Symbol |
Tickername |
Share Volume |
Dollar Value |
Trades |
AAB |
ABERDEEN INTERNATIONAL ORD SHS |
900 |
68.5 |
2 |
AAG |
AFTERMATH SILVER ORD SHS AT XT |
2,659 |
918.74 |
20 |
AAN |
ATON RESOURCES ORD SHS AT XTSX |
167,403 |
8,545.16 |
30 |
AAV |
ADVANTAGE OIL AND GAS ORD SHS |
27,800 |
47,012.00 |
54 |
AAX |
ADVANCE GOLD CORP AT XTSX |
60 |
6.9 |
1 |
AAZ |
AZINCOURT ENERGY ORD SHS AT XT |
21,674 |
702.09 |
4 |
ABI |
ABCOURT MINES ORD SHS AT XTSX |
971 |
85.035 |
2 |
ABN |
ABEN RESOURCES LTD AT XTSX |
1,865 |
272.875 |
7 |
ABR |
ARBOR METALS ORD SHS AT XTSX |
54 |
51.84 |
1 |
ABRA |
ABRAPLATA RESOURCE CORP AT XTS |
2,278 |
390.425 |
9 |
ABT |
ABSOLUTE SOFTWARE ORD SHS AT X |
14,378 |
204,356.88 |
97 |
ABX |
BARRICK GOLD ORD SHS AT XTSE |
89,985 |
3,189,267.56 |
488 |
AC |
AIR CANADA AT XTSE |
27,298 |
468,056.97 |
512 |
ACB |
AURORA CANNABIS INC AT XTSE |
38,856 |
639,262.93 |
203 |
ACB.WT |
AURORA CANNABIS INC AT XTSE |
16,000 |
5,200.00 |
3 |
ACE.H |
ACE AVIATION HOLDINGS ORD SHS |
100 |
18.5 |
1 |
ACES |
SEVEN ACES ORD SHS AT XTSX |
5 |
10.95 |
1 |
ACO.X |
ATCO ORD SHS CLASS I AT XTSE |
9,051 |
372,175.51 |
87 |
ACQ |
AUTOCANADA ORD SHS AT XTSE |
4,925 |
54,882.28 |
38 |
ACRG.U |
ACREAGE HOLDINGS SUBORDINATE V |
40 |
99.6 |
1 |
ACST |
ACASTI PHARMA INC AT XTSX |
1,948 |
1,443.01 |
31 |
AD |
ALARIS ROYALTY ORD SHS AT XTSE |
5,421 |
66,487.03 |
67 |
AD.DB |
ALARIS ROYALTY CORP AT XTSE |
10,000 |
8,849.00 |
4 |
ADCO |
ADCORE ORD SHS AT XTSX |
300 |
192.0 |
1 |
ADD |
ARCTIC STAR EXPLORATION ORD SH |
1,036 |
24.22 |
3 |
ADK |
DIAGNOS ORD SHS AT XTSX |
250 |
40.0 |
1 |
ADN |
ACADIAN TIMBER ORD SHS AT XTSE |
706 |
10,285.02 |
7 |
ADW.A |
ANDREW PELLER ORD SHS CLASS A |
540 |
4,730.00 |
6 |
ADZ |
ADAMERA MINERALS ORD SHS AT XT |
300 |
31.5 |
1 |
ADZN |
ADVENTUS MINING CORP AT XTSX |
8,600 |
11,968.00 |
5 |
AEF |
ACASTA ENTERPRISES ORD SHS CLA |
300 |
162.0 |
1 |
AEM |
AGNICO EAGLE MINES ORD SHS AT |
48,427 |
4,094,860.41 |
327 |
AEP |
ATLAS ENGINEERED PRODUCTS ORD |
3,025 |
817.25 |
2 |
AEZS |
AETERNA ZENTARIS ORD SHS AT XT |
5,089 |
2,798.09 |
19 |
AFF |
AFFINITY METALS ORD SHS AT XTS |
4,588 |
1,858.20 |
6 |
AFI |
AFFINOR GROWERS ORD SHS AT XCN |
767 |
23.01 |
1 |
AFN |
AG GROWTH INTERNATIONAL ORD SH |
3,315 |
90,216.44 |
38 |
AFN.DB.F |
AG GROWTH INTERNATIONAL INC AT |
65,000 |
60,501.50 |
3 |
AGC |
AMARILLO GOLD ORD SHS AT XTSX |
188 |
43.77 |
3 |
AGD |
ANTIOQUIA GOLD ORD SHS AT XTSX |
500 |
20.0 |
1 |
AGF.B |
AGF MANAGEMENT LTD AT XTSE |
21,921 |
109,230.19 |
107 |
AGG |
AFRICAN GOLD GROUP ORD SHS AT |
1,200 |
354.87 |
19 |
AGI |
ALAMOS GOLD ORD SHS CLASS A AT |
13,233 |
167,594.75 |
55 |
AGN |
ALGERNON PHARMACEUTICALS ORD S |
5,460 |
1,092.37 |
4 |
AGRA |
AGRAFLORA ORGANICS INTL ORD SH |
158,071 |
7,511.99 |
22 |
AH |
ALEAFIA HEALTH INC AT XTSE |
2,029 |
1,014.96 |
13 |
AI |
ATRIUM MORTGAGE INVESTMENT ORD |
1,808 |
19,498.01 |
18 |
AI.DB.C |
ATRIUM MORTGAGE INVESTMENT COR |
4,000 |
3,810.40 |
1 |
AIF |
ALTUS GROUP LTD/CANADA AT XTSE |
27,483 |
1,125,644.00 |
42 |
AIM |
AIMIA INC AT XTSE |
1,780 |
5,717.77 |
11 |
AIM.PR.C |
AIMIA CUMULATIVE RATE RESET PR |
100 |
1,661.00 |
1 |
AIR |
CLEAN AIR METALS INC AT XTSX |
200 |
74.0 |
1 |
AIS |
AIS RESOURCES ORD SHS AT XTSX |
700 |
21.0 |
2 |
AJN |
AJN RESOURCES ORD SHS AT XCNQ |
390 |
140.4 |
1 |
AJX |
AGJUNCTION ORD SHS AT XTSE |
400 |
102.0 |
1 |
AKR |
ACKROO ORD SHS AT XTSX |
260 |
28.6 |
1 |
AKT.A |
AKITA DRILLING ORD SHS CLASS A |
24,805 |
11,319.91 |
123 |
AKU |
AKUMIN ORD SHS AT XTSE |
476 |
1,287.65 |
4 |
AKU.U |
AKUMIN ORD SHS AT XTSE |
2,600 |
5,092.00 |
11 |
AL |
ALX RESOURCES ORD SHS AT XTSX |
500 |
22.5 |
1 |
ALA |
ALTAGAS ORD SHS AT XTSE |
38,546 |
615,069.83 |
145 |
ALA.PR.A |
ALTAGAS CUMULATIVE REDEEMABLE |
100 |
1,066.00 |
1 |
ALA.PR.B |
ALTAGAS LTD AT XTSE |
300 |
3,243.00 |
2 |
ALA.PR.G |
ALTAGAS 5 YEAR RATE RESET CUMU |
500 |
6,745.00 |
3 |
ALA.PR.I |
ALTAGAS CUMULATIVE REDEEMABLE |
150 |
3,134.00 |
2 |
ALA.PR.U |
ALTAGAS CUMULATIVE REDEEMABLE |
165 |
2,367.25 |
2 |
ALC |
ALGOMA CENTRAL ORD SHS AT XTSE |
2,650 |
27,883.50 |
13 |
ALC.DB.A |
ALGOMA CENTRAL CORP AT XTSE |
26,000 |
26,257.40 |
2 |
ALLI |
ALPHA LITHIUM ORD SHS AT XTSX |
1,957 |
1,665.27 |
7 |
ALO |
ALIO GOLD INC AT XTSE |
9,467 |
18,183.17 |
38 |
ALS |
ALTIUS MINERALS ORD SHS AT XTS |
149 |
1,448.42 |
4 |
ALTA |
ALTAMIRA GOLD CORP AT XTSX |
1,190 |
137.4 |
5 |
ALY |
ANALYTIXINSIGHT ORD SHS AT XTS |
1,090 |
506.725 |
8 |
ALYA |
ALITHYA GROUP INC AT XTSE |
1,300 |
2,804.00 |
7 |
AM |
ACADEMY METALS ORD SHS AT XTSX |
3,250 |
440.0 |
2 |
AMC |
ARIZONA METALS ORD SHS AT XTSX |
5 |
3.4 |
1 |
AME |
ABACUS MINING AND EXPLORATION |
43 |
4.83 |
3 |
AMI |
ATHABASCA MINERALS ORD SHS AT |
791 |
132.125 |
7 |
AMK |
AMERICAN CREEK RESOURCES LTD A |
3,916 |
1,292.62 |
19 |
AMM |
ALMADEN MINERALS ORD SHS AT XT |
1,658 |
1,148.76 |
2 |
AMPD |
AMPD VENTURES ORD SHS AT XCNQ |
300 |
48.0 |
1 |
AMX |
AMEX EXPLORATION ORD SHS AT XT |
9,443 |
27,193.59 |
52 |
AMY |
AMERICAN MANGANESE ORD SHS AT |
400 |
78.0 |
2 |
AMZ |
AZUCAR MINERALS LTD AT XTSX |
800 |
150.5 |
2 |
AND |
ANDLAUER HEALTHCARE GROUP INC |
6,880 |
266,981.16 |
65 |
ANTL |
ANTLER GOLD INC AT XTSX |
600 |
193.5 |
2 |
ANX |
ANACONDA MINING ORD SHS AT XTS |
471 |
168.675 |
3 |
AOT |
ASCOT RESOURCES ORD SHS AT XTS |
1,699 |
1,972.42 |
