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Companies 10,110
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Symbol Company Price Market cap AVG Vol 30D YTD days gain/loss 7 days gain/loss 30 days gain/loss 90 days gain/loss 200 days gain/loss

EVT

Economic Investment Trust Limited 167.19 913.00 m 423.00 1.95% 2.89% -3.57% 4.10% 22.54%

CPU

Computershare Ltd - Ordinary Shares 34.61 20.50 b 1.30 m 1.94% 1.02% 5.26% 37.83% 29.43%

MUSA

Middlefield U.S. Equity Dividend ETF 23.19 54.70 m 304.00 1.94% 0.16% 3.61% 15.77% 18.02%

ARTI

Evolve Artificial Intelligence Fund 11.95 2.90 m 1.50 k 1.94% -0.58% 3.61% 13.33% 11.35%

FTS.PR.I

Fortis Inc. Cumulative Redeemable Floating Rate First Preference Shares Series I 16.80 8.30 b 1.90 k 1.94% 3.07% 0.90% 1.93% 10.41%

IIQ

Inoviq Ltd 0.53 48.30 m 167.20 k 1.94% 7.14% 1.94% 9.38% -15.32%

KNGU

Brompton U.S. Cash Flow Kings ETF 10.87 0 1.10 k 1.94% 1.13% -2.61% 9.21% 13.35%

HR.UN

H&R Real Estate Investment Trust 9.46 2.60 b 769.20 k 1.94% 2.94% -1.38% -12.82% 11.03%

MCDS

MCDONALD'S CDR 25.78 18.40 b 11.50 k 1.94% 0.31% -0.08% -2.83% 16.61%

ESGY

BMO MSCI USA ESG Leaders Index ETF 60.48 2.20 b 832.00 1.94% -0.03% 0.73% 11.02% 13.45%

PDL

Petra Diamonds - Ordinary Shares 0 0 242.70 k 1.94% -0.63% -5.11% 1.94% -24.76%

FGGE

Franklin Global Growth Fund 25.67 16.60 m 263.00 1.93% 0.58% -3.26% 5.52% 12.16%

RMS

RAMELIUS FPO [RMS] 2.11 2.40 b 3.40 m 1.93% -0.94% 1.93% 0.48% 14.67%

RUD

RBC Quant U.S. Dividend Leaders ETF 25.91 204.60 m 13.20 k 1.93% 0.44% -0.22% -63.31% -61.75%

IPD

IMPEDIMED FPO [IPD] 0.053 107.20 m 906.50 k 1.92% 3.92% 0.00% -11.67% -24.29%

UDI

Zeus North America Mining Corp. 0.265 2.30 m 118.00 1.92% 0 6.00% -1.85% -24.29%

LCX

Lycos Energy Inc. 2.65 141.00 m 20.00 k 1.92% 2.32% -5.02% -9.25% -23.19%

SSM

SRVSTREAM FPO [SSM] 1.59 979.30 m 826.80 k 1.92% 1.27% -5.07% 6.00% 28.23%

PRM

Big Pharma Split Corp. Class A Shares 13.26 20.00 m 1.80 k 1.92% -0.28% 0.47% -4.08% -1.32%

BPS.PR.A

Brookfield Property Split Corp. Class A senior preferred shares Series 2 25.50 22.90 b 169.00 1.92% 2.62% 3.48% 3.90% 5.41%

ZWT

BMO Covered Call Technology ETF 53.68 147.80 m 6.20 k 1.92% -0.37% 4.71% 16.81% 15.28%

TXF

CI Tech Giants Covered Call ETF 21.26 652.70 m 22.90 k 1.92% -0.14% -1.13% 1.59% 6.65%

HSU

BetaPro S&P 500 2x Daily Bull ETF 26.10 162.10 m 362.00 k 1.91% -1.14% -4.26% 6.70% 12.79%

KLS

Kelsian Group Ltd 3.73 1.00 b 549.10 k 1.91% 2.19% -4.11% -7.90% -25.10%

GDI

GDI Integrated Facility Services Inc. Subordinate Voting Shares 40.00 939.10 m 5.80 k 1.91% 4.03% 11.02% 9.59% 26.58%

