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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

BLCO

Bausch + Lomb Corporation 25.64 9.00 b 2.40 k -1.23% -0.74% -7.14% 0.16% 25.44%

VREO

Vireo Growth Inc Com 0.80 86.50 m 153.70 k -1.23% 3.90% 42.86% 29.03% 40.35%

CCG

Comms Group Ltd Ord Fully Paid 0.080 30.70 m 349.80 k -1.23% 2.56% 3.90% 0.00% 33.33%

AHX

APIAM FPO [AHX] 0.400 72.50 m 102.40 k -1.23% 0 3.90% -11.11% 17.65%

HIX

BetaPro S&P/TSX 60 Daily Inverse ETF 25.00 10.30 m 3.00 k -1.24% -0.96% 2.44% -4.07% -13.35%

MA

MASTERCARD CDR 32.71 30.00 b 10.20 k -1.24% -2.50% -1.27% 4.74% 15.58%

LB

Laurentian Bank of Canada 28.60 1.20 b 272.10 k -1.24% -0.42% -3.28% 7.12% 14.25%

CUP

Count Ltd Ord Fully Paid 0.79 133.30 m 69.50 k -1.25% -1.25% 3.27% 21.54% 51.92%

DMX

District Metals Corp. 0.395 51.50 m 186.40 k -1.25% -7.06% 3.95% 0.00% 14.49%

CJ.DB

Cardinal Energy Ltd. 7.75% Senior Unsecured Debentures 98.50 0 55.30 k -1.25% -1.25% -1.25% -1.25% -1.25%

POL

Polymetals Resources Ltd Ord Fully Paid 0.79 123.70 m 302.00 k -1.26% -7.10% 3.29% 130.88% 201.92%

NBM

NEO Battery Materials Ltd. 0.78 91.90 m 538.70 k -1.27% -1.27% -3.70% 143.75% 550.00%

NXL

Nuix Ltd Ord Fully Paid 6.24 2.00 b 876.60 k -1.27% -0.95% -5.60% -2.35% 105.94%

CYBE

CyberCatch Holdings Inc. 0.390 2.20 m 22.30 k -1.27% 30.00% 188.89% 100.00% 56.00%

DR

Medical Facilities Corporation 15.41 370.50 m 37.60 k -1.28% -0.19% -2.45% 18.06% 22.68%

SVL

SILVERMINE FPO [SVL] 0.077 116.10 m 6.80 m -1.28% -3.75% -20.62% -14.44% -51.88%

GBT

BMTC Group Inc. 13.08 425.90 m 1.10 k -1.28% 0.23% 0.73% 1.43% 5.07%

CCL.B

CCL Industries Inc. Unlimited Class B Non-Voting Shares 73.00 12.90 b 344.60 k -1.28% -1.63% -6.90% -7.88% 3.11%

HILS

Hill & Smith PLC 0 0 96.60 k -1.28% -2.12% -10.70% -6.42% -4.30%

LCS

Brompton Lifeco Split Corp. Class A Shares 8.44 76.10 m 19.50 k -1.29% -0.99% -4.65% 14.81% 62.58%

MRG.DB.B

Morguard North American Residential Real Estate Investment Trust 6.00% Convertible Unsecured Subordinated Debentures 103.05 5.60 b 40.50 k -1.29% -1.32% 1.03% 1.82% 3.83%

IRON

Ironveld Plc - Ordinary Shares 0 0 21.30 m -1.30% 0 5.56% -5.00% -5.00%

HARB.J

Horizons Tactical Absolute Return Bond ETF 8.69 28.10 m 100.00 -1.30% 0.35% 1.48% -1.11% 4.14%

GWO

Great-West Lifeco Inc. 47.05 43.80 b 3.60 m -1.30% -1.09% -3.35% 3.53% 22.77%

CNE

Canacol Energy Ltd. 3.79 129.20 m 46.30 k -1.30% 6.76% -7.79% 6.46% -8.89%

EZZ

EZZ Life Science Holdings Limited 3.03 134.50 m 71.90 k -1.30% -2.26% 27.85% -31.60% 154.62%

