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Companies 10,112
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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

ZAG

BMO Aggregate Bond Index ETF 13.88 7.00 b 234.10 k -0.50% 0.29% -0.50% 0.65% 3.09%

PBH.DB.I

Premium Brands Holdings Corporation 5.40% Convertible Unsecured Subordinated Debentures 99.00 4.40 b 176.80 k -0.50% 0 2.33% 1.54% 5.77%

CNU

Chorus Ltd 7.90 3.40 b 347.50 k -0.50% -1.62% -4.47% -1.25% 17.81%

WED

The Westaim Corporation 30.86 659.20 m 38.10 k -0.52% 0.06% 0.65% 29.55% 26.68%

IPG

IPD Group Ltd 3.85 398.00 m 597.50 k -0.52% -0.26% -3.51% -20.45% -10.88%

RY.PR.J

Royal Bank of Canada Non-Cumulative 5-Year Rate Reset First Preferred Shares (NVCC) 24.75 35.00 b 6.10 k -0.52% 0.53% 0.77% 4.01% 8.03%

TD.PF.D

Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Class A First Preferred Shares Serie 24.75 43.30 b 10.50 k -0.52% -0.48% 1.68% 3.38% 13.61%

RY.PR.N

Royal Bank of Canada Non-Cumulative First Preferred Shares Series BH 24.56 34.70 b 3.10 k -0.53% -0.16% 0.99% 3.62% 11.90%

RIO

Rio Tinto plc - Registered Shares 0 0 2.30 m -0.53% 0.10% -6.41% -11.77% -9.32%

CMCL

Caledonia Mining Corporation Plc 9.36 179.60 m 71.60 k -0.53% 0.21% -11.78% -36.68% -6.26%

GIGR.B

Guardian i3 Global REIT ETF 15.90 1.90 m 2.00 -0.53% -0.54% 1.70% 0.86% 1.12%

JLG

Johns Lyng Group Ltd 3.72 1.00 b 693.90 k -0.53% -1.33% -10.14% 0.54% -36.30%

IFC.PR.G

Intact Financial Corporation Non-cumulative Rate Reset Class A Shares Series 7 24.15 4.30 b 2.60 k -0.54% 1.22% 0.92% 1.68% 15.08%

TFII

TFI International Inc. 193.20 16.30 b 160.00 k -0.54% -2.43% -8.78% 5.39% 2.81%

EBNK.U

Evolve European Banks Enhanced Yield ETF 9.23 784.50 k 159.00 -0.54% -0.49% 1.01% 0.14% 6.07%

FCIG.U

FIDELITY GLOBAL INVESTMENT GRADE BOND ETF USD 14.54 121.00 m 36.00 -0.55% -0.27% -5.03% -10.47% -6.74%

ZRR

BMO Real Return Bond Index ETF 14.46 86.90 m 4.60 k -0.55% 0.75% -0.29% 1.55% 2.59%

BMO

Bank of Montreal 138.77 101.20 b 2.40 m -0.56% -0.84% 3.49% 13.58% 23.75%

TNT.UN

True North Commercial Real Estate Investment Trust 10.48 151.50 m 34.00 k -0.57% 3.46% -6.68% -20.36% 22.43%

MR.UN

Melcor Real Estate Investment Trust 5.22 151.80 m 36.30 k -0.57% 0.58% -0.19% 7.85% 89.82%

FID

FIDUCIANGP FPO [FID] 8.65 272.20 m 5.80 k -0.57% -2.81% -4.31% 3.22% 10.19%

IAG

iA Financial Corporation Inc. 132.55 12.60 b 422.90 k -0.58% -0.85% -1.69% 17.57% 57.28%

FCGB

Fidelity Global Core Plus Bond ETF 21.74 1.10 b 19.70 k -0.58% -0.01% 0.96% -1.56% 4.31%

CUV

CLINUVEL FPO [CUV] 11.99 600.70 m 117.50 k -0.58% -3.77% -7.48% -14.30% -17.88%

MAC

MAC Copper Ltd. Chess Depository Interest 17.11 1.10 b 202.40 k -0.58% -3.61% -13.37% -16.82% -16.46%

