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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

MOM.F

INVESCO S&P 500 MOMENTUM INDEX ETF 25.00 625.00 k 0 -0.25% 0.85% 8.81% 0.10% 11.24%

XIG

iShares U.S. IG Corporate Bond Index ETF (CAD-Hedged) 19.50 269.10 m 9.10 k -0.26% -0.12% -2.93% -4.15% 1.75%

BRF.PR.F

Brookfield Renewable Power Preferred Equity Inc. Class A Preference Shares Series 6 19.30 9.20 b 2.30 k -0.26% 0.31% 2.12% -1.86% 15.08%

GWO.PR.P

Great-West Lifeco Inc. 5.40% Non-Cumulative First Preferred Shares Series P 22.55 21.00 b 11.50 k -0.27% 1.35% 2.50% -1.10% 12.98%

RPL

Regal Partners Ltd 3.74 962.80 m 417.20 k -0.27% 2.75% -5.79% 7.47% 3.31%

AZS

Azure Minerals Ltd 3.69 1.60 b 1.20 m -0.27% 0 8.53% 2.22% -0.27%

RIFI

Russell Investments Fixed Income Pool 18.02 36.90 m 780.00 -0.28% 0.56% -0.55% 1.01% 5.09%

ATRB

AGF TOTAL RETURN BOND FUND 25.14 1.20 m 0 -0.28% -0.03% -0.97% -0.71% 2.88%

IFL

Insignia Financial Ltd 3.54 2.30 b 2.50 m -0.28% -1.12% 13.10% 34.60% 63.89%

HAF

Global X Active Global Fixed Income ETF 7.10 32.30 m 3.10 k -0.28% 0.01% -2.19% -2.33% 1.95%

FJFB

FIRST TRUST JFL FIXED INCOME CORE PLUS ETF 17.45 24.40 m 32.10 k -0.29% 0.11% -0.85% 0.52% 3.22%

SITB

SCOTIA CANADIAN BOND INDEX TRACKER ETF 17.34 376.20 m 75.40 k -0.29% 0.63% -0.41% 0.77% 3.59%

TRVL

Harvest Travel & Leisure Index ETF 30.96 99.00 m 10.20 k -0.29% -1.43% -0.99% 21.17% 25.54%

TCLB

TD Canadian Long Term Federal Bond ETF 119.46 1.80 b 3.50 k -0.29% 0.97% -2.01% -0.53% 0.90%

EBG

EUMUNDI FPO [EBG] 1.70 81.60 m 32.10 k -0.29% -0.29% 2.73% 46.12% 43.64%

QLB

Mackenzie Canadian Government Long Bond Index ETF 104.39 66.80 m 526.00 -0.30% 0.85% -2.59% 0.43% 1.46%

NWH.DB.G

NorthWest Healthcare Properties Real Estate Investment Trust 10.00% convertible unsecured subordinated debentures 100.50 24.70 b 33.60 k -0.30% -0.30% -0.20% -0.50% 0.50%

PFIA

Picton Mahoney Fortified Income Alternative Fund 10.04 339.70 m 16.30 k -0.30% 0.50% 0.39% 2.12% 6.43%

CPX

Capital Power Corporation 63.53 8.20 b 767.90 k -0.30% -0.11% 6.75% 27.72% 60.95%

FLT

Flight Centre Travel Group Ltd 16.63 3.60 b 915.80 k -0.30% -0.54% -2.52% -23.04% -14.89%

MDA

MDA Space Ltd. 29.44 3.50 b 416.50 k -0.30% 0.68% 6.32% 57.60% 149.49%

CVO

Coveo Solutions Inc. Subordinate voting shares 6.36 620.30 m 147.90 k -0.31% -3.93% -14.75% 9.66% -17.40%

WN.PR.C

George Weston Limited 5.20% Preferred Shares Series III 22.19 2.90 b 2.70 k -0.31% 0.32% 4.48% 1.97% 14.14%

QTIP

MACKENZIE US TIPS INDEX ETF 82.33 377.00 m 4.80 k -0.31% -0.04% -2.27% -3.41% 0.11%

TIH

Toromont Industries Ltd. 113.28 9.20 b 186.50 k -0.32% -1.01% 0.32% -12.66% -1.94%