Z2U

Zoom2u Technologies Ltd 0.075 14.50 m 19.60 k -1.32% -8.54% -3.85% -1.32% 7.14%

Z2U

Zoom2u Technologies Ltd 0.075 14.50 m 19.60 k -1.32% -8.54% -3.85% -1.32% 7.14%

1SN

First Tin Plc 0 0 295.00 k -1.32% -1.32% -3.85% -26.95% 4.55%

RAY.A

Stingray Group Inc. Subordinate Voting Shares 7.45 509.70 m 71.10 k -1.32% -0.27% -5.70% 2.32% -0.36%

NOVR

Nova Royalty Corp. 1.49 140.20 m 107.80 k -1.32% -7.45% 2.76% -0.67% -6.88%

ONAU

OnGold Resources Ltd. 0.74 46.80 m 33.90 k -1.33% 4.23% 27.59% 54.17% 5.71%

PPL.PR.I

Pembina Pipeline Corporation cumulative redeemable rate reset class A preferred shares series 9 24.42 14.10 b 6.60 k -1.33% -0.53% 0.62% 5.09% 11.09%

GIGR

Guardian i3 Global REIT ETF 16.81 2.50 m 176.00 -1.34% -0.55% 2.25% 0.02% 0.80%

NTO

Nitro Software Limited - Ordinary Shares 2.19 550.00 m 762.30 k -1.35% 0 0.00% -1.35% 39.94%

AAU

Ariana Resources - Ordinary Shares 0 0 1.70 m -1.35% -6.41% -28.43% -8.75% -28.43%

HYMC

Hycroft Mining Holding Corporation 2.18 53.90 m 159.00 k -1.36% 3.32% -6.03% -13.83% -15.83%

PPS

PRAEMIUM FPO [PPS] 0.73 352.00 m 895.10 k -1.36% -2.03% 0.00% 29.46% 64.77%

A1N

ARN Media Ltd 0.73 226.90 m 81.80 k -1.36% 0 3.57% 0.69% 0.69%

ASCU

Arizona Sonoran Copper Company Inc. 1.45 158.70 m 99.60 k -1.36% 4.32% -2.68% -5.84% 14.17%

VMT

VMOTO FPO [VMT] 0.072 29.10 m 491.50 k -1.37% 1.41% -40.00% -40.00% -48.57%

HMY

Harmoney Corp Limited 0.360 36.70 m 13.40 k -1.37% -1.37% -2.70% 0.00% -5.26%

RS.PR.A

Real Estate Split Corp. Preferred Shares 10.08 38.90 m 20.70 k -1.37% 0.31% 1.00% 1.81% 6.22%

IMM

Immutep Limited - Ordinary Shares 0.360 316.40 m 2.60 m -1.37% 4.35% 10.77% 16.13% -14.29%

EIF.DB.J

Exchange Income Corporation 7 Year 5.35% Convertible Unsecured Subordinated Debentures 100.00 4.70 b 649.40 k -1.38% -11.03% -11.55% -5.03% -0.02%

TVL

Touch Ventures Ltd 0.071 50.00 m 169.50 k -1.39% 0 1.43% 1.43% -11.25%

TVL

Touch Ventures Ltd 0.071 50.00 m 169.50 k -1.39% 0 1.43% 1.43% -11.25%

CBO

Cobram Estate Olives Ltd 2.12 884.90 m 361.00 k -1.40% -1.40% 4.95% 21.14% 19.77%

PDV.PR.A

Prime Dividend Corp. Preferred Shares 10.50 8.90 m 267.00 -1.41% -0.80% -0.62% 4.28% 5.27%

CVG

Clairvest Group Inc. 69.01 1.00 b 1.10 k -1.41% -1.41% -5.47% -0.16% 1.22%

MXT

Metrics Master Income Trust Units 2.08 2.20 b 1.40 m -1.42% -2.35% -0.48% 0.00% 1.96%