NGI

Navigator Global Investments Ltd 1.71 835.50 m 166.90 k -0.58% 0.59% 4.91% 0.59% -16.18%

LMN

Lumine Group Inc. 40.90 10.40 b 54.50 k -0.58% -0.63% -9.93% 26.43% 7.63%

KOV

KORVEST FPO [KOV] 10.21 119.20 m 4.80 k -0.58% -0.29% 4.61% -0.10% 16.02%

NCI

NTG Clarity Networks Inc. 1.68 70.80 m 112.10 k -0.59% -6.15% 14.29% 29.23% 107.41%

NA.PR.W

National Bank of Canada Non-cumulative 5-Year Rate Reset First Preferred Shares Series 32 25.20 8.50 b 23.40 k -0.59% 0.40% 4.35% 10.67% 33.31%

ATS

ATS Corporation 43.58 4.20 b 241.90 k -0.59% 0.72% -2.53% 8.65% 0.18%

BBN

BABY B FPO [BBN] 1.67 225.20 m 121.20 k -0.60% -3.19% -4.57% -5.11% 28.46%

MX

Methanex Corporation 71.40 4.80 b 122.00 k -0.60% 1.03% 7.65% 19.49% 8.76%

JHX

J HARDIE CDI 1:1 [JHX] 49.77 22.10 b 734.00 k -0.60% -2.34% -12.47% -10.05% 3.06%

MOM.U

INVESCO S&P 500 MOMENTUM INDEX ETF 19.90 995.00 k 0 -0.60% 0 -0.20% 0.96% -0.10%

SCR

Strathcona Resources Ltd. 31.32 6.70 b 27.70 k -0.60% 7.41% 1.87% 12.18% 1.17%

NIC

Nickel Industries Ltd 0.82 3.50 b 2.90 m -0.61% -2.96% -6.82% -10.87% -2.38%

WAA

WAM ACTIVE FPO [WAA] 0.82 61.80 m 30.60 k -0.61% -2.40% -1.21% -8.43% -2.98%

CU.PR.E

Canadian Utilities Limited cumulative redeemable second preferred shares series BB 21.07 5.70 b 7.40 k -0.61% 0.72% 2.93% 2.37% 14.25%

FSA

FSA GROUP FPO [FSA] 0.80 97.00 m 11.40 k -0.62% -0.62% 0.00% -4.76% -5.88%

BIP.PR.E

Brookfield Infrastructure Partners L.P. Cumulative Class A Preferred Limited Partnership Units Series 9 23.90 11.00 b 2.90 k -0.62% -0.46% 0.00% 1.32% 17.12%

ARE

Aecon Group Inc. 27.05 1.60 b 350.20 k -0.62% -0.84% -2.71% 26.70% 70.16%

PIQ

PROTEOMICS FPO [PIQ] 0.80 104.00 m 158.60 k -0.63% 31.40% 16.91% 13.57% -1.85%

KMR

Kenmare Resources Plc - Ordinary Shares 0 0 88.30 k -0.63% -3.51% -10.99% -3.22% 1.20%

FND

Findi Ltd 4.70 229.30 m 221.60 k -0.63% -4.08% -14.55% -6.56% 29.83%

HFD

BetaPro S&P/TSX Capped Financials -2x Daily Bear ETF 6.22 5.60 m 20.70 k -0.64% -0.16% 2.47% -12.27% -35.81%

RCH

Richelieu Hardware Ltd. 38.79 2.10 b 60.80 k -0.64% 0.23% -2.78% -2.74% -0.93%

CHR

Chorus Aviation Inc. Voting and Variable Voting Shares 3.09 590.50 m 437.00 k -0.64% 2.66% -8.31% 8.42% 45.75%

EQE

INVESCO S&P EUROPE 350 EQUAL WEIGHT INDEX ETF 21.61 6.40 m 1.00 k -0.64% -1.19% -1.01% -2.20% 2.49%

KGN

KOGAN.COM FPO [KGN] 6.17 621.20 m 422.10 k -0.64% -2.06% 22.18% 20.51% 39.91%

GDEP

Guardian Directed Equity Path Portfolio 20.21 13.10 m 14.00 -0.65% -1.14% -2.82% 0.79% 2.15%

