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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

EMA.PR.E

Emera Incorporated Cumulative Redeemable First Preferred Shares Series E 18.79 5.50 b 2.00 k 1.51% 1.02% 1.08% -0.92% 11.62%

CEF.U

Sprott Physical Gold and Silver Trust 24.17 5.10 b 413.00 1.51% 1.51% -1.02% -2.34% 9.76%

MUMC.B

Manulife Multifactor U.S. Mid Cap Index ETF 52.29 44.40 m 418.00 1.51% 0.21% -3.38% 8.34% 15.81%

XSMC

iShares S&P U.S. Small-Cap Index ETF 33.63 48.50 m 11.10 k 1.51% 0.68% -4.41% 9.51% 17.76%

CGO

Cogeco Inc. Subordinate Voting Shares 59.86 577.20 m 19.10 k 1.51% 4.18% -5.28% 3.72% 25.52%

MTL

Mullen Group Ltd. 14.80 1.20 b 118.30 k 1.51% 1.17% -4.73% 5.40% 19.91%

SITU

SCOTIA U.S. EQUITY INDEX TRACKER ETF 39.04 1.80 b 133.30 k 1.51% -0.26% 0.85% 12.03% 15.42%

QQJR.F

Invesco NASDAQ Next Gen 100 Index ETF 18.65 559.50 k 77.00 1.51% 0.19% -2.79% 4.28% 12.62%

BXB

Brambles Ltd 19.53 27.10 b 2.60 m 1.51% 1.51% 0.98% 3.01% 35.81%

VFV

Vanguard S&P 500 Index ETF 152.25 16.40 b 306.90 k 1.51% -0.26% 0.97% 11.43% 14.89%

IGEO

IA Clarington Loomis Global Equity Opportunities Fund 14.67 1.40 m 507.00 1.51% 0.07% -0.87% 7.00% 10.85%

DRMC

Desjardins RI Canada - Net-Zero Emissions Pathway ETF 32.36 43.60 m 2.00 k 1.51% 1.29% -1.60% 6.53% 19.87%

LIFE.B

Evolve Global Healthcare Enhanced Yield Fund 24.27 44.70 m 829.00 1.50% 0.14% -0.95% -2.45% 0.46%

HEQL

Global X Enhanced All-Equity Asset Allocation ETF 27.72 5.50 m 3.00 k 1.50% -0.07% -0.54% 7.50% 13.12%

PBL

Pollard Banknote Limited 24.36 659.00 m 9.60 k 1.50% 5.91% -0.44% -11.99% -24.39%

PHYS.U

Sprott Physical Gold Trust transferable redeemable units 20.32 8.10 b 3.40 k 1.50% 1.04% 0.30% -1.02% 12.76%

TLS

Telstra Group Ltd Shs 4.07 46.90 b 18.30 m 1.50% 0.99% 1.75% 4.90% 14.65%

AX.UN

Artis Real Estate Investment Trust 7.47 755.70 m 157.20 k 1.49% 2.19% -2.95% -4.54% 20.97%

TSLA

TESLA INC. CDR 37.37 119.90 b 1.10 m 1.49% -4.81% 16.64% 69.71% 116.76%

BPO.PR.G

Brookfield Office Properties Inc. Class AAA Preference Shares Series GG 17.00 8.60 b 7.10 k 1.49% 1.67% -0.17% 9.85% 27.12%

XUS

iShares Core S&P 500 Index ETF 53.13 3.60 b 98.60 k 1.49% -0.21% 0.96% 11.40% 14.90%

RLST

RBC LIFE SCIENCE AND TECHNOLOGY FUND 22.54 0 1.20 k 1.49% -0.27% 2.73% 11.97% 0

CMVX

CI Galaxy Metaverse Index ETF 30.00 1.50 m 17.00 1.48% -0.30% -2.56% 3.65% 17.20%

CIEM.U

CI Emerging Markets Alpha ETF 19.76 988.00 k 1.30 k 1.48% 0.25% -0.17% -3.27% 1.86%

VLN

Velan Inc. Subordinate Voting Shares 10.96 236.50 m 11.50 k 1.48% 2.91% 4.38% 29.09% 85.76%