16 |
AP.UN |
ALLIED PROPERTIES REAL ESTATE |
32,421 |
1,340,028.37 |
142 |
APGO |
APOLLO GOLD CORP AT XTSX |
714 |
567.43 |
7 |
APHA |
APHRIA ORD SHS AT XTSE |
9,101 |
53,228.46 |
126 |
APLI |
APPILI THERAPEUTICS INC AT XTS |
4 |
3.72 |
1 |
APN |
ALTIPLANO METALS INC AT XTSX |
727 |
61.795 |
1 |
APR.UN |
AUTOMOTIVE PROPERTIES REAL EST |
2,170 |
19,876.64 |
12 |
APS |
APTOSE BIOSCIENCES ORD SHS AT |
2,205 |
19,077.10 |
15 |
AQN |
ALGONQUIN POWER UTILITIES ORD |
25,113 |
443,024.12 |
197 |
AQN.PR.A |
ALGONQUIN POWER AND UTILITIES |
400 |
6,780.00 |
2 |
AQN.PR.D |
ALGONQUIN POWER & UTILITIES CO |
30 |
512.7 |
1 |
AQUA |
AQUARIUS AI ORD SHS AT XTSX |
1,665 |
24.975 |
3 |
AR |
ARGONAUT GOLD ORD SHS AT XTSE |
40,698 |
117,154.03 |
118 |
ARCH |
ARCH BIOPARTNERS ORD SHS AT XT |
74 |
106.56 |
1 |
ARE |
AECON GROUP ORD SHS AT XTSE |
12,243 |
181,258.93 |
57 |
ARE.DB.C |
AECON GROUP 5 00 CONVERTIBLE U |
7,000 |
6,953.80 |
3 |
ARG |
AMERIGO RESOURCES ORD SHS AT X |
527 |
184.48 |
13 |
ARIC |
AWALE RESOURCES LTD AT XTSX |
3,634 |
379.6 |
5 |
ART |
ARHT MEDIA INC AT XTSX |
6,071 |
1,187.94 |
6 |
ARTG |
ARTEMIS GOLD ORD SHS AT XTSX |
882,524 |
4,882,063.20 |
116 |
ARU |
AURANIA RESOURCES ORD SHS AT X |
318 |
939.96 |
4 |
ARX |
ARC RESOURCES ORD SHS AT XTSE |
13,864 |
66,243.37 |
75 |
ASI |
ASHANTI SANKOFA ORD SHS AT XTS |
800 |
36.0 |
1 |
ASM |
AVINO SILVER & GOLD MINES LTD |
3,198 |
3,544.74 |
7 |
ASR |
ALACER GOLD ORD SHS AT XTSE |
19,480 |
176,567.50 |
62 |
AT |
ACUITYADS HOLDINGS ORD SHS AT |
232 |
258.33 |
19 |
ATA |
ATS AUTOMATION TOOLING SYSTEMS |
2,988 |
56,147.45 |
44 |
ATC |
ATAC RESOURCES LTD AT XTSX |
190 |
54.15 |
3 |
ATD.A |
ALIMENTATION COUCHE TARD MULTI |
1,183 |
51,512.52 |
9 |
ATD.B |
ALIMENTATION COUCHE TARD SUB V |
21,081 |
910,771.49 |
280 |
ATE |
ANTIBE THERAPEUTICS ORD SHS AT |
4,678 |
1,886.78 |
34 |
ATH |
ATHABASCA OIL ORD SHS AT XTSE |
1,815 |
340.1 |
6 |
ATY |
ATICO MINING ORD SHS AT XTSX |
2,400 |
764.0 |
2 |
ATZ |
ARITZIA SUBORDINATE VOTING ORD |
27,019 |
516,146.06 |
198 |
AU |
AURION RESOURCES ORD SHS AT XT |
572 |
795.8 |
2 |
AUAU |
ALLEGIANT GOLD ORD SHS AT XTSX |
2,985 |
1,175.95 |
4 |
AUG |
AURYN RESOURCES ORD SHS AT XTS |
5,155 |
13,688.00 |
25 |
AUMB |
1911 GOLD ORD SHS AT XTSX |
1,031 |
556.85 |
9 |
AUMN |
GOLDEN MINERALS ORD SHS AT XTS |
250 |
165.0 |
2 |
AUN |
AURCANA ORD SHS AT XTSX |
12,549 |
7,455.56 |
12 |
AUP |
AURINIA PHARMACEUTICALS ORD SH |
2,123 |
44,104.13 |
25 |
AUSA |
AUSTRALIS CAPITAL ORD SHS AT X |
2,226 |
401.625 |
25 |
AUU |
AURA RESOURCES INC AT XTSX |
722 |
50.54 |
2 |
AUX |
AURAMEX RESOURCE CORP AT XTSX |
1,512 |
736.14 |
5 |
AVCN |
AVICANNA ORD SHS AT XTSE |
138 |
200.55 |
4 |
AVG |
AVIDIAN GOLD CORP AT XTSX |
332,533 |
39,788.46 |
20 |
AVL |
AVALON ADVANCED MATERIALS ORD |
750 |
41.25 |
1 |
AVU |
AVRUPA MINERALS ORD SHS AT XTS |
500 |
17.5 |
1 |
AVX |
ALTAIR RESOURCES ORD SHS AT XT |
850 |
21.25 |
1 |
AW.UN |
A&W REVENUE ROYALTIES INCOME U |
4,624 |
121,324.18 |
41 |
AWE |
THUNDERSTRUCK RESOURCES ORD SH |
550 |
59.0 |
2 |
AWX |
ARCWEST EXPLORATION ORD SHS AT |
546 |
73.89 |
3 |
AX.PR.A |
ARTIS REAL ESTATE INVESTMENT P |
300 |
4,746.00 |
2 |
AX.PR.I |
ARTIS REAL ESTATE INVESTMENT P |
2,825 |
56,624.50 |
3 |
AX.UN |
ARTIS REAL ESTATE INVESTMENT T |
3,989 |
30,438.42 |
35 |
AXU |
ALEXCO RESOURCE ORD SHS AT XTS |
33,071 |
99,153.13 |
65 |
AYM |
ATALAYA MINING ORD SHS AT XTSE |
300 |
791.0 |
2 |
AZM |
AZIMUT EXPLORATION ORD SHS AT |
17,445 |
49,397.55 |
39 |
AZP.PR.A |
ATLANTIC POWER PREFERRED EQUIT |
100 |
1,627.00 |
1 |
AZP.PR.B |
ATLANTIC POWER PREFERRED EQUIT |
4,830 |
79,875.30 |
11 |
AZT |
AZTEC MINERALS ORD SHS AT XTSX |
595 |
238.0 |
3 |
AZZ |
AZARGA URANIUM ORD SHS CLASS A |
100 |
17.0 |
1 |
B |
BCM RESOURCES ORD SHS AT XTSX |
500 |
27.5 |
1 |
BABY |
ELSE NUTRITION HOLDINGS INC AT |
6,246 |
13,344.31 |
34 |
BAD |
BADGER DAYLIGHTING ORD SHS AT |
866 |
26,096.62 |
14 |
BAM.A |
BROOKFIELD ASSET MANAGEMENT OR |
27,600 |
1,227,909.66 |
315 |
BAM.PF.A |
BROOKFIELD ASSET MANAGEMENT CU |
441 |
6,823.39 |
5 |
BAM.PF.B |
BROOKFIELD ASSET MANAGEMENT CU |
445 |
6,210.95 |
6 |
BAM.PF.D |
BROOKFIELD ASSET MANAGEMENT CU |
2,000 |
43,240.00 |
2 |
BAM.PF.E |
BROOKFIELD ASSET MANAGEMENT IN |
7,300 |
93,947.00 |
21 |
BAM.PF.F |
BROOKFIELD ASSET MANAGEMENT CU |
621 |
8,921.63 |
5 |
BAM.PF.G |
BROOKFIELD ASSET MANAGEMENT CU |
3,800 |
52,561.00 |
13 |
BAM.PF.H |
BROOKFIELD ASSET MANAGEMENT CU |
1,045 |
25,516.60 |
5 |
BAM.PF.I |
BROOKFIELD ASSET MANAGEMENT SE |
155 |
3,600.85 |
3 |
BAM.PF.J |
BROOKFIELD ASSET MANAGEMENT SE |
520 |
11,916.40 |
3 |
BAM.PR.B |
BROOKFIELD ASSET MANAGEMENT SE |
85 |
637.5 |
2 |
BAM.PR.C |
BROOKFIELD ASSET MANAGEMENT PR |
100 |
746.0 |
1 |
BAM.PR.E |
BROOKFIELD ASSET MANAGEMENT IN |
700 |
7,392.00 |
2 |
BAM.PR.K |
BROOKFIELD ASSET MANAGEMENT PR |
200 |
1,495.00 |
2 |
BAM.PR.M |
BROOKFIELD ASSET MANAGEMENT PR |
200 |
4,192.00 |
2 |
BAM.PR.N |
BROOKFIELD ASSET MANAGEMENT IN |
150 |
3,146.00 |
2 |
BAM.PR.R |
BROOKFIELD ASSET MANAGEMENT CU |
1,036 |
11,660.85 |
7 |
BAM.PR.Z |
BROOKFIELD ASSET MANAGEMENT CU |
605 |
8,998.65 |
5 |
BAMM |
BODY AND MIND ORD SHS AT XCNQ |
475 |
178.125 |
1 |
BANC |
BANKERS COBALT CORP AT XTSX |
48 |
7.44 |
1 |
BATT |
BLUEBIRD BATTERY METALS ORD SH |
10 |
1.5 |
2 |
BAY |
ASTON BAY HOLDINGS LTD AT XTSX |
671 |
75.92 |
4 |