COPP

Global X Copper Producers Index ETF 31.77 12.00 m 790.00 1.91% -0.09% -7.26% -13.74% -7.50%

QQQT

Evolve NASDAQ Technology Index Fund 31.49 22.80 m 2.60 k 1.91% -0.50% 2.67% 6.38% 1.26%

ABBV

ABBVIE CDR 26.16 46.20 b 11.90 k 1.91% 1.71% -0.53% -7.08% 7.69%

QQQX

Global X Nasdaq-100 Index ETF 33.67 0 2.70 k 1.91% -0.53% 3.16% 14.83% 12.87%

HUF.U

Horizons Active Ultra-Short Term US Investment Grade Bond ETF 10.07 11.80 m 648.00 1.91% 0.40% 0.70% 2.11% 4.73%

HXQ

Global X Nasdaq-100 Index Corporate Class ETF 88.19 1.00 b 37.60 k 1.91% -0.52% 3.15% 14.97% 13.02%

TXF.U

CI Tech Giants Covered Call ETF 11.25 10.10 m 198.00 1.91% -0.09% -0.80% 2.19% 7.49%

CBON.U

NINEPOINT CARBON CREDIT ETF 17.65 794.20 k 90.00 1.91% 4.19% 4.87% 14.91% -3.39%

KPG

Kelly Partners Group Holdings Ltd 10.70 481.50 m 45.60 k 1.90% -0.09% 10.88% 42.67% 42.67%

CEF

Sprott Physical Gold and Silver Trust 34.84 7.40 b 13.80 k 1.90% 1.37% 0.84% 2.92% 15.21%

SSG

SHAVERSHOP FPO [SSG] 1.34 175.50 m 89.10 k 1.90% 2.29% 5.10% 6.35% 17.54%

URB

Urbana Corporation 5.90 244.20 m 1.40 k 1.90% 0.85% 4.42% 7.47% 7.27%

WOR

Worley Ltd 13.96 7.30 b 2.00 m 1.90% 2.27% 4.10% -4.97% -0.64%

DXUS

Dynamic Active U.S. Equity ETF 31.16 33.40 m 3.90 k 1.90% -0.19% 1.43% 12.01% 13.27%

ADN

Acadian Timber Corp. 17.75 311.20 m 5.10 k 1.89% 0.65% 1.55% 1.78% 8.95%

TEC

TD Global Technology Leaders Index ETF 46.85 3.10 b 73.70 k 1.89% -0.52% 4.40% 17.75% 16.55%

AMZH.U

Harvest Amazon High Income Shares ETF 14.03 0 20.00 k 1.89% -0.09% 3.73% 19.08% 0

BTB.DB.G

BTB Real Estate Investment Trust Series G 6.00% convertible unsecured subordinated debentures 99.85 8.80 b 15.30 k 1.89% -0.01% -0.15% 0.33% 0.86%

FDI

Findev Inc. 0.54 15.40 m 5.80 k 1.89% 21.35% 27.35% 31.95% 41.99%

CMP

COMPUMEDIC FPO [CMP] 0.270 47.80 m 28.50 k 1.89% 1.89% 0.00% -10.00% -18.18%

XND

Xander Resources Inc. 0.270 452.80 k 3.60 k 1.89% 1.89% -3.57% -40.00% -46.00%

CTP

CENT PETRL FPO [CTP] 0.054 39.90 m 484.90 k 1.89% 3.85% 10.20% 8.00% -10.00%

FEX

Fenix Resources Ltd 0.270 187.50 m 1.00 m 1.89% 3.85% -6.90% 0.00% -15.63%

ORR

Oriole Resources PLC - Ordinary Shares 0 0 13.80 m 1.89% 3.05% -4.26% -15.63% -27.03%

GWM

Galway Metals Inc. 0.54 51.50 m 37.90 k 1.89% 9.09% 1.89% -19.40% 54.29%

ENB.PF.C

Enbridge Inc. cumulative redeemable preference shares series 11 20.01 43.50 b 20.60 k 1.88% 2.35% 6.72% 11.13% 26.16%