DBF

Duxton Farms Ltd Ord Fully Paid 1.39 57.70 m 8.00 k -1.42% -0.36% 0.36% 2.59% -5.78%

KITS

Kits Eyecare Ltd. 8.31 262.10 m 23.70 k -1.42% 0.12% -10.55% -20.86% 4.14%

TRS

REJECTSHOP FPO [TRS] 2.75 105.80 m 15.90 k -1.43% -3.85% -4.84% -13.52% -11.29%

ATD

Alimentation Couche-Tard Inc. 78.56 74.40 b 1.30 m -1.46% -1.97% -5.16% 6.63% 3.08%

OMA

Omega Oil & Gas Ltd 0.335 91.50 m 191.70 k -1.47% 9.84% 28.85% 11.67% 76.32%

PLT

Plenti Group Limited 0.67 117.00 m 84.20 k -1.47% 0 -2.90% -6.94% -20.24%

COB

COBALT BLU FPO [COB] 0.067 28.20 m 495.60 k -1.47% 1.52% -4.29% -16.25% -16.25%

FTU.PR.B

US Financial 15 Split Corp. 2012 Preferred Shares 7.34 13.90 m 1.20 k -1.48% -0.55% -4.02% 13.22% 19.96%

SPK

Spark New Zealand Ltd 2.65 4.80 b 2.70 m -1.49% -0.75% 0.38% -6.36% -25.43%

BIPC

Brookfield Infrastructure Corporation Class A Exchangeable Subordinate Voting Shares 56.82 8.10 b 140.10 k -1.49% 3.03% -8.31% 1.87% 25.83%

FFH.U

Fairfax Financial Holdings Limited Subordinate Voting Shares (quoted in US funds) 1,371.18 30.10 b 20.00 -1.49% -1.49% 1.64% 26.94% 23.86%

CAF

C ALLIANCE FPO [CAF] 0.330 65.60 m 140.60 k -1.49% 0 8.20% 6.45% 10.00%

BBC

BNK Banking Corporation Limited - Ordinary Shares 0.330 39.10 m 18.50 k -1.49% 1.54% 6.45% -8.33% -5.71%

DXEM

Dynamic Active Emerging Markets ETF 13.23 2.60 m 381.00 -1.49% -0.53% -0.15% -1.35% 4.52%

ENB.PR.Z

Enbridge Inc. Cumulative Redeemable Preference Shares Series 4 18.37 40.00 b 283.00 -1.50% -1.50% 0.93% 3.00% 0

DTC

Defence Therapeutics Inc. Class A 0.65 30.90 m 27.10 k -1.52% 1.56% 25.00% 12.07% -30.11%

FTT

Finning International Inc. 37.51 5.20 b 484.40 k -1.52% 0.54% -3.75% -15.24% -2.69%

PMEI.UN

PIMCO Monthly Enhanced Income Fund 9.01 0 16.20 k -1.53% 0.11% 0.00% 0.00% 0

RDX

Redox Ltd. 4.49 2.30 b 310.60 k -1.54% 1.35% 16.02% 33.63% 44.84%

DRM

DREAM Unlimited Corp. Class A Subordinate Voting Shares 21.78 915.10 m 40.90 k -1.54% -1.22% -8.51% -30.32% 26.74%

ENR

ENCOUNTER FPO [ENR] 0.320 143.90 m 819.00 k -1.54% -1.54% -12.33% -23.81% 6.67%

AIM.PR.C

Aimia Inc. Cumulative Rate Reset Preferred Shares Series 3 16.60 1.60 b 1.40 k -1.54% -2.92% -5.33% -6.42% 6.99%

GRGD

Groupe Dynamite Inc. Subordinate voting shares 19.15 2.00 b 115.20 k -1.54% -1.90% -5.99% 0.00% 0