TRVI

Harvest Travel & Leisure Income ETF 21.52 68.30 m 775.00 -0.65% -1.64% -3.66% 10.78% 15.27%

DRO

DRONE FPO [DRO] 0.76 535.30 m 9.10 m -0.65% 1.33% 2.01% -45.71% -47.95%

ENI.UN

Energy Income Fund 1.52 3.90 m 3.30 k -0.65% 0 -3.77% -6.75% 5.77%

CRN

Coronado Global Resources Inc. - Chess Depository Interest 0.76 1.40 b 1.70 m -0.65% 2.70% -15.56% -32.74% -33.33%

SHM

SHRIRO FPO [SHM] 0.75 72.30 m 39.10 k -0.66% 0 1.35% 1.35% 1.35%

FSZ.DB

Fiera Capital Corporation 5.00% convertible unsecured subordinated debentures 100.00 86.20 m 49.50 k -0.67% 0 -0.01% -0.99% -4.76%

HLIT

Global X Lithium Producers Index ETF 14.85 13.80 m 9.40 k -0.67% 1.22% -10.11% -9.63% -13.59%

AW

A & W Food Services of Canada Inc. 35.55 853.20 m 19.30 k -0.67% -2.28% -2.16% 2.52% 26.49%

NGEX

NGEx Minerals Ltd. 13.32 2.50 b 285.30 k -0.67% -2.70% 5.13% 19.57% 56.71%

AQZ

AAVIATION FPO [AQZ] 2.95 474.10 m 51.00 k -0.67% -1.01% 8.86% 3.15% -0.34%

SES

Secure Energy Services Inc. 16.15 3.80 b 779.40 k -0.68% 2.02% -2.45% 26.37% 38.96%

EBO

EBOS Group Ltd. 33.76 6.50 b 35.50 k -0.68% -1.66% -3.18% 0.48% 16.20%

PRQ

Petrus Resources Ltd. 1.46 181.50 m 37.10 k -0.68% 0.69% 2.11% 2.83% 17.27%

PRYM

Prime Mining Corp. 1.43 208.60 m 218.40 k -0.69% -4.03% -2.72% -8.92% -25.13%

MFC.PR.K

Manulife Financial Corporation Non-Cumulative Rate Reset Class 1 Shares Series 13 24.30 42.50 b 11.40 k -0.69% 0.83% 1.04% 1.47% 12.15%

SQ2

Block Inc Chess Depository Interest 140.00 84.60 b 239.90 k -0.70% -4.52% -2.74% 48.94% 48.64%

BLK

BLACKROCK CDR 27.07 4.10 b 16.40 k -0.70% -2.34% -1.62% 7.35% 30.74%

PEY

Peyto Exploration & Development Corp. 17.02 3.30 b 863.60 k -0.70% 2.70% 5.81% 7.74% 21.33%

IEL

IEL FPO [IEL] 12.54 3.40 b 833.20 k -0.71% 2.03% -1.34% -17.61% -18.89%

TRVL.U

Harvest Travel & Leisure Index ETF 27.43 5.40 m 187.00 -0.72% -1.62% -3.56% 13.70% 19.29%

RY.PR.S

Royal Bank of Canada Non-Cumulative 5-Year Rate Reset First Preferred Shares Series BO 25.62 36.20 b 5.60 k -0.74% 0.43% -0.47% 2.95% 11.68%

GVF

Staude Capital Global Value Fund Ltd. 1.35 235.20 m 86.40 k -0.74% -0.37% 4.26% 6.75% 12.08%

TOY

Spin Master Corp. Subordinate Voting Shares 33.62 3.40 b 55.30 k -0.74% 0.03% 2.43% 9.98% 16.14%

AAL

Anglo American plc - Ordinary Shares 0 0 2.70 m -0.74% 0.19% -8.73% -3.16% -1.03%