BB |
BLACKBERRY ORD SHS AT XTSE |
27,037 |
178,766.97 |
116 |
BBB |
BRIXTON METALS ORD SHS AT XTSX |
456 |
114.125 |
3 |
BBD.A |
BOMBARDIER ORD SHS CLASS A AT |
478 |
318.63 |
5 |
BBD.B |
BOMBARDIER ORD SHS CLASS B AT |
261,684 |
113,548.15 |
312 |
BBD.PR.B |
BOMBARDIER PREF SHS SERIES 2 A |
300 |
1,997.00 |
2 |
BBD.PR.C |
BOMBARDIER INC AT XTSE |
940 |
9,520.00 |
7 |
BBD.PR.D |
BOMBARDIER PREF SHS SERIES 3 A |
69 |
582.36 |
1 |
BBU.UN |
BROOKFIELD BUSINESS PARTNERS U |
7,280 |
311,784.87 |
34 |
BCE |
BCE ORD SHS AT XTSE |
57,040 |
3,236,446.15 |
420 |
BCE.PR.A |
BCE PREF SHS SERIES AA AT XTSE |
559 |
6,544.37 |
8 |
BCE.PR.B |
BCE INC AT XTSE |
1,594 |
17,113.20 |
5 |
BCE.PR.D |
BCE CUMULATIVE REDEEMABLE FIRS |
1,405 |
15,107.00 |
6 |
BCE.PR.E |
BCE INC AT XTSE |
6,800 |
72,801.00 |
8 |
BCE.PR.F |
BCE FIRST PREF SHS SERIES AF A |
500 |
6,344.50 |
3 |
BCE.PR.G |
BCE CUMULATIVE REDEEMABLE FIRS |
200 |
2,135.50 |
2 |
BCE.PR.H |
BCE INC AT XTSE |
1,600 |
17,136.00 |
6 |
BCE.PR.I |
BCE FIRST PREF SHS SERIES AI A |
100 |
1,069.00 |
1 |
BCE.PR.J |
BCE INC AT XTSE |
200 |
2,146.00 |
1 |
BCE.PR.K |
BCE CUMULATIVE REDEEMABLE FIRS |
3,900 |
40,963.00 |
4 |
BCE.PR.L |
BCE INC AT XTSE |
200 |
1,990.00 |
2 |
BCE.PR.Q |
BCE CUMULATIVE REDEEMABLE FIRS |
1,030 |
16,586.00 |
5 |
BCE.PR.R |
BCE PREF SHS SERIES R AT XTSE |
1,600 |
17,670.50 |
5 |
BCE.PR.S |
BCE INC AT XTSE |
2,880 |
30,825.80 |
4 |
BCE.PR.Y |
BCE INC AT XTSE |
1,100 |
11,836.00 |
4 |
BCE.PR.Z |
BCE PREF SHS SERIES Z AT XTSE |
200 |
2,400.00 |
1 |
BCM |
BEAR CREEK MINING ORD SHS AT X |
103,424 |
261,326.30 |
45 |
BCT |
BRIACELL THERAPEUTICS ORD SHS |
200 |
1,298.00 |
1 |
BDGC |
BOUNDARY GOLD AND COPPER MININ |
5 |
0.075 |
1 |
BDI |
BLACK DIAMOND GROUP ORD SHS AT |
1,740 |
2,827.20 |
8 |
BDIV |
BROMPTON GLOBAL DIVIDEND GROWT |
72 |
1,306.79 |
2 |
BDT |
BIRD CONSTRUCTION ORD SHS AT X |
9,667 |
59,228.20 |
44 |
BEE |
BEE VECTORING TECHNOLOGIES INT |
701 |
280.4 |
2 |
BEI.UN |
BOARDWALK REAL ESTATE INVESTME |
10,068 |
303,622.34 |
58 |
BEK.B |
BECKER MILK COMPANY ORD SHS CL |
800 |
9,257.00 |
2 |
BEP.PR.E |
BROOKFIELD RENEWABLE PARTNERS |
200 |
4,510.00 |
2 |
BEP.PR.I |
BROOKFIELD RENEWABLE PARTNERS |
200 |
4,864.00 |
2 |
BEP.PR.K |
BROOKFIELD RENEWABLE PARTNERS |
120 |
2,564.60 |
2 |
BEP.PR.M |
BROOKFIELD RENEWABLE PARTNERS |
90 |
1,902.20 |
2 |
BEP.PR.O |
BROOKFIELD RENEWABLE PARTNERS |
1,000 |
24,030.00 |
3 |
BEP.UN |
BROOKFIELD RENEWABLE PARTNERS |
23,929 |
1,603,314.78 |
177 |
BETR |
BETTERLIFE PHARMA INC AT XCNQ |
54 |
89.64 |
1 |
BETS |
I3 INTERACTIVE INC AT XCNQ |
3,068 |
1,893.04 |
10 |
BEX |
BENTON RESOURCES ORD SHS AT XT |
450 |
58.5 |
2 |
BGF |
BEAUCE GOLD FIELDS INC AT XTSX |
24,240 |
4,321.10 |
6 |
BGI.UN |
BROOKFIELD GLOBAL INFRASTRUCTU |
240 |
1,480.00 |
2 |
BGU |
BRISTOL GATE CONCENTRATED US E |
30 |
790.5 |
2 |
BHC |
BAUSCH HEALTH COMPANIES ORD SH |
17,558 |
432,506.31 |
110 |
BHS |
BAYHORSE SILVER INC AT XTSX |
111 |
9.99 |
1 |
BHT |
BRAVEHEART RESOURCES INC AT XT |
200 |
25.0 |
1 |
BIK.PR.A |
BIP INVESTMENT PREF SHS SERIES |
200 |
4,747.00 |
2 |
BIP.PR.A |
BROOKFIELD INFRASTRUCTURE PART |
300 |
4,413.00 |
1 |
BIP.PR.D |
BROOKFIELD INFRASTRUCTURE SERI |
48 |
1,020.00 |
1 |
BIP.PR.E |
BROOKFIELD INFRASTRUCTURE PART |
150 |
3,077.50 |
2 |
BIP.PR.F |
BROOKFIELD INFRASTRUCTURE PART |
500 |
10,260.00 |
1 |
BIP.UN |
BROOKFIELD INFRASTRUCTURE PART |
16,928 |
938,347.94 |
211 |
BIPC |
BROOKFIELD INFRASTRUCTURE CORP |
7,007 |
428,216.73 |
134 |
BIR |
BIRCHCLIFF ENERGY ORD SHS AT X |
65,870 |
75,821.18 |
21 |
BITF |
BITFARMS ORD SHS AT XTSX |
3,333 |
1,322.34 |
72 |
BK |
CANADIAN BANC CORP. CLASS A AT |
245 |
1,566.00 |
2 |
BKM |
PACIFIC BOOKER MINERALS ORD SH |
400 |
996.0 |
1 |
BKR |
BERKWOOD RESOURCES LTD AT XTSX |
35 |
0.875 |
2 |
BL.UN |
GLOBAL INNOVATION DIVIDEND AT |
500 |
6,035.00 |
1 |
BLB.UN |
BLOOM SELECT INCOME AT XTSE |
100 |
755.0 |
1 |
BLDP |
BALLARD POWER SYSTEMS ORD SHS |
61,176 |
1,510,248.53 |
457 |
BLLG |
BLUE LAGOON RESOURCES INC AT X |
682 |
356.0 |
2 |
BLO |
CANNABIX TECHNOLOGIES ORD SHS |
775 |
298.5 |
4 |
BLR |
BLACKHAWK GROWTH CORP AT XCNQ |
150 |
3.0 |
1 |
BLU |
BELLUS HEALTH ORD SHS AT XTSE |
8,213 |
133,435.50 |
43 |
BLX |
BORALEX ORD SHS CLASS A AT XTS |
15,418 |
486,693.94 |
105 |
BME |
BARSELE MINERALS CORP AT XTSX |
53,000 |
18,145.00 |
8 |
BMK |
MACDONALD MINES EXPLORATION LT |
85,725 |
11,767.38 |
12 |
BMO |
BANK OF MONTREAL ORD SHS AT XT |
47,830 |
3,443,122.11 |
407 |
BMO.PR.B |
BANK OF MONTREAL SERIES 38 NON |
100 |
2,299.00 |
1 |
BMO.PR.C |
BANK OF MONTREAL NON CUMULATIV |
300 |
5,838.00 |
1 |
BMO.PR.D |
BANK OF MONTREAL SERIES 42 PRE |
200 |
3,715.00 |
2 |
BMO.PR.S |
BANK OF MONTREAL 5 YEAR RESET |
300 |
4,521.00 |
1 |
BMO.PR.T |
BANK OF MONTREAL NON CUM 5 YR |
100 |
1,472.00 |
1 |
BMO.PR.W |
BANK OF MONTREAL 5 YEAR RATE |
400 |
6,076.00 |
1 |
BMO.PR.Y |
BANK OF MONTREAL NON CUMULATIV |
700 |
11,291.00 |
2 |
BMO.PR.Z |
BANK OF MONTREAL NVCC NON CUMU |
185 |
4,485.50 |
3 |
BNCH |
BENCHMARK METALS ORD SHS AT XT |
2,805 |
1,747.70 |
15 |
BND |
PURPOSE GLOBAL BOND ETF AT XTS |
380 |
7,017.81 |
5 |
BNE |
BONTERRA ENERGY ORD SHS AT XTS |
406 |
572.52 |
5 |
BNK |
BIG BANC SPLIT CORP AT XTSE |
507 |
4,658.09 |
14 |
BNP |
BONAVISTA ENERGY CORP AT XTSE |
371,014 |
17,621.84 |
85 |
BNS |
BANK OF NOVA SCOTIA ORD SHS AT |
