-11-21 02:56 PM |
PGZ |
Pan Global Resources Inc. |
PAN GLOBAL EXTENDS CLOSING DATE OF OFFERING
|
0.150 |
45.60 m |
304.20 m |
TSXV |
|
Private placement
|
|
|
2025-11-21 02:44 PM |
BECN |
Beacn Wizardry & Magic Inc. |
Canadian Investment Regulatory Organization Trading Halt - BECN
|
0.035 |
1.90 m |
56.60 m |
TSXV |
|
|
|
|
2025-11-21 02:44 PM |
BECN |
Beacn Wizardry & Magic Inc. |
Canadian Investment Regulatory Organization Trading Halt - BECN
|
0.035 |
1.90 m |
56.60 m |
TSXV |
|
|
|
|
2025-11-21 02:29 PM |
SOM |
SOMNOMED FPO [SOM] |
KILL SomnoMed® Increases Investment in Managed Care Infrastructure
|
0.79 |
107.50 m |
0 |
AU |
|
|
|
|
2025-11-21 02:22 PM |
DRM |
DREAM Unlimited Corp. Class A Subordinate Voting Shares |
Dream Unlimited Corp.'s Interest in Dream Impact Trust Deemed to Have Increased
|
17.71 |
744.20 m |
42.00 m |
TSX |
|
|
|
|
2025-11-21 02:22 PM |
MPCT.UN |
Dream Impact Trust |
Dream Unlimited Corp.'s Interest in Dream Impact Trust Deemed to Have Increased
|
1.28 |
23.50 m |
18.40 m |
TSX |
|
|
|
|
2025-11-21 02:15 PM |
BECN |
Beacn Wizardry & Magic Inc. |
BEACN Announces $700,000 Non-Brokered Private Placement
|
0.035 |
1.90 m |
56.60 m |
TSXV |
|
|
|
|
2025-11-21 02:13 PM |
T |
TELUS Corporation |
The TELUS Friendly Future Foundation and Belonging Network announce $1M bursary partnership
|
18.84 |
29.10 b |
1.50 b |
TSX |
|
|
|
|
2025-11-21 02:13 PM |
T |
TELUS Corporation |
The TELUS Friendly Future Foundation and Belonging Network announce $1M bursary partnership
|
18.84 |
29.10 b |
1.50 b |
TSX |
|
|
|
|
2025-11-21 02:07 PM |
NSAV |
NINEPOINT CASH MANAGEMENT FUND |
Ninepoint Partners Announces Estimated November 2025 Cash Distributions for Ninepoint Cash Management Fund - ETF Series
|
50.39 |
29.10 m |
0 |
NEO-L |
|
|
|
|
2025-11-21 02:05 PM |
WMT |
WALMART CDR |
Kefir-Leader Lifeway Foods Expands Farmer Cheese Distribution to 2,000 Walmart Stores Across the U.S.
|
45.01 |
1.10 t |
25.60 b |
NEO-L |
|
|
|
|
2025-11-21 01:51 PM |
DGS.PR.A |
Dividend Growth Split Corp. Preferred Shares |
Brompton Funds Declare Split Share Fund Distributions
|
10.60 |
354.10 m |
48.10 m |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
DGS |
Dividend Growth Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
7.36 |
354.10 m |
48.10 m |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
ESP |
Brompton Energy Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
4.87 |
4.00 m |
822.40 k |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
GDV |
Global Dividend Growth Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
11.79 |
155.70 m |
13.20 m |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
LBS |
Life & Banc Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
10.83 |
381.10 m |
35.10 m |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
LCS |
Brompton Lifeco Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
9.87 |
89.00 m |
9.00 m |
TSX |
|
|
|
|
2025-11-21 01:51 PM |
PWI |
Sustainable Power & Infrastructure Split Corp. Class A Shares |
Brompton Funds Declare Split Share Fund Distributions
|
10.08 |
37.60 m |
3.70 m |
TSX |
|
|