TXN

TEXAS INSTRUMENTS CDR 20.58 18.70 b 718.00 1.48% -0.05% -3.92% -6.82% 0

ZMID

BMO S&P US Mid Cap Index ETF 48.75 324.20 m 5.30 k 1.48% 0.66% -3.28% 8.97% 14.23%

FLUS

Franklin U.S. Large Cap Multifactor Index ETF 49.44 64.20 m 873.00 1.48% -0.48% 0.26% 10.02% 12.25%

EPWR

EMERGE EMPWR UNIFIED SUSTAINABLE EQUITY ETF 10.30 515.00 k 0 1.48% 0 0.00% 0.00% 0

GIQG

Guardian i3 Global Quality Growth ETF 29.83 6.70 m 166.00 1.48% -0.43% 0.20% 6.67% 5.97%

ALL

ARISTOCRAT FPO [ALL] 69.37 44.00 b 1.20 m 1.48% -0.14% -0.12% 21.70% 46.41%

REI.UN

RioCan Real Estate Investment Trust 18.55 5.50 b 839.20 k 1.48% 1.61% -0.93% -5.05% 16.23%

OTEX

Open Text Corporation 41.28 10.90 b 858.40 k 1.47% 1.13% -4.40% -6.76% 4.27%

DGRC

CI Canada Quality Dividend Growth Index ETF 39.22 787.30 m 3.00 k 1.47% 1.61% -3.08% -0.52% 9.65%

TECK.A

Teck Resources Limited Class A Multiple Voting Shares 59.19 30.20 b 2.40 k 1.47% 0.78% -9.46% -14.57% -8.71%

AUB

AUB GROUP FPO [AUB] 31.66 3.40 b 223.80 k 1.47% 0.67% -3.45% 2.79% 3.57%

MFC.PR.P

Manulife Financial Corporation Non-Cumulative Floating Rate Class 1 Shares Series 4 17.25 30.20 b 515.00 1.47% 3.11% 3.60% 6.11% 7.23%

AWJ

Auric Mining Limited 0.345 51.20 m 907.60 k 1.47% 6.15% 6.15% 7.81% 91.67%

FOS

FOS Capital Ltd Ord Fully Paid 0.345 18.50 m 4.40 k 1.47% -4.17% -1.43% 15.00% 38.00%

RPM

RPM Automotive Group Ltd 0.069 16.90 m 150.20 k 1.47% 0 -11.54% -1.43% 15.00%

GPH

Graphite One Inc. 0.69 95.60 m 56.80 k 1.47% -5.48% -10.39% -6.76% -1.43%

IMR

Imricor Medical Systems Inc CDI 1:1 1.38 259.60 m 328.80 k 1.47% 17.95% 26.61% 160.38% 220.93%

FCII

Franklin ClearBridge Sustainable Global Infrastructure Income Fund 21.99 17.50 m 331.00 1.47% 1.11% -1.80% -1.31% 10.85%

AI

Atrium Mortgage Investment Corporation 11.07 491.60 m 103.20 k 1.47% -0.10% -1.25% -0.03% 8.95%

FCCV

Fidelity Canadian Value ETF 15.25 165.80 m 4.00 k 1.46% 1.80% -1.33% 3.67% 17.12%

USSX

Global X S&P 500 Index ETF 32.66 0 2.90 k 1.46% -0.39% 0.80% 11.34% 14.70%

ENB.PF.E

Enbridge Inc. cumulative redeemable preference shares Series 13 19.50 42.40 b 7.80 k 1.46% 2.79% 5.29% 9.73% 25.45%

XTD.PR.A

TDb Split Corp. Priority Equity Shares 10.46 72.40 m 23.50 k 1.45% 1.54% 0.86% 6.43% 10.42%

RX

BioSyent Inc. 11.16 129.30 m 10.40 k 1.45% -3.79% -1.50% -2.15% 18.30%

CUSM.B

CI U.S. 1000 INDEX ETF 30.01 157.50 m 17.30 k 1.45% -0.27% 0.47% 11.70% 15.35%

NOA

North American Construction Group Ltd. 31.43 874.60 m 63.90 k 1.45% 3.12% 11.85% 22.64% 14.10%