CRP

Ceres Global Ag Corp. 3.09 96.00 m 2.60 k -0.32% 3.00% -6.08% 1.64% 2.66%

BPO.PR.C

Brookfield Office Properties Inc. Class AAA Preference Shares Series CC 21.42 10.80 b 6.90 k -0.33% 1.85% 3.58% 9.56% 51.74%

DXBU

Dynamic Active U.S. Investment Grade Corporate Bond ETF 21.39 22.90 m 184.00 -0.33% 0.10% -1.86% -2.35% 1.86%

CM

Canadian Imperial Bank Of Commerce 90.63 85.40 b 4.70 m -0.33% -0.02% 2.56% 12.64% 44.06%

SMR

Stanmore Resources Limited 3.00 2.70 b 915.30 k -0.33% 1.01% -7.12% -4.46% -10.45%

TCF

360 Capital Mortgage REIT Ord Fully Paid 5.86 24.20 m 7.90 k -0.34% 0 -1.35% -0.51% 11.62%

RCT

REEFCASINO UNIT [RCT] 2.89 143.90 m 5.50 k -0.34% -0.69% 15.60% 2.48% -3.99%

TGF

Tribeca Global Natural Resources Ltd 1.44 113.40 m 94.20 k -0.35% 2.13% -4.64% -10.00% -8.28%

GDEP.B

Guardian Directed Equity Path Portfolio 20.27 13.10 m 3.00 -0.35% -1.28% -0.88% 5.48% 6.79%

INC.UN

Income Financial Trust 8.61 28.80 m 3.80 k -0.35% 1.34% -1.87% 11.00% 28.12%

NWL

Netwealth Group Limited - Ordinary Shares 28.65 6.90 b 367.50 k -0.35% -1.61% -5.57% 15.06% 32.95%

PWF.PR.T

Power Financial Corporation 4.20% Non-Cumulative 5-Year Rate Reset First Pref. Shares Series T 22.91 14.70 b 5.60 k -0.35% -0.35% 1.78% 1.68% 10.71%

FGG

Future Generation Global Ltd Ord Fully Paid 1.42 562.10 m 248.00 k -0.35% -0.35% 1.07% 4.04% 8.85%

FCIG

Fidelity Global Investment Grade Bond ETF 21.50 178.90 m 3.50 k -0.36% 0.60% 1.40% -1.08% 4.03%

WRLG.NT.U

West Red Lake Gold Mines Ltd. 97.15 0 12.50 k -0.36% 0 -2.85% -3.81% 0

AD.UN

Alaris Equity Partners Income Trust 19.08 868.10 m 54.00 k -0.37% 1.26% -1.01% 9.48% 30.33%

QAL

Qualitas Ltd 2.72 811.30 m 195.80 k -0.37% 0.74% 11.02% 11.02% 16.24%

SECU

SSC Security Services Corp. 2.68 50.10 m 12.50 k -0.37% 6.34% 1.95% 9.79% 9.39%

BFG

BELL FN GP FPO [BFG] 1.34 428.10 m 68.60 k -0.37% 0.75% 1.52% 1.91% 1.91%

BASE

Evolve Global Materials & Mining Enhanced Yield Index ETF 21.36 40.50 m 4.50 k -0.37% -0.87% -10.25% -13.64% -9.28%

CU.PR.C

Canadian Utilities Limited cumulative redeemable second preferred shares series Y 21.21 5.70 b 7.50 k -0.38% 0.95% 1.97% 1.93% 18.95%

PFCB

Picton Mahoney Fortified Core Bond Fund 10.58 1.00 m 1.40 k -0.38% 0.28% -0.40% 1.20% 5.96%

APY

Anglo Pacific Group PLC Ordinary Shares 0 0 0 -0.38% 4.07% -11.20% -0.43% -16.63%

ACO.X

ATCO Ltd. Class I Non-voting Shares 47.40 5.30 b 195.00 k -0.38% -0.27% -4.63% -0.10% 25.30%

TD.PF.I

Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Preferred Shares Series 16 (NVCC) 26.05 45.50 b 4.10 k -0.38% 0.04% 0.19% 1.65% 7.82%