PRA

Purpose Diversified Real Asset Fund 29.23 60.60 m 1.00 k 1.88% 2.20% -1.23% 1.32% 8.12%

CGI

Canadian General Investments Limited 41.24 860.30 m 4.00 k 1.88% 2.03% 0.05% 6.09% 14.56%

HPF.U

Harvest Energy Leaders Plus Income ETF 3.77 1.90 m 414.00 1.88% 3.96% -4.83% -6.42% -2.24%

DATA.B

Evolve Cloud Computing Index Fund 32.07 2.40 m 554.00 1.87% -0.62% 1.04% 22.45% 28.16%

IIP.UN

InterRent Real Estate Investment Trust 10.34 1.50 b 522.00 k 1.87% 2.82% -2.04% -16.46% -10.00%

EVN

EVOLUTION FPO [EVN] 4.90 9.70 b 5.50 m 1.87% 0.62% 0.20% 8.41% 36.87%

BBD.PR.C

Bombardier Inc. 6.25% Series 4 Cumulative Redeemable Preferred Shares 21.80 2.10 b 5.40 k 1.87% 2.83% 4.06% 1.46% 18.53%

VUL

Vulcan Energy Resources Ltd 5.45 937.70 m 954.90 k 1.87% -1.62% -15.37% 29.45% 27.63%

ZEO

BMO Equal Weight Oil & Gas Index ETF 74.13 221.80 m 8.90 k 1.87% 3.81% -1.62% 0.11% 10.89%

BN.PR.N

Brookfield Corporation Cumulative Class A Preference Shares Series 18 19.08 28.70 b 5.20 k 1.87% 2.86% 1.54% -1.35% 15.03%

QQQY

Evolve NASDAQ Technology Enhanced Yield Index Fund 26.17 21.50 m 21.10 k 1.87% -0.55% 1.66% 6.12% 3.10%

ENCL

Global X Enhanced Canadian Oil and Gas Equity Covered Call ETF 19.10 77.40 m 134.60 k 1.87% 3.79% -3.20% -0.95% 9.47%

SOMA

Soma Gold Corp. 0.55 50.40 m 57.80 k 1.85% 1.85% 0.00% -1.79% -3.51%

NRGY

Global X Equal Weight Canadian Oil & Gas Index ETF 19.89 0 5.00 k 1.85% 3.80% -1.62% 0.00% 0

BOFA

BANK OF AMERICA CDR 23.28 178.60 b 6.90 k 1.84% 1.00% -3.98% 14.53% 13.71%

CSW.A

Corby Spirit and Wine Limited Unlimited Voting Common Shares 12.77 363.50 m 15.40 k 1.83% 3.82% 3.57% 1.44% -5.82%

BWP

BWP TRUST ORD UNITS [BWP] 3.34 2.30 b 1.30 m 1.83% -2.62% -2.34% -9.49% -7.22%

QTRH

Quarterhill Inc. 1.67 192.40 m 134.60 k 1.83% 6.37% 1.21% -3.47% -10.22%

RTEC

RBC GLOBAL TECHNOLOGY FUND 40.18 4.00 m 1.80 k 1.82% -0.12% 3.42% 15.03% 12.27%

HOM.UN

BSR Real Estate Investment Trust 17.86 955.70 m 17.70 k 1.82% 2.50% -3.51% -6.00% 20.31%

QMAX

Hamilton Technology YIELD MAXIMIZER TM ETF 22.33 313.40 m 51.00 k 1.82% -0.69% 4.47% 15.73% 12.39%

PFAE

Picton Mahoney Fortified Active Extension Alternative Fund 21.25 28.70 m 1.20 k 1.82% 1.38% -1.41% 7.36% 19.44%

USSL

Global X Enhanced S&P 500 Index ETF 24.60 0 1.00 k 1.82% -0.16% 1.03% 14.16% 17.88%