RIO

Rio2 Limited 0.63 267.30 m 360.30 k -1.56% 3.28% 3.28% -4.55% 27.27%

KLD

Kenorland Minerals Ltd. 1.26 96.50 m 24.40 k -1.56% -2.33% 21.15% 15.60% 34.04%

BSR

Bluestone Resources Inc. 0.315 47.80 m 796.80 k -1.56% 3.28% 5.00% -25.88% 28.57%

MCP

MCPHERSON FPO [MCP] 0.315 45.30 m 103.50 k -1.56% 0 -8.70% -25.00% -26.74%

IGBT.UN

2028 Investment Grade Bond Trust 10.06 32.90 m 9.30 k -1.57% -0.98% -1.93% -1.36% 4.13%

TBL

Taiga Building Products Ltd. 3.77 406.90 m 5.80 k -1.57% -0.79% -0.79% -0.79% -2.84%

SGY.DB.A

Surge Energy Inc. 6.75% Series 2 convertible unsecured subordinated debentures 99.90 10.00 b 44.90 k -1.57% -0.05% -0.10% 0.71% -0.21%

TUA

Tuas Limited - Ordinary Shares 6.26 2.90 b 515.40 k -1.57% 1.46% 15.50% 15.93% 42.92%

IFC.PR.C

Intact Financial Corporation Non-cumulative Rate Reset Class A Shares Series 3 21.90 3.90 b 6.10 k -1.57% 0.92% 5.67% 6.18% 15.53%

DVR

Diverger Ltd Ord Fully Paid 1.24 49.20 m 78.30 k -1.59% 0 -3.13% -3.13% 34.78%

STP

Step One Clothing Ltd 1.24 229.80 m 273.00 k -1.59% -1.59% -14.19% -27.06% -8.15%

Y

Yellow Pages Limited 11.66 160.30 m 6.10 k -1.60% 2.19% -0.51% 21.99% 37.41%

DHT.UN

DRI Healthcare Trust 11.64 656.30 m 51.00 k -1.61% -2.01% -12.25% -11.19% -20.23%

CAF

Canaf Investments Inc. 0.305 14.40 m 26.30 k -1.61% 7.02% 12.96% 12.96% 45.24%

AD8

Audinate Group Ltd 7.29 605.80 m 306.80 k -1.62% -1.88% -14.74% -24.30% -56.19%

C79

Chrysos Corporation Ltd 4.86 383.50 m 89.00 k -1.62% -1.42% 1.46% -15.04% -2.41%

TWC

TWC Enterprises Limited 18.20 445.90 m 862.00 -1.62% -1.09% -1.14% -2.54% -0.80%

ATRL

AtkinsRéalis Group Inc. 75.01 13.10 b 423.50 k -1.64% -0.31% 0.08% 29.56% 26.81%

SIX

SPRINTEX FPO [SIX] 0.060 29.60 m 272.40 k -1.64% -1.64% 17.65% -14.29% 20.00%

TI

Titan Mining Corporation 0.300 40.90 m 77.60 k -1.64% 0 11.11% -6.25% 20.00%

PMN

ProMIS Neurosciences Inc. 6.00 179.30 m 8.00 k -1.64% 64.84% -0.83% -25.09% -1.64%

UPS

UPS CDR 16.17 13.70 b 14.40 k -1.64% -2.12% -4.77% -4.56% -6.83%

VEE

VEEM LTD FPO [VEE] 1.19 161.50 m 98.60 k -1.65% -1.65% -16.49% -17.36% -25.63%

TGO

TeraGo Inc. 1.19 23.70 m 11.70 k -1.65% -2.46% -7.03% -44.39% -38.97%

AMX

Aerometrex Limited - Ordinary Shares 0.295 28.00 m 5.20 k -1.67% 1.72% 0.00% -13.24% -22.37%

MAXX

Max Power Mining Corp. 0.295 19.40 m 433.80 k -1.67% 13.46% 15.69% -21.33% -30.59%