PXA

PEXA Group Ltd 13.01 2.30 b 260.10 k -0.38% -1.59% -2.11% -10.03% -8.38%

DIS

WALT DISNEY CDR 12.89 23.30 b 45.50 k -0.39% -0.54% -4.59% 19.11% 9.58%

CHR.DB.B

Chorus Aviation Inc. 6.00% convertible senior unsecured debentures 100.50 19.20 b 10.90 k -0.39% -0.30% -0.50% 0.55% 4.69%

ZCH

BMO MSCI China ESG Leaders Index ETF 15.43 97.50 m 11.10 k -0.39% -1.82% 2.26% -10.10% 14.76%

MVF

MONASH IVF FPO [MVF] 1.27 492.80 m 440.60 k -0.39% 1.61% 2.02% 3.69% -5.60%

PVS.PR.J

Partners Value Split Corp. Class AA Preferred Shares Series 12 25.20 1.20 b 3.10 k -0.40% 0.80% 0.40% 3.37% 9.66%

PFIG

Picton Mahoney Fortified Investment Grade Alternative Fund 10.06 0 61.00 -0.40% 0.10% 0.61% 0.00% 0

PRM.PR.A

Big Pharma Split Corp. Preferred Shares 10.01 15.10 m 781.00 -0.40% 0.86% 1.77% 0.16% 3.64%

GBND

MANULIFE SMART GLOBAL BOND ETF 9.97 11.20 m 1.80 k -0.40% 0.07% -1.31% -0.48% 2.67%

VISA

VISA CDR 29.90 55.60 b 12.90 k -0.40% -1.39% 0.47% 13.52% 15.67%

CPX.PR.C

Capital Power Corporation cumulative rate reset preference shares series 3 24.75 3.20 b 4.40 k -0.40% 0 2.00% 4.02% 17.29%

FCGB.U

FIDELITY GLOBAL CORE PLUS BOND ETF USD 14.79 754.60 m 715.00 -0.40% 0.20% -4.89% -10.09% -6.75%

EQT

EQUITY TR FPO [EQT] 31.87 850.20 m 14.90 k -0.41% 1.37% 1.50% 4.35% -1.02%

BNK

Big Banc Split Corp. Class A Shares 12.24 19.00 m 1.80 k -0.41% 1.31% -3.29% 4.19% 25.13%

DRX

ADF Group Inc. Subordinate Voting Shares 9.70 289.70 m 138.30 k -0.41% -0.51% 0.00% -7.18% -41.57%

PIA

HHGLOVALUE FPO [HHV] 1.21 311.10 m 203.60 k -0.41% -0.41% 3.42% 8.04% 6.14%

CDLB.U

CI DoubleLine Total Return Bond US$ Fund 17.34 1.40 m 177.00 -0.41% 0.12% -1.34% -2.21% 2.25%

CRM

SALESFORCE CDR 26.45 25.30 b 40.20 k -0.41% -1.34% 0.27% 18.00% 44.05%

MGH

MAAS Group Holdings Limited 4.77 1.50 b 296.20 k -0.42% 1.92% -2.65% -2.65% 14.66%

CDLB

CI DoubleLine Total Return Bond US$ Fund 16.58 5.00 m 630.00 -0.42% 0.06% -1.54% -2.50% 1.63%

BIP.PR.F

Brookfield Infrastructure Partners L.P. Cumulative Class A Preferred Limited Partnership Units Series 11 23.32 10.70 b 6.40 k -0.43% 1.35% -1.35% 0.76% 22.15%

SDI

SDI FPO [SDI] 1.15 136.10 m 91.70 k -0.43% -2.14% 3.62% 24.46% 43.13%

DGS

Dividend Growth Split Corp. Class A Shares 6.84 329.10 m 145.20 k -0.44% 0.29% -3.74% 6.36% 26.80%

FFH.PR.M

Fairfax Financial Holdings Limited Cumulative 5-Year Rate Reset Preferred Shares Series M 24.93 548.20 m 3.40 k -0.44% 0.28% 0.94% 3.46% 11.13%

FFH.PR.F

Fairfax Financial Holdings Limited Cumulative Floating Rate Preferrred Shares Series F 22.60 496.90 m 3.70 k -0.44% 2.26% 2.33% 34.33% 40.22%