78,483 |
4,455,294.54 |
697 |
BNS.PR.E |
BANK OF NOVA SCOTIA NON CUMULA |
989 |
24,173.94 |
6 |
BNS.PR.F |
BANK OF NOVA SCOTIA/THE AT XTS |
88 |
2,159.52 |
1 |
BNS.PR.G |
BANK OF NOVA SCOTIA NON CUMULA |
1,114 |
28,050.36 |
6 |
BNS.PR.H |
BANK OF NOVA SCOTIA NON CUMULA |
2,559 |
59,923.76 |
6 |
BNS.PR.I |
BANK OF NOVA SCOTIA/THE AT XTS |
2,892 |
52,171.27 |
10 |
BNS.PR.Z |
BANK OF NOVA SCOTIA 3.70% FIVE |
1,303 |
32,156.04 |
4 |
BOL |
BOLD VENTURES ORD SHS AT XTSX |
1,000 |
46.0 |
2 |
BOLT |
BOLT METALS ORD SHS AT XCNQ |
10 |
1.45 |
1 |
BOS |
AIRBOSS OF AMERICA ORD SHS AT |
11,456 |
211,561.72 |
50 |
BOSS |
YIELD GROWTH CORP/THE AT XCNQ |
270 |
26.1 |
2 |
BPF.UN |
BOSTON PIZZA ROYALTIES INCOME |
2,463 |
18,585.64 |
64 |
BPO.PR.A |
BROOKFIELD OFFICE PROPERTIES P |
300 |
3,702.00 |
2 |
BPO.PR.C |
BROOKFIELD OFFICE PROPERTITES |
1,598 |
33,084.25 |
7 |
BPO.PR.E |
BROOKFIELD OFFICE PROPERTIES S |
1,700 |
26,801.00 |
4 |
BPO.PR.G |
BROOKFIELD OFFICE PROPERTIES S |
1,000 |
15,430.00 |
2 |
BPO.PR.I |
BROOKFIELD OFFICE PROPERTIES P |
900 |
13,812.00 |
3 |
BPO.PR.N |
BROOKFIELD OFFICE PROPERTIES P |
139 |
1,360.47 |
3 |
BPO.PR.P |
BROOKFIELD OFFICE PROPERTIES P |
417 |
4,142.06 |
6 |
BPO.PR.R |
BROOKFIELD OFFICE PROPERTIES P |
400 |
4,448.35 |
6 |
BPO.PR.S |
BROOKFIELD OFFICE PROPERTIES I |
200 |
2,392.00 |
2 |
BPO.PR.T |
BROOKFIELD OFFICE PROPERTIES P |
50 |
642.5 |
1 |
BPY.UN |
BROOKFIELD PROPERTY PARTNERS U |
61,996 |
961,653.02 |
656 |
BR |
BIG ROCK BREWERY ORD SHS AT XT |
165 |
788.8 |
2 |
BRAG |
BRAGG GAMING GROUP INC AT XTSX |
1,590 |
904.1 |
12 |
BRC |
BLACKROCK GOLD ORD SHS AT XTSX |
5,321 |
2,088.44 |
12 |
BRE |
BRIDGEMARQ REAL ESTATE SERVICE |
1,482 |
17,420.66 |
9 |
BRF.PR.A |
BROOKFIELD RENEWABLE POWER PRE |
600 |
7,227.00 |
4 |
BRF.PR.B |
ACTIONS PRIVILEGIEES ENERGIE R |
1,300 |
15,610.00 |
3 |
BRF.PR.C |
BROOKFIELD RENEWABLE POWER PRE |
100 |
1,406.00 |
1 |
BRF.PR.F |
BROOKFIELD RENEWABLE POWER PRE |
252 |
5,344.48 |
2 |
BRO |
BARKSDALE RESOURCES ORD SHS AT |
503 |
178.64 |
2 |
BSK |
BLUE SKY URANIUM ORD SHS AT XT |
943 |
124.615 |
6 |
BSO.UN |
BROOKFIELD SELECT OPPORTUNITIE |
100 |
329.0 |
1 |
BSR |
BLUESTONE RESOURCES ORD SHS AT |
313 |
624.84 |
6 |
BSX |
BELO SUN MINING CORP AT XTSE |
200 |
156.0 |
1 |
BTB.UN |
BTB REAL ESTATE INVESTMENT UNI |
10,365 |
32,217.42 |
49 |
BTC |
BLUESKY DIGITAL ASSETS CORP AT |
833 |
79.135 |
1 |
BTE |
BAYTEX ENERGY ORD SHS AT XTSE |
7,703 |
5,383.02 |
32 |
BTI |
BIOASIS TECHNOLOGIES INC AT XT |
10,500 |
3,415.00 |
3 |
BTO |
B2GOLD ORD SHS AT XTSE |
49,417 |
369,756.55 |
125 |
BTR |
BONTERRA RESOURCES ORD SHS AT |
1,635 |
2,524.09 |
20 |
BTU |
BTU METALS ORD SHS AT XTSX |
950 |
345.25 |
5 |
BU |
BURCON NUTRASCIENCE ORD SHS AT |
1,816 |
3,366.81 |
42 |
BUS |
GRANDE WEST TRANSPORTATION GRO |
354 |
135.75 |
2 |
BUZZ |
PHARMADRUG INC AT XCNQ |
9,738 |
491.9 |
8 |
BWLK |
BOARDWALKTECH SOFTWARE ORD SHS |
2,300 |
1,650.00 |
2 |
BXF |
CI FIRST ASSET 1-5 YEAR LADDR |
319 |
3,384.38 |
5 |
BXR |
BLUE RIVER RESOURCES ORD SHS A |
500 |
5.0 |
1 |
BYD |
BOYD GROUP INCOME ORD SHS AT X |
3,571 |
726,326.45 |
46 |
BYL |
BAYLIN TECHNOLOGIES ORD SHS AT |
11 |
11.44 |
1 |
BYN |
BANYAN GOLD CORP AT XTSX |
1,390 |
383.165 |
7 |
BZ |
BENZ MINING ORD SHS AT XTSX |
3,773 |
1,812.76 |
8 |
C |
CONTACT GOLD ORD SHS AT XTSX |
400 |
73.0 |
2 |
CAD |
COLONIAL COAL INTERNATIONAL OR |
418 |
296.96 |
2 |
CAE |
CAE ORD SHS AT XTSE |
28,242 |
594,619.30 |
157 |
CAGG |
CI YIELD ENHANCED CANADA AGGRE |
915 |
48,441.70 |
7 |
CAGS |
CI YIELD ENHANCED CANADA SHORT |
70 |
3,513.30 |
1 |
CALI |
FINCANNA CAPITAL ORD SHS AT XC |
20,000 |
1,700.00 |
1 |
CANN |
HERITAGE CANNABIS HOLDINGS ORD |
1,077 |
152.58 |
4 |
CANX |
CANEX METALS ORD SHS AT XTSX |
550 |
180.25 |
2 |
CAR.UN |
CANADIAN APARTMENT PROPERTIES |
4,429 |
214,852.52 |
85 |
CAS |
CASCADES ORD SHS AT XTSE |
11,045 |
163,730.88 |
40 |
CBDT |
EMPOWER CLINICS ORD SHS AT XCN |
788 |
47.355 |
3 |
CBH |
ISHARES 1 10 YEAR LADDERED COR |
252 |
4,883.79 |
6 |
CBK |
COPPERBANK RESOURCES ORD SHS A |
500 |
25.0 |
1 |
CBLT |
CBLT ORD SHS AT XTSX |
10 |
0.3 |
1 |
CBLU |
CLEAR BLUE TECHNOLOGIES INTERN |
650 |
106.0 |
2 |
CBO |
ISHARES 1-5 YEAR LADDERED CORP |
618 |
11,712.83 |
14 |
CBR |
CABRAL GOLD ORD SHS AT XTSX |
230,903 |
39,835.72 |
27 |
CCA |
COGECO COMMUNICATIONS SUBORDIN |
3,869 |
389,576.16 |
47 |
CCB |
CANADA CARBON ORD SHS AT XTSX |
500 |
103.0 |
3 |
CCHW |
COLUMBIA CARE INC AT NEOE |
300 |
1,058.00 |
3 |
CCL.B |
CCL INDUSTRIES ORD SHS CLASS B |
4,647 |
201,350.10 |
94 |
CCM |
CANARC RESOURCE CORP AT XTSE |
200 |
21.0 |
1 |
CCO |
CAMECO ORD SHS AT XTSE |
27,651 |
387,261.19 |
194 |
CCS.PR.C |
CO OPERATORS GENERAL INSURANCE |
1,250 |
28,425.00 |
2 |
CCW |
CANADA SILVER COBALT WORKS INC |
1,039 |
574.25 |
10 |
CD |
CANTEX MINE DEVELOPMENT ORD SH |
700 |
688.0 |
2 |
CDAY |
CERIDIAN HCM HOLDING ORD SHS A |
605 |
69,324.25 |
5 |
CDB |
CORDOBA MINERALS CORP AT XTSX |
4,404 |
418.13 |
7 |
CDV |
CARDINAL RESOURCES ORD SHS AT |
300 |
165.0 |
1 |
CDZ |
ISHARES S&P/TSX CDN DIV ARISTO |
1,071 |
24,169.75 |
26 |
CEE |
CENTAMIN ORD SHS AT XTSE |
100 |
301.0 |
1 |
CEF |
SPROTT PHYSICAL GOLD TRUST AND |
666 |
15,227.81 |
14 |
CEF.U |
SPROTT PHYSICAL GOLD TRUST AND |
271 |
4,534.69 |
4 |
CEM |
CONSTANTINE METAL RESOURCES OR |
10 |
1.85 |
2 |
CERV |