EQLI

Invesco S&P 500 Equal Weight Income Advantage ETF 21.66 0 24.20 k 1.45% -0.13% -1.79% 6.32% 0

HXH

Global X Canadian High Dividend Index Corporate Class ETF 53.75 137.40 m 1.80 k 1.45% 2.01% -1.89% 1.95% 14.35%

ESGA

BMO MSCI Canada ESG Leaders Index ETF 40.55 102.90 m 1.60 k 1.45% 0.97% -1.84% 8.28% 21.85%

EMPR

Empress Royalty Corp. 0.350 41.30 m 67.70 k 1.45% -1.41% 2.94% -14.63% 2.94%

MAH

MACMAHON FPO [MAH] 0.350 754.20 m 1.40 m 1.45% -2.78% -4.11% 9.38% 20.69%

HBA

Hamilton Australian Bank Equal-Weight Index ETF 28.07 149.80 m 2.60 k 1.44% 0.33% -4.13% 4.87% 14.78%

FEPY

FIDELITY EQUITY PREMIUM YIELD ETF 27.88 0 20.50 k 1.44% 0.27% 1.79% 12.94% 0

APE

Eagers Automotive Limited 12.01 3.10 b 463.40 k 1.44% 0.84% 5.54% 9.48% 18.68%

ATA

Atturra Ltd 1.06 331.50 m 141.90 k 1.44% 0.95% 3.92% 2.91% 39.47%

OBE

Obsidian Energy Ltd. 8.48 644.50 m 278.40 k 1.44% 8.86% 5.74% 1.31% -13.03%

RMAX

Hamilton REITs YIELD MAXIMIZER TM ETF 16.96 0 11.40 k 1.44% 1.55% -3.39% -4.60% 0

QQC.F

Invesco NASDAQ 100 Index ETF 168.38 860.40 m 7.10 k 1.43% -0.87% 0.29% 7.51% 6.59%

RUBY

RBC U.S. Banks Yield Index ETF 25.30 16.40 m 689.00 1.43% 0.71% -3.66% 22.69% 35.91%

ESGY.F

BMO MSCI USA ESG Leaders Index ETF 43.86 6.60 m 154.00 1.43% -0.29% -2.06% 3.99% 6.79%

ESPX.B

Evolve S&P 500® Enhanced Yield Fund 27.66 7.60 m 161.00 1.43% -0.34% 0.75% 10.87% 14.85%

FCSW

FIDELITY SUSTAINABLE WORLD ETF 48.28 207.60 m 6.70 k 1.43% -0.58% 0.27% 7.24% 9.41%

HCH

HOT CHILI FPO [HCH] 0.71 84.80 m 152.60 k 1.43% 5.19% -8.97% -16.47% -22.83%

SLM

Solis Minerals Ltd Chess Depository Interest 0.071 4.20 m 25.60 k 1.43% 0 -20.22% -11.25% -29.00%

GRE

Greentech Metals Ltd 0.071 5.80 m 70.40 k 1.43% 1.43% -13.41% -29.00% -60.56%

ENB.PR.P

Enbridge Inc. cumulative redeemable preference shares series P 20.60 44.80 b 8.30 k 1.43% 3.10% 6.24% 5.67% 21.49%

CERE.U

CERES ACQUISITION CORP. RESTRICTED 9.95 29.80 m 845.00 1.43% -0.70% 1.43% 1.53% 0.51%

VCN

Vanguard FTSE Canada All Cap Index ETF 51.23 7.50 b 75.30 k 1.43% 1.13% -1.89% 5.75% 18.46%

UTES

Evolve Canadian Utilities Enhanced Yield Index Fund 9.25 0 82.40 k 1.43% 2.07% -4.37% -3.34% 0

MI.UN

Minto Apartment Real Estate Investment Trust 13.53 885.80 m 153.10 k 1.42% 1.68% -5.86% -16.54% -6.77%