TWE

Treasury Wine Estates Ltd. 11.28 9.10 b 2.20 m -0.44% -2.25% -1.40% -6.39% -5.92%

DEER

DEERE CDR 22.41 6.00 b 13.10 k -0.44% -1.60% -8.26% 3.10% 11.42%

ALA

AltaGas Ltd. 33.33 9.90 b 1.20 m -0.45% 0.39% -2.82% 0.19% 12.76%

FRX

Fennec Pharmaceuticals Inc. 8.83 241.30 m 2.70 k -0.45% -1.12% 4.62% 43.58% -5.46%

XFLB

iShares Core Canadian 15+ Year Federal Bond Index ETF 48.49 26.60 m 815.00 -0.45% 1.13% -3.02% -0.54% 0.90%

MPC.C

Madison Pacific Properties Inc. Class C Non-Voting Shares 4.40 261.60 m 546.00 -0.45% -0.45% -2.22% -11.82% -11.03%

BNK.PR.A

Big Banc Split Corp. Preferred Shares 10.94 19.70 m 113.00 -0.46% 0.18% 3.58% 8.02% 11.50%

PPL.PF.A

Pembina Pipeline Corporation cumulative redeemable min rate reset Class A pref shares Series 21 23.99 13.90 b 7.90 k -0.46% 0.54% 2.52% 2.38% 14.65%

PLS

PILBARAMIN FPO [PLS] 2.18 6.50 b 34.80 m -0.46% -0.46% -12.80% -30.79% -30.57%

ZIM

ZIMPLATS FPO 10CUS [ZIM] 13.05 1.40 b 6.40 k -0.46% 0.69% -10.31% -18.44% -19.20%

AOF

Australian Unity Office Fund - Units 1.09 178.30 m 318.30 k -0.46% 0.46% 3.33% -10.33% -20.80%

HBKD

BetaPro Equal Weight Canadian Bank -2x Daily Bear ETF 13.08 3.30 m 61.00 -0.46% -0.08% 1.18% -9.35% -34.17%

TBR

TRIBUNE FPO [TBR] 4.27 224.00 m 3.10 k -0.47% -0.70% -5.11% -7.97% 28.23%

BN.PF.G

Brookfield Corporation Class A Preference Shares Series 42 21.30 32.10 b 18.40 k -0.47% 1.28% 6.48% 12.79% 27.89%

PVS.PR.I

Partners Value Split Corp. Class AA Preferred Shares Series 11 25.12 1.10 b 2.20 k -0.48% 0.08% -0.08% 1.88% 5.43%

COS

COSOL Limited - Ordinary Shares 1.04 181.00 m 68.60 k -0.48% -0.48% 7.81% 10.11% -10.78%

PWI.PR.A

Sustainable Power & Infrastructure Split Corp. Preferred Shares 10.32 38.50 m 692.00 -0.48% 1.33% -0.22% -0.03% 7.63%

HEAL

Purpose Healthcare Innovation Yield Fund 18.90 1.80 m 2.50 k -0.49% -0.94% -2.91% -0.50% -1.20%

PNV

POLYNOVO FPO [PNV] 2.03 1.40 b 1.00 m -0.49% -5.58% -9.78% -19.44% -13.62%

PAI

PLAT ASIA FPO [PAI] 1.02 375.30 m 277.90 k -0.49% -1.46% 4.64% -4.25% 12.78%

PGL

INVESCO LONG TERM GOVERNMENT BOND INDEX ETF 18.26 336.80 m 82.70 k -0.49% 0.74% -2.43% 0.22% 1.35%

HFT

Hamilton Financials Innovation ETF 16.18 2.60 m 1.40 k -0.49% 1.95% 2.37% 15.18% 17.69%

FN

First National Financial Corporation 40.14 2.40 b 31.80 k -0.50% -0.30% -5.53% 5.83% 18.54%

PBH

PointsBet Holdings Ltd 1.00 323.90 m 788.80 k -0.50% -1.97% -3.86% 46.32% 116.30%

PBY.UN

Canso Credit Income Fund 15.87 144.60 m 4.00 k -0.50% 0.64% 1.87% 4.15% 8.48%