CERVUS EQUIPMENT ORD SHS AT XT |
100 |
699.0 |
1 |
CEU |
CES ENERGY SOLUTIONS CORP AT X |
208 |
228.64 |
2 |
CEW |
ISHARES EQUAL WEIGHT BANC & LI |
135 |
1,426.65 |
3 |
CF |
CANACCORD GENUITY GROUP ORD SH |
4,103 |
29,202.15 |
43 |
CF.PR.C |
CANACCORD GENUITY GROUP 5 YEAR |
40 |
563.5 |
2 |
CFF |
CONIFEX TIMBER ORD SHS AT XTSE |
400 |
296.0 |
1 |
CFP |
CANFOR ORD SHS AT XTSE |
28,183 |
343,867.19 |
69 |
CFW |
CALFRAC WELL SERVICES ORD SHS |
27,115 |
4,683.12 |
14 |
CFX |
CANFOR PULP PRODUCTS ORD SHS A |
2,367 |
13,144.66 |
20 |
CG |
CENTERRA GOLD ORD SHS AT XTSE |
6,248 |
92,500.33 |
64 |
CGC |
CALDAS GOLD ORD SHS AT XTSX |
320 |
886.6 |
4 |
CGG |
CHINA GOLD INTERNATIONAL RESOU |
344 |
272.89 |
3 |
CGI |
CANADIAN GENERAL INVESTMENTS L |
300 |
8,004.00 |
2 |
CGL |
ISHARES GOLD BULLION ETF HEDGE |
7,247 |
108,502.70 |
27 |
CGL.C |
ISHARES GOLD BULLION ETF AT XT |
4,850 |
101,278.14 |
13 |
CGM |
CALIFORNIA GOLD MINING INC AT |
12,500 |
2,875.00 |
3 |
CGO |
COGECO ORD SHS AT XTSE |
1,006 |
85,578.30 |
8 |
CGP |
CORNERSTONE CAPITAL RESOURCES |
720 |
2,562.60 |
3 |
CGR |
ISHARES GLOBAL REAL ESTATE IND |
344 |
9,473.76 |
9 |
CGX |
CINEPLEX ORD SHS AT XTSE |
227,279 |
1,891,795.39 |
2044 |
CGXF |
CI FIRST ASSET GOLD+ GIANTS CO |
220 |
3,117.40 |
2 |
CGY |
CALIAN GROUP ORD SHS AT XTSE |
1,364 |
74,942.07 |
11 |
CHB |
ISHARES US HIGH YIELD FIXED IN |
1,487 |
25,411.05 |
10 |
CHE.DB.B |
CHEMTRADE LOGISTICS INCOME FUN |
69,000 |
64,843.50 |
23 |
CHE.DB.C |
CHEMTRADE LOGISTICS INCOME FUN |
7,000 |
5,949.30 |
3 |
CHE.UN |
CHEMTRADE LOGISTICS INCOME FUN |
3,708 |
20,200.15 |
77 |
CHOO |
CHOOM HOLDINGS INC AT XCNQ |
635 |
90.4 |
2 |
CHP.UN |
CHOICE PROPERTIES REAL ESTATE |
5,178 |
67,324.79 |
76 |
CHR |
CHORUS AVIATION VOTING AND VAR |
55,832 |
160,479.65 |
141 |
CHW |
CHESSWOOD GROUP ORD SHS AT XTS |
2,615 |
10,139.75 |
6 |
CIA |
CHAMPION IRON ORD SHS AT XTSE |
667 |
1,745.54 |
4 |
CIC |
CI FIRST ASSET CANBANC INCOME |
125 |
1,125.00 |
2 |
CIE |
ISHARES INTERNATIONAL FUNDAMEN |
1,245 |
21,236.15 |
6 |
CIF |
ISHARES GLOBAL INFRASTRUCTURE |
93 |
2,201.31 |
1 |
CIGI |
COLLIERS INTERNATIONAL GROUP S |
7,788 |
600,651.83 |
56 |
CIQ.UN |
CANADIAN HIGH INCOME EQUITY AT |
500 |
2,905.00 |
1 |
CIU.PR.A |
CU CUMULATIVE REDEEMABLE PREF |
100 |
2,126.50 |
1 |
CIX |
CI FINANCIAL ORD SHS AT XTSE |
18,894 |
326,323.75 |
92 |
CJ |
CARDINAL ENERGY ORD SHS AT XTS |
480 |
268.8 |
1 |
CJC |
QUEBEC PRECIOUS METALS ORD SHS |
536 |
171.52 |
2 |
CJR.B |
CORUS ENTERTAINMENT ORD SHS CL |
59,078 |
165,779.82 |
118 |
CJT |
CARGOJET ORD SHS AT XTSE |
3,446 |
558,434.90 |
93 |
CK |
CASCADIA BLOCKCHAIN GROUP CORP |
200 |
19.0 |
1 |
CKG |
CHESAPEAKE GOLD ORD SHS AT XTS |
1,504 |
7,238.77 |
13 |
CL |
CRESCO LABS SUBORDINATE VOTING |
2,173 |
12,293.60 |
13 |
CLF |
ISHARES 1-5 YEAR LADDERED GOVE |
1,048 |
19,193.60 |
14 |
CLG |
ISHARES 1 10 YEAR LADDERED GOV |
5,538 |
106,435.80 |
13 |
CLH |
CORAL GOLD RESOURCES ORD SHS A |
1,580 |
1,246.60 |
2 |
CLIQ |
ALCANNA INC AT XTSE |
8,853 |
32,068.99 |
21 |
CLR |
CLEARWATER SEAFOODS ORD SHS AT |
882 |
4,747.20 |
8 |
CLS |
CELESTICA ORD SHS AT XTSE |
100,223 |
929,416.07 |
93 |
CLU |
ISHARES US FUNDAMENTAL INDEX E |
208 |
6,441.92 |
2 |
CM |
CANADIAN IMPERIAL BANK OF COMM |
40,687 |
3,707,014.93 |
266 |
CM.PR.O |
CANADIAN IMPERIAL BANK OF COMM |
1,200 |
16,998.00 |
4 |
CM.PR.P |
CANADIAN IMPERIAL BANK OF COMM |
1,265 |
18,898.45 |
7 |
CM.PR.Q |
CANADIAN IMPERIAL BANK OF COMM |
1,400 |
21,129.00 |
5 |
CM.PR.R |
CANADIAN IMPERIAL BANK OF CMRC |
1,100 |
20,615.00 |
4 |
CM.PR.S |
CANADIAN IMPERIAL 4 5 SERIES 4 |
2,200 |
34,587.00 |
15 |
CM.PR.Y |
CANADIAN IMPERIAL BANK OF COMM |
200 |
4,248.00 |
2 |
CMB |
CMC METALS ORD SHS AT XTSX |
80 |
6.8 |
1 |
CMC |
CIELO WASTE SOLUTIONS ORD SHS |
226,143 |
8,480.00 |
17 |
CMG |
COMPUTER MODELLING GROUP LTD A |
3,916 |
19,001.77 |
24 |
CML |
CANICKEL MINING ORD SHS AT XTS |
1,113 |
59.53 |
2 |
CMMC |
COPPER MOUNTAIN MINING ORD SHS |
96 |
60.48 |
1 |
CMR |
ISHARES PREMIUM MONEY MARKET E |
28,072 |
1,403,740.07 |
34 |
CN |
CONDOR RESOURCES INC AT XTSX |
192 |
34.56 |
2 |
CNC |
CANADA NICKEL CO INC AT XTSX |
1,327 |
1,214.18 |
12 |
CNE |
CANACOL ENERGY ORD SHS AT XTSE |
996 |
3,831.22 |
9 |
CNFA |
CANAFARMA HEMP PRODUCTS CORP A |
554 |
489.09 |
5 |
CNNA |
CANNAONE TECHNOLOGIES INC AT X |
74 |
21.46 |
1 |
CNQ |
CANADIAN NATURAL RESOURCES ORD |
195,666 |
4,706,382.54 |
670 |
CNR |
CANADIAN NATIONAL RAILWAY ORD |
14,024 |
1,674,624.01 |
265 |
CODE |
CODEBASE VENTURES INC AT XCNQ |
1,166 |
102.44 |
2 |
COOL |
CORE ONE LABS ORD SHS AT XCNQ |
315 |
112.1 |
2 |
COR |
CAMINO MINERALS CORP AT XTSX |
427 |
51.29 |
2 |
COW |
ISHARES GLOBAL AGRICULTURE IDX |
1,183 |
42,858.85 |
13 |
CP |
CANADIAN PACIFIC RAILWAY ORD S |
18,465 |
6,346,392.48 |
215 |
CPD |
ISHARES S&P/TSX CDN PREFERRED |
814 |
8,679.28 |
12 |
CPG |
CRESCENT POINT ENERGY ORD SHS |
110,149 |
253,351.45 |
108 |
CPX |
CAPITAL POWER ORD SHS AT XTSE |
6,521 |
184,256.34 |
91 |
CPX.PR.A |
CAPITAL POWER CUMULATIVE RATE |
59 |
527.46 |
1 |
CPX.PR.C |
CAPITAL POWER CUMULATIVE RATE |
400 |
5,843.00 |
3 |
CPX.PR.G |
CAPITAL POWER CUMULATIVE MINIM |
2,200 |
53,715.00 |
4 |
CPX.PR.K |
CAPITAL POWER CUMULATIVE RATE |
759 |
17,894.08 |
8 |
CR |
CREW ENERGY ORD SHS AT XTSE |
100 |
31.5 |
1 |
CRDL |
CARDIOL THERAPEUTICS INC AT XT |
1,646 |
3,891.01 |
13 |