XUSC

iShares S&P 500 3% Capped Index ETF 45.59 0 3.00 k 1.42% -0.16% 0.41% 10.50% 0

CHCL.B

CI GLOBAL HEALTHCARE LEADERS INDEX ETF 22.81 258.80 m 3.80 k 1.42% 0.13% -2.84% -3.29% -0.16%

DATA

Evolve Cloud Computing Index Fund 27.82 19.40 m 905.00 1.42% -0.61% -1.45% 15.47% 21.83%

RTT

PURPOSE TACTICAL THEMATIC FUND 24.97 18.10 m 194.00 1.42% -0.04% 1.34% 10.39% 8.94%

GOOG

ALPHABET INC. CDR 32.11 393.00 b 291.70 k 1.42% -0.59% 11.66% 15.34% 7.40%

XEXP

iShares Exponential Technologies Index ETF 51.60 16.70 m 343.00 1.42% -0.60% 0.15% 7.10% 8.05%

HTAE

Harvest Tech Achievers Enhanced Income ETF 17.13 61.60 m 19.60 k 1.42% -0.91% -2.03% 4.09% 3.41%

EQCL

Global X Enhanced All-Equity Asset Allocation Covered Call ETF 22.91 10.30 m 4.10 k 1.42% 0.14% 0.71% 7.77% 12.68%

VA

Vanguard FTSE Developed Asia Pacific All Cap Index ETF 39.34 100.40 m 1.80 k 1.42% 0.32% -1.78% 0.07% 5.50%

TTP

TD Canadian Equity Index ETF 28.62 1.90 b 35.20 k 1.42% 1.17% -1.96% 5.35% 17.90%

FEQT

FIDELITY ALL-IN-ONE EQUITY ETF 14.31 315.50 m 146.00 k 1.42% 0.42% -1.01% 8.18% 14.81%

RNAG

RBC NORTH AMERICAN GROWTH FUND 27.91 2.00 m 495.00 1.42% 0.55% -1.00% 7.01% 13.26%

REMD

RBC EMERGING MARKETS DIVIDEND FUND 22.96 1.10 m 46.00 1.41% 0.08% 0.65% -4.01% 2.22%

MULC.B

Manulife Multifactor U.S. Large Cap Index ETF 61.70 80.20 m 1.30 k 1.41% -0.16% -0.84% 9.52% 14.01%

UNH

UNITEDHEALTH CDR 24.41 22.50 b 54.10 k 1.41% 0.41% -15.16% -13.72% 4.55%

JPM

JPMORGAN CDR 32.31 90.90 b 21.50 k 1.41% 0.78% -0.80% 18.81% 25.39%

CNI

CENTURIA STAPLED [CNI] 1.80 1.40 b 1.10 m 1.41% -3.49% -10.00% -10.89% 4.65%

BEW

BeWhere Holdings Inc. 0.72 63.10 m 101.50 k 1.41% 1.41% -1.37% 10.77% 71.43%

OM

Osisko Metals Incorporated 0.360 109.90 m 400.70 k 1.41% 12.50% 44.00% 71.43% 63.64%

ZQQ

BMO Nasdaq 100 Equity Hedged To CAD Index ETF 148.39 2.20 b 45.90 k 1.41% -0.84% 0.37% 7.49% 6.53%

ZSML

BMO S&P US Small Cap Index ETF 44.68 151.90 m 2.10 k 1.41% 0.70% -4.29% 9.45% 17.24%

GWO.PR.I

Great-West Lifeco Inc. 4.50% Non-Cumulative First Preferred Shares Series I 19.48 18.10 b 3.50 k 1.41% 2.10% 3.62% -1.05% 12.61%

ERGO

EVERMORE RETIREMENT 2060 ETF 18.76 938.00 k 398.00 1.41% -2.60% -0.32% -3.25% 4.88%

STN

Stantec Inc. 114.36 13.00 b 223.20 k 1.40% 0.77% -5.08% 2.09% 1.33%

ZNQ.U

BMO Nasdaq 100 Equity Index ETF 46.41 25.50 m 1.20 k 1.40% -0.83% 0.52% 7.86% 7.19%