SEK

Seek Ltd. 22.40 7.90 b 941.60 k -0.75% -3.20% -15.05% -9.53% -2.61%

BYL.DB

Baylin Technologies Inc. 8.5% Convertible Unsecured Debentures 88.00 13.20 b 2.50 k -0.76% 3.53% 7.32% 7.98% 24.84%

FXPO

Ferrexpo Plc - Ordinary Shares 0 0 2.20 m -0.76% -7.08% 7.36% 132.30% 144.19%

RBX

Robex Resources Inc. 2.60 392.50 m 23.30 k -0.76% -0.76% 23.81% -5.45% 24.40%

CM.PR.Q

Canadian Imperial Bank Of Commerce Non-Cumulative Rate Reset Class A Preferred Shares Series 43 24.70 23.20 b 12.20 k -0.76% 0.08% 0.80% 4.00% 14.95%

GDPY

Guardian Directed Premium Yield Portfolio 20.92 55.90 m 2.10 k -0.77% -1.57% -3.87% 0.21% 4.06%

DTL

DATA3 FPO [DTL] 6.34 980.80 m 551.30 k -0.78% -1.86% -17.56% -14.78% -23.15%

FTS.PR.H

Fortis Inc. Cumulative Redeemable Five-Year Fixed Rate Reset First Preference Shar 16.30 8.00 b 6.20 k -0.79% 2.19% 2.19% 8.39% 16.77%

AGN

Argenica Therapeutics Ltd Ord Fully Paid 0.63 76.70 m 124.20 k -0.79% -3.10% -10.71% -9.42% -15.54%

BST

BARRACK ST INVESTMENTS LIMITED 1.88 235.00 m 245.30 k -0.79% 0.27% -0.53% -8.09% -0.79%

CCBD

CI U.S. Aggregate Bond Covered Call ETF 18.56 0 1.60 k -0.80% -0.16% -4.34% -6.87% 0

MYR

Myer Holdings Ltd 1.22 1.00 b 1.60 m -0.81% -3.17% 2.52% 41.86% 100.00%

APZ

ASPEN STAPLED [APZ] 2.44 439.70 m 198.10 k -0.81% 0.41% -6.15% 7.96% 36.31%

BYD

Boyd Group Services Inc. 215.00 4.60 b 66.90 k -0.82% -0.49% 0.69% 4.00% -16.76%

CHE.UN

Chemtrade Logistics Income Fund 10.85 1.30 b 275.10 k -0.82% -0.04% -8.89% -1.15% 27.09%

CSU.DB

Constellation Software Inc. Unsecured Subordinated Floating Rate Debentures Series 1 118.02 2.50 b 109.50 k -0.82% 1.39% 0.55% -0.74% -0.50%

MG

Magna International Inc. 59.58 17.10 b 1.20 m -0.83% -1.97% -7.18% 10.00% 3.57%

EIF

Exchange Income Corporation 58.36 2.70 b 105.40 k -0.83% -0.63% 2.80% 11.67% 37.00%

GDL

Goodfellow Inc. 12.99 110.40 m 4.30 k -0.84% -1.37% -5.53% -12.47% -8.09%

REP

RAM Essential Services Property Fund Stapled (2 Units) 0.59 303.90 m 529.50 k -0.84% -3.28% -0.84% -14.49% -1.67%

REP

RAM Essential Services Property Fund Stapled (2 Units) 0.59 303.90 m 529.50 k -0.84% -3.28% -0.84% -14.49% -1.67%

BCE.PR.O

BCE Inc. Cumulative Redeemable First Preferred Shares Series AO 24.99 22.70 b 9.70 k -0.84% -0.04% 0.08% -0.84% 2.01%

TA.PR.J

TransAlta Corporation cumulative redeemable rate reset first preferred shares series G 23.55 7.00 b 3.40 k -0.84% 0.21% 1.07% 3.10% 8.21%

BPO.PR.A

Brookfield Office Properties Inc. Class AAA Preference Shares Series AA 16.44 8.30 b 7.90 k -0.84% 1.17% 1.19% 15.36% 33.80%

SNL

SUPPLY NET FPO [SNL] 32.72 1.30 b 33.50 k -0.85% -0.73% 1.68% 9.10% 41.65%