CRE |
CRITICAL ELEMENTS LITHIUM ORD |
1,371 |
421.105 |
8 |
CRH |
CRH MEDICAL ORD SHS AT XTSE |
7,236 |
23,699.03 |
59 |
CRON |
CRONOS GROUP ORD SHS AT XTSE |
18,830 |
156,414.02 |
100 |
CRR.UN |
CROMBIE REAL ESTATE INVESTMENT |
16,390 |
215,580.64 |
67 |
CRRX |
CARERX CORP AT XTSE |
636 |
2,530.10 |
6 |
CRT.UN |
CT REIT UNITS AT XTSE |
11,741 |
164,112.82 |
90 |
CRU |
CAMEO INDUSTRIES CORP AT XCNQ |
350 |
73.5 |
1 |
CS |
CAPSTONE MINING ORD SHS AT XTS |
710 |
574.0 |
3 |
CSAV |
CI FIRST ASSET HIGH INTEREST S |
39,995 |
2,000,150.50 |
13 |
CSD |
ISHARES SHORT DURATION HIGH IN |
100 |
1,667.00 |
1 |
CSH.UN |
CHARTWELL RETIREMENT RESIDENCE |
15,924 |
149,079.55 |
103 |
CSI |
CHEMESIS INTERNATIONAL ORD SHS |
300 |
225.0 |
1 |
CSU |
CONSTELLATION SOFTWARE ORD SHS |
2,832 |
4,401,035.41 |
92 |
CSW.A |
CORBY SPIRIT AND WINE ORD SHS |
630 |
10,256.00 |
5 |
CSW.B |
CORBY SPIRIT AND WINE ORD SHS |
200 |
2,862.00 |
1 |
CSX |
CLEAN SEED CAPITAL GROUP ORD S |
1,000 |
300.0 |
1 |
CTC |
CANADIAN TIRE ORD SHS AT XTSE |
8 |
1,785.00 |
2 |
CTC.A |
CANADIAN TIRE ORD SHS CLASS A |
28,336 |
3,371,399.14 |
236 |
CTEC |
CENTRAL TIMMINS EXPLORATION OR |
6,000 |
2,890.00 |
3 |
CTS |
CONVERGE TECHNOLOGY SOLUTIONS |
496 |
719.79 |
13 |
CTU |
LE CHATEAU INC AT XTSX |
500 |
25.0 |
1 |
CU |
CANADIAN UTILITIES ORD SHS CLA |
11,028 |
378,837.00 |
108 |
CU.PR.C |
CANADIAN UTILITIES CUMULATIVE |
700 |
10,189.00 |
4 |
CU.PR.D |
CANADIAN UTILITIES CUMULATIVE |
100 |
2,316.00 |
1 |
CU.PR.E |
CANADIAN UTILITIES CUMULATIVE |
1,575 |
36,345.52 |
3 |
CU.PR.F |
CANADIAN UTILITIES CUMULATIVE |
900 |
19,521.00 |
3 |
CU.PR.G |
CANADIAN UTILITIES CUMULATIVE |
1 |
21.8 |
1 |
CUB |
CUBICFARM SYSTEMS ORD SHS AT X |
172 |
117.91 |
3 |
CUC |
CARUBE COPPER ORD SHS AT XTSX |
500 |
30.0 |
1 |
CUD |
ISHARES US DIVIDEND GROWERS IN |
826 |
31,347.02 |
8 |
CUDA |
CUDA OIL & GAS INC AT XTSX |
2,887 |
287.19 |
4 |
CUF.UN |
COMINAR REAL ESTATE INVESTMENT |
5,998 |
49,314.91 |
31 |
CURA |
CURALEAF HOLDINGS INC AT XCNQ |
1,930 |
15,549.70 |
19 |
CVB |
COMPASS GOLD ORD SHS AT XTSX |
590 |
144.63 |
7 |
CVD |
ISHARES CONVERTIBLE BOND INDEX |
11 |
188.76 |
1 |
CVE |
CENOVUS ENERGY ORD SHS AT XTSE |
96,072 |
614,778.37 |
427 |
CVG |
CLAIRVEST ORD SHS AT XTSE |
140 |
6,657.50 |
3 |
CVX |
CEMATRIX ORD SHS AT XTSX |
1,813 |
1,026.72 |
11 |
CWB |
CANADIAN WESTERN BANK ORD SHS |
8,773 |
209,842.60 |
58 |
CWB.PR.B |
CANADIAN WESTERN BANK AT XTSE |
600 |
7,824.00 |
4 |
CWB.PR.C |
CANADIAN WESTERN BANK NON CUMU |
100 |
2,196.00 |
1 |
CWB.PR.D |
CANADIAN WESTERN NON CUMULATIV |
700 |
15,673.00 |
2 |
CWEB |
CHARLOTTES WEB HLDGS ORD SHS A |
24,054 |
121,502.70 |
82 |
CWL |
CALDWELL PARTNERS INTERNATIONA |
2,000 |
1,220.00 |
1 |
CWW |
ISHARES GLOBAL WATER INDEX ETF |
1,306 |
49,561.04 |
9 |
CWX |
CANWEL BUILDING MATERIALS GROU |
10,450 |
45,989.55 |
7 |
CXB |
CALIBRE MINING ORD SHS AT XTSE |
270 |
373.4 |
8 |
CXF |
CI FIRST ASSET CANADIAN CONVER |
1,000 |
9,370.00 |
1 |
CXO |
COLORADO RESOURCES ORD SHS AT |
20 |
1.55 |
2 |
CYB |
CYMBRIA CORPORATION CLASS A AT |
1,082 |
50,233.28 |
10 |
CYBR |
EVOLVE CYBER SECURITY INDEX ET |
990 |
35,401.40 |
9 |
CYBR.B |
EVOLVE CYBER SECURITY INDEX ET |
30 |
1,231.80 |
1 |
CYH |
ISHARES GLOBAL MONTHLY DIVIDEN |
807 |
12,939.53 |
4 |
CYP |
CYPRESS DEVELOPMENT ORD SHS AT |
1,009 |
302.7 |
3 |
CZR |
CRUZSUR ENERGY ORD SHS AT XTSX |
14 |
3.57 |
1 |
D.UN |
DREAM OFFICE REAL ESTATE UNITS |
3,193 |
64,828.20 |
29 |
DANC |
DESJARDINS ALT LONG/SHORT EQ M |
200 |
4,232.70 |
3 |
DAU |
DESERT GOLD VENTURES INC AT XT |
178 |
36.465 |
2 |
DB |
DECIBEL CANNABIS CO INC AT XTS |
99 |
8.175 |
3 |
DC.PR.B |
DUNDEE CUMULATIVE 5 YEAR RATE |
200 |
3,218.00 |
2 |
DC.PR.D |
DUNDEE CORP AT XTSE |
300 |
4,731.00 |
2 |
DCBO |
DOCEBO ORD SHS AT XTSE |
7,600 |
290,123.58 |
87 |
DCM |
DATA COMMUNICATIONS MANAGEMENT |
3,395 |
925.295 |
44 |
DCOP |
DISTRICT COPPER ORD SHS AT XTS |
100 |
1.5 |
1 |
DE |
DECISIVE DIVIDEND ORD SHS AT X |
900 |
1,404.00 |
2 |
DEC |
DECADE RESOURCES ORD SHS AT XT |
3,139 |
358.485 |
6 |
DEF |
DEFIANCE SILVER ORD SHS AT XTS |
1,266 |
352.76 |
7 |
DEFN |
DEFENSE METALS ORD SHS AT XTSX |
2,673 |
409.38 |
8 |
DEX |
ALMADEX MINERALS ORD SHS AT XT |
500 |
138.0 |
3 |
DF |
DIVIDEND 15 SPLIT CORP II AT X |
10 |
30.2 |
1 |
DF.PR.A |
DIVIDEND 15 SPLIT II PREF SHS |
35 |
332.5 |
1 |
DFD |
DESJARDINS DVLP EXUSA EXCAD ML |
200 |
3,816.00 |
1 |
DFLY |
DRAGANFLY ORD SHS AT XCNQ |
200 |
130.0 |
1 |
DFN |
DIVIDEND 15 SPLIT CORP AT XTSE |
169 |
935.43 |
14 |
DFN.PR.A |
DIVIDEND 15 SPLIT PREF SHS AT |
1,051 |
10,373.02 |
3 |
DFS |
GLOBAL DAILY FANTASY SPORTS IN |
1,674 |
488.83 |
5 |
DGHI |
DIGIHOST TECHNOLOGY ORD SHS AT |
515 |
91.95 |
2 |
DGR |
CI WISDOMTREE U.S. QUALITY DIV |
700 |
18,865.00 |
1 |
DGRC |
CI WISDOMTREE CANADA QUALITY D |
25 |
645.75 |
1 |
DGS |
BROMPTON DIVIDEND GROWTH SPLIT |
787 |
2,342.73 |
9 |
DGS.PR.A |
DIVIDEND GROWTH SPLIT PREF SHS |
8,059 |
79,460.35 |
13 |
DIAM |
STAR DIAMOND ORD SHS AT XTSE |
44 |
12.04 |
3 |
DII.B |
DOREL INDUSTRIES SUBORDINATE V |
1,775 |
9,498.00 |
12 |
DIR.UN |
DREAM INDUSTRIAL REAL ESTATE I |
6,249 |
67,619.17 |
49 |
DISC |
BMO GLO CONSUMER DISCRETIONARY |
5 |
126.2 |
1 |
DIV |
DIVERSIFIED ROYALTY ORD SHS AT |
875 |
1,665.76 |
40 |
DIVS |
EVOLVE ACTIVE CANADIAN PREFERR |
900 |
11,886.00 |
6 |
DJI |