DYM

Dynamic Metals Ltd 0.280 10.00 m 108.20 k 1.82% 0 40.00% 40.00% 86.67%

NXG

NexgenRx Inc. 0.280 19.80 m 5.70 k 1.82% 3.70% 9.80% 18.95% 3.81%

BEO

Beonic Ltd. 0.280 117.50 m 9.10 k 1.82% 1.82% 775.00% 40.00% -6.67%

WC8

Wildcat resources limited 0.280 337.80 m 3.50 m 1.82% 7.69% 14.29% 0.00% -22.22%

STCK

Stack Capital Group Inc. 11.20 103.30 m 8.80 k 1.82% 0.45% -0.27% 7.18% 10.56%

LPI

LITHPOWINT FPO [LPI] 0.56 358.60 m 749.40 k 1.82% 0 3.70% 3.70% 143.48%

BEO

Beonic Ltd. 0.280 117.50 m 9.10 k 1.82% 1.82% 775.00% 40.00% -6.67%

BAS

BASS OIL FPO [BAS] 0.056 15.80 m 175.10 k 1.82% 3.70% -6.67% -30.00% -20.00%

BEO

Beonic Ltd. 0.280 117.50 m 9.10 k 1.82% 1.82% 775.00% 40.00% -6.67%

NHC

NEW HOPE FPO [NHC] 5.05 4.40 b 2.00 m 1.81% -0.20% 6.99% 2.43% 9.07%

JEPQ

JPMorgan Nasdaq Equity Premium Income Active ETF 28.09 0 29.30 k 1.81% -0.03% 3.56% 14.78% 0

QIF

AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF 34.31 236.70 m 2.30 k 1.81% 1.37% -0.64% 5.30% 17.28%

MFC.PR.C

Manulife Financial Corporation Non-Cumulative Class A Preferred Shares Series 3 20.25 35.40 b 4.70 k 1.81% 3.32% 4.27% 1.53% 12.59%

IFC.PR.E

Intact Financial Corporation Non-Cumulative Class A Shares Series 5 22.50 4.00 b 2.40 k 1.81% 1.81% 4.41% 0.37% 11.64%

ZID

BMO MSCI India ESG Leaders Index ETF 51.21 167.30 m 7.40 k 1.81% -0.13% -1.24% -3.71% 2.79%

NGPE

NBI Global Private Equity ETF 52.97 479.30 m 1.70 k 1.81% 0.46% -1.29% 8.54% 19.29%

CUTL

CI Utilities Giants Covered Call ETF 21.45 2.10 m 100.00 1.81% 1.23% -3.48% -2.53% 18.03%

WOLF

Grey Wolf Animal Health Corp. 1.13 38.60 m 11.10 k 1.80% 2.73% 9.71% 37.80% 82.26%

DXS

Dexus Stapled (2 Units) 6.78 7.20 b 8.70 m 1.80% -3.28% -5.96% -13.19% 4.79%

PNC

PIONEER CR FPO [PNC] 0.57 76.00 m 113.70 k 1.80% 6.60% -14.39% 8.65% 13.00%

SRU.UN

SmartCentres Real Estate Investment Trust 24.90 4.40 b 384.20 k 1.80% 1.58% -2.98% -2.25% 19.05%

PPLN

Global X Pipelines & Energy Services Index ETF 11.92 36.20 m 1.60 k 1.79% 3.43% 0.22% 9.19% 16.61%

BRF.PR.B

Brookfield Renewable Power Preferred Equity Inc. Class A Preference Shares Series 2 21.60 10.30 b 4.70 k 1.79% 2.13% 12.50% 21.03% 34.03%

CKF

COLLINS FD FPO [CKF] 7.39 868.90 m 609.60 k 1.79% -0.14% -10.42% -15.74% -18.79%

AEMX

AGF EMERGING MARKETS EX CHINA FUND 29.01 4.60 m 269.00 1.79% 1.08% 1.82% 2.60% 3.58%

QQQT.U

Evolve NASDAQ Technology Index Fund 31.94 3.10 m 804.00 1.79% -0.65% 2.71% 6.44% 1.71%