DAJIN LITHIUM ORD SHS AT XTSX |
273 |
12.285 |
1 |
DLP |
MG CAPITAL ORD SHS AT XTSX |
1,000 |
265.0 |
1 |
DLR |
HORIZONS US DOLLAR CURRENCY ET |
13,550 |
185,902.62 |
54 |
DLR.U |
HORIZONS US DOLLAR CURRENCY ET |
7,865 |
79,551.54 |
26 |
DLTA |
DELTA RESOURCES ORD SHS AT XTS |
250 |
55.0 |
1 |
DM |
DATAMETREX AI LTD AT XTSX |
17,094 |
1,673.15 |
12 |
DME |
DESERT MOUNTAIN ENERGY ORD SHS |
21,257 |
14,897.00 |
31 |
DML |
DENISON MINES ORD SHS AT XTSE |
5,839 |
2,856.95 |
6 |
DN |
DELTA 9 CANNABIS ORD SHS AT XT |
2,055 |
1,094.20 |
14 |
DNG |
DYNACOR GOLD MINES ORD SHS AT |
109 |
209.96 |
2 |
DNT |
CANDENTE COPPER ORD SHS AT XTS |
138 |
9.66 |
1 |
DOC |
CLOUDMD SOFTWARE & SERVICES IN |
2,158 |
1,444.56 |
18 |
DOL |
DOLLARAMA ORD SHS AT XTSE |
17,237 |
782,943.43 |
193 |
DOO |
BRP SUBORDINATE VOTING ORD SHS |
10,455 |
605,465.30 |
109 |
DPM |
DUNDEE PRECIOUS METALS INC AT |
10,647 |
96,109.29 |
47 |
DR |
MEDICAL FACILITIES ORD SHS AT |
5,223 |
21,706.95 |
22 |
DRA.UN |
DREAM HARD ASSET ALTERNATIVES |
1,525 |
7,379.32 |
9 |
DRM |
DREAM UNLIMITED SUBORDINATE VO |
3,836 |
35,772.69 |
27 |
DRT |
DIRTT ENVIRONMENTAL SOLUTIONS |
2 |
3.5 |
1 |
DRX |
ADF GROUP INC AT XTSE |
116 |
135.04 |
2 |
DS |
DIVIDEND SELECT 15 ORD SHS AT |
350 |
2,142.00 |
3 |
DSG |
DESCARTES SYSTEMS GROUP ORD SH |
5,690 |
417,654.37 |
95 |
DST |
DUNDEE SUSTAINABLE TECHNOLOGIE |
5,000 |
1,800.00 |
1 |
DSV |
DISCOVERY METALS CORP AT XTSX |
1,779 |
2,169.46 |
45 |
DV |
DOLLY VARDEN SILVER ORD SHS AT |
2,736 |
1,841.48 |
9 |
DWS |
DIAMOND ESTATES WINES AND SPIR |
100 |
17.0 |
1 |
DXB |
DYNAMIC ACTIVE TACTICAL BOND E |
169 |
3,682.81 |
3 |
DXG |
DYNAMIC ACTIVE GLOBAL DIVIDEND |
4,952 |
204,832.53 |
24 |
DXO |
DYNAMIC ACTIVE CROSSOVER BOND |
477 |
9,803.12 |
2 |
DXP |
DYNAMIC ACTIVE PREFERRED SHARE |
3,557 |
56,905.20 |
9 |
DXU |
DYNAMIC ACTIVE U.S. DIVIDEND E |
730 |
27,147.30 |
7 |
DYA |
DYNACERT INC AT XTSX |
6,238 |
4,338.02 |
45 |
EAS |
EAST ASIA MINERALS CORP AT XTS |
120 |
13.2 |
1 |
EASY |
SPEAKEASY CANNABIS CLUB ORD SH |
296 |
139.12 |
1 |
EAT |
NUTRITIONAL HIGH INTERNATIONAL |
28,814 |
792.03 |
5 |
EAU |
ENGINEER GOLD MINES ORD SHS AT |
10 |
0.9 |
2 |
EBM |
EASTWOOD BIO MEDICAL CANADA OR |
122 |
190.0 |
2 |
ECN |
ECN CAPITAL ORD SHS AT XTSE |
44,370 |
181,487.52 |
60 |
ECN.PR.A |
ECN CAPITAL 6 50 CUMULATIVE 5 |
885 |
18,584.50 |
2 |
ECR |
CARTIER RESOURCES ORD SHS AT X |
250 |
66.25 |
1 |
EDGE |
EVOLVE INNOVATION INDEX ETF AT |
39 |
1,014.00 |
2 |
EDR |
ENDEAVOUR SILVER ORD SHS AT XT |
980 |
2,975.60 |
9 |
EDT |
SPECTRAL MEDICAL ORD SHS AT XT |
2,195 |
1,354.55 |
37 |
EDV |
ENDEAVOUR MINING ORD SHS AT XT |
47,298 |
1,540,590.91 |
307 |
EFL |
ELECTROVAYA ORD SHS AT XTSE |
1,578 |
500.755 |
4 |
EFN |
ELEMENT FLEET MANAGEMENT ORD S |
25,958 |
257,613.10 |
109 |
EFN.PR.C |
ELEMENT FLEET MANAGEMENT 6 50 |
750 |
15,242.00 |
4 |
EFN.PR.E |
ELEMENT FLEET MANAGEMENT 6 40 |
800 |
16,005.00 |
4 |
EFN.PR.G |
ELEMENT FLEET MANAGEMENT 6 50 |
400 |
8,864.00 |
3 |
EFR |
ENERGY FUELS ORD SHS AT XTSE |
983 |
2,037.84 |
6 |
EFX |
ENERFLEX ORD SHS AT XTSE |
31,315 |
171,554.60 |
38 |
EGLD |
ECLIPSE GOLD MINING CORP AT XT |
71,470 |
55,248.33 |
31 |
EGLX |
ENTHUSIAST GAMING HOLDINGS ORD |
353 |
604.1 |
10 |
EIF |
EXCHANGE INCOME ORD SHS AT XTS |
12,763 |
348,600.75 |
107 |
EIL |
EMPIRE INDUSTRIES ORD SHS CLAS |
303 |
80.295 |
4 |
EIT.PR.A |
CANOE EIT INCOME 4.80 CUMULATI |
1,350 |
33,763.00 |
2 |
EIT.UN |
CANOE EIT INCOME UNITS AT XTSE |
1,946 |
17,136.05 |
23 |
EKG |
CARDIOCOMM SOLUTIONS ORD SHS A |
200 |
6.0 |
1 |
ELD |
ELDORADO GOLD ORD SHS AT XTSE |
21,143 |
275,544.89 |
43 |
ELEC |
ELECTRIC ROYALTIES LTD AT XTSX |
200 |
56.0 |
1 |
ELEF |
SILVER ELEPHANT MINING ORD SHS |
2,714 |
804.67 |
23 |
ELF |
E L FINANCIAL ORD SHS AT XTSE |
100 |
69,000.00 |
2 |
ELO |
ELORO RESOURCES LTD AT XTSX |
715 |
743.75 |
2 |
ELR |
EASTERN PLATINUM ORD SHS AT XT |
100 |
30.5 |
1 |
ELXR |
ELIXXER ORD SHS AT XTSX |
63 |
1.26 |
1 |
ELY |
ELY GOLD ROYALTIES INC AT XTSX |
11,376 |
21,871.59 |
54 |
EMA |
EMERA ORD SHS AT XTSE |
7,208 |
388,248.03 |
110 |
EMA.PR.A |
EMERA CUMULATIVE 5 YEAR RATE R |
274 |
2,861.30 |
3 |
EMA.PR.C |
EMERA FIRST PREF SHS SERIES C |
300 |
4,823.00 |
3 |
EMA.PR.E |
EMERA CUMULATIVE REDEEMABLE FI |
100 |
2,100.00 |
1 |
EMA.PR.F |
EMERA INC AT XTSE |
200 |
3,182.00 |
2 |
EMA.PR.H |
EMERA CUMULATIVE PREF SHS SERI |
15 |
370.5 |
1 |
EMH |
EMERALD HEALTH THERAPEUTICS OR |
2,629 |
470.095 |
41 |
EML.PR.A |
EMPIRE LIFE INSURANCE COMPANY |
329 |
7,921.83 |
4 |
EMO |
EMERITA RESOURCES CORP AT XTSX |
600 |
108.0 |
3 |
EMP.A |
EMPIRE ORD SHS CLASS A AT XTSE |
18,781 |
625,512.10 |
113 |
EMV.B |
CI WISDOMTREE EMERGING MARKETS |
85 |
2,085.05 |
1 |
EMX |
EMX ROYALTY ORD SHS AT XTSX |
659 |
2,042.08 |
6 |
ENB |
ENBRIDGE ORD SHS AT XTSE |
51,970 |
2,153,889.80 |
694 |
ENB.PF.A |
ENBRIDGE CUMULATIVE REDEEMABLE |
310 |
4,025.50 |
4 |
ENB.PF.C |
ENBRIDGE CUMULATIVE REDEEMABLE |
65 |
832.75 |
2 |
ENB.PF.E |
ENBRIDGE CUMULATIVE REDEEMABLE |
410 |
4,924.50 |
2 |
ENB.PF.G |
ENBRIDGE CUMULATIVE REDEEMABLE |
11 |
129.25 |
1 |
ENB.PF.I |
ENBRIDGE CUMULATIVE REDEEMABLE |
99 |
2,319.57 |
1 |
ENB.PR.A |
ENBRIDGE 5.50% SERIES A CUMULA |
515 |
11,934.15 |
4 |
ENB.PR.B |
ENBRIDGE CUMULATIVE REDEEMABLE |
313 |
3,423.97 |
3 |
ENB.PR.D |
ENBRIDGE CUMULATIVE REDEEMABLE |
285 |
3,372.40 |
3 |
ENB.PR.F |
ENBRIDGE CUMULATIVE REDEEMABLE |
300 |
3,774.50 |
3 |
ENB.PR.H |
ENBRIDGE CUMULATIVE REDEEMABLE |
1,000 |
11,410.00 |
2 |
ENB.PR.J |
ENBRIDGE CUMULATIVE REDEEMABLE |
160 |
2,017.00 |
4 |
ENB.PR.N |
ENBRIDGE CUMULATIVE REDEEMABLE |
570 |
7,542.10 |
6 |
ENB.PR.P |
ENBRIDGE CUMULATIVE REDEEMABLE |
95 |
1,165.60 |
2 |
ENB.PR.T |
ENBRIDGE CUMULATIVE REDEEMABLE |
405 |
4,898.55 |
5 |
ENB.PR.U |
ENBRIDGE INC AT XTSE |
500 |
7,605.00 |
4 |
ENB.PR.V |
ENBRIDGE INC AT XTSE |
2,400 |
41,912.00 |
5 |
ENB.PR.Y |
ENBRIDGE CUMULATIVE REDEEMABLE |
2,177 |
25,277.12 |
10 |
ENGH |
ENGHOUSE SYSTEMS ORD SHS AT XT |
11,404 |
865,980.78 |
175 |
ENS |
E SPLIT CORP AT XTSE |
300 |
3,600.00 |
2 |
ENS.PR.A |
E SPLIT PREF SHS AT XTSE |
490 |
4,866.60 |
3 |
ENW |
ENWAVE ORD SHS AT XTSX |
1,566 |
1,375.36 |
9 |
EOG |
ECO ATLANTIC OIL AND GAS ORD S |
773 |
303.34 |
8 |
EOM |
ECO ORO MINERALS ORD SHS AT XC |
2,000 |
110.0 |
1 |
EPI |
ESSA PHARMA ORD SHS AT XTSX |
200 |
1,502.00 |
1 |
EPL |
EAGLE PLAINS RESOURCES ORD SHS |
300 |
42.0 |
1 |
EQB |
EQUITABLE GROUP ORD SHS AT XTS |
2,773 |
193,727.16 |
53 |
EQB.PR.C |
EQUITABLE GROUP NON CUMULATIVE |
600 |
12,102.00 |
2 |
EQE |
INVESCO S&P EUROPE 350 EQUAL W |
95 |
1,643.50 |
1 |
EQL |
INVESCO S&P 500 EQUAL WEIGHTED |
89 |
1,893.32 |
2 |
EQL.F |
INVESCO S&P 500 EQUAL WEIGHTED |
254 |
4,871.08 |
2 |
EQX |
EQUINOX GOLD CORP AT XTSE |
12,340 |
183,947.31 |
107 |
ER |
EASTMAIN RESOURCES ORD SHS AT |
100 |
16.0 |
1 |
ERE.UN |
EUROPEAN RESIDENTIAL REAL ESTA |
4,924 |
20,588.84 |
30 |
ERF |
ENERPLUS ORD SHS AT XTSE |
2,993 |
11,955.53 |
15 |
ERO |
ERO COPPER ORD SHS AT XTSE |
8,501 |
155,606.75 |
82 |
ERTH |
EARTHRENEW INC AT XCNQ |
744 |
256.68 |
2 |
ESG |
INVESCO S&P 500 ESG INDEX ETF |
228 |
4,937.48 |
2 |
ESGW |
ESG GLOBAL IMPACT CAPITAL ORD |
383 |
47.875 |
1 |
ESI |
ENSIGN ENERGY SERVICES INC AT |
16,125 |
16,713.70 |
24 |
ESK |
ESKAY MINING ORD SHS AT XTSX |
34,818 |
11,483.20 |
12 |
ESM |
EURO SUN MINING ORD SHS AT XTS |
2,825 |
982.38 |
22 |
ESN |
ESSENTIAL ENERGY SERVICES ORD |
537 |
83.235 |
2 |
ESU |
EESTOR ORD SHS AT XTSX |
924 |
18.48 |
2 |
ET |
EVERTZ TECHNOLOGIES LTD AT XTS |
1,956 |
23,583.43 |
16 |
ETHI |
HORIZONS GLOBAL SUSTAINABILITY |
124 |
4,243.86 |
2 |
ETI |
ENVIROLEACH TECHNOLOGIES ORD S |
463 |
342.62 |
2 |
ETMC |
E3 METALS ORD SHS AT XTSX |
5,166 |
1,499.80 |
2 |
ETP |
FIRST TRUST GLOBAL RISK MANAGE |
900 |
15,423.00 |
3 |
EVE |
EVE & CO INC AT XTSX |
2,834 |
180.165 |
7 |
EVER |
EVERGOLD ORD SHS AT XTSX |
1,720 |
1,513.12 |
10 |
EVM |
EVRIM RESOURCES ORD SHS AT XTS |
400 |
194.0 |
1 |
EW |
EAST WEST PETROLEUM ORD SHS AT |
26 |
1.17 |
1 |
EWK |
EARTHWORKS INDUSTRIES ORD SHS |
14,000 |
3,815.00 |
2 |
EXE |
EXTENDICARE ORD SHS AT XTSE |
4,229 |
23,791.59 |
59 |
EXF |
EXFO SUBORDINATE VOTING ORD SH |
1,200 |
4,780.00 |
2 |
EXG |
EXGEN RESOURCES ORD SHS AT XTS |
1,402 |
14.02 |
4 |
EXM |
EXMCEUTICALS ORD SHS AT XCNQ |
410 |
127.1 |
1 |
EXN |
EXCELLON RESOURCES ORD SHS AT |
3,119 |
2,760.66 |
21 |
EXP |
EXPERION HOLDINGS LTD AT XTSX |
2,430 |
238.32 |
12 |
F |
FIORE GOLD LTD AT XTSX |
21,628 |
27,203.53 |
35 |
FAF |
FIRE & FLOWERS HOLDINGS ORD SH |
2,432 |
1,753.83 |
54 |
FANS |
FANSUNITE ENTERTAINMENT INC AT |
1,186 |
601.08 |
4 |
FAP |
ABERDEEN ASIA-PACIFIC INCOME A |
75 |
221.55 |
3 |
FAT |
FAR RESOURCES ORD SHS AT XCNQ |
200 |
17.0 |
1 |
FC |
FIRM CAPITAL MORTGAGE INVESTME |
2,347 |
25,938.85 |
12 |
FCC |
FIRST COBALT ORD SHS AT XTSX |
760 |
105.15 |
4 |
FCCD |
FIDELITY CANADIAN HIGH DIVIDEN |
80 |
1,655.08 |
4 |
FCD.UN |
FIRM CAPITAL PROPERTY UNITS AT |
521 |
2,677.70 |
3 |
FCGB |
FIDELITY GLOBAL CORE PLUS BOND |
3,297 |
80,717.58 |
11 |
FCIQ |
FIDELITY INTERNATIONAL HIGH QU |
163 |
5,137.75 |
2 |
FCQH |
FIDELITY U.S. HIGH QUALITY CUR |
19 |
592.42 |
1 |
FCR.UN |
FIRST CAPITAL REAL ESTATE INVE |
17,533 |
245,099.88 |
118 |
FCU |
FISSION URANIUM CORP AT XTSE |
79,715 |
22,149.95 |
19 |
FCUD |
FIDELITY U.S. HIGH DIVIDEND IN |
467 |
10,159.67 |
6 |
FCUQ |
FIDELITY U.S. HIGH QUALITY IND |
103 |
3,316.67 |
2 |
FD |
FACEDRIVE INC AT XTSX |
15,683 |
229,989.59 |
204 |
FDM |
FANDOM SPORTS MEDIA ORD SHS AT |
700 |
273.5 |
2 |
FEC |
FRONTERA ENERGY ORD SHS AT XTS |
765 |
2,606.63 |
17 |
FF |
FIRST MINING GOLD ORD SHS AT X |
19,215 |
8,860.66 |
32 |
FFH |
FAIRFAX FINANCIAL HOLDINGS SUB |
3,409 |
1,425,509.50 |
70 |
FFH.PR.C |
FAIRFAX FINANCIAL HOLDINGS 5.7 |
200 |
2,884.00 |
2 |
FFH.PR.F |
FAIRFAX FINANCIAL HOLDINGS LTD |
400 |
3,946.00 |
3 |
FFH.PR.H |
FAIRFAX FINANCIAL HOLDINGS LTD |
100 |
1,101.00 |
1 |
FFH.PR.K |
FAIRFAX FINANCIAL HOLDINGS 5 Y |
500 |
7,685.00 |
2 |
FFH.PR.M |
FAIRFAX FINANCIAL HOLDINGS LTD |
400 |
7,092.00 |
3 |
FFN |
NORTH AMERICAN FINANCIAL 15 SP |
1,764 |
6,431.24 |
7 |
FFOX |
FIREFOX GOLD CORP AT XTSX |
314 |
43.96 |
2 |
FFT |
FUTURE FARM TECHNOLOGIES ORD S |
150 |
6.0 |
1 |
FG |
FALCON GOLD CORP AT XTSX |
550 |
66.0 |
3 |
FGO |
CI FIRST ASSET ENHANCED GOVERN |
431 |
4,877.06 |
7 |
FGX |
FAIRCOURT GOLD INCOME ORD SHS |
50 |
220.0 |
1 |
FHH |
FIRST TRUST ALPHADEX US HEALTH |
300 |
10,173.00 |
1 |
FHI |
CI FIRST ASSET HEALTH CARE GIA |
1,000 |
10,310.00 |
1 |
FHQ |
FIRST TRUST ALPHADEX US TECHNO |
405 |
22,695.80 |
3 |
FIE |
ISHARES CANADIAN FINANCIAL MON |
1,738 |
10,110.90 |
21 |
FIG |
CI FIRST ASSET INVESTMENT GRAD |
251 |
2,865.17 |
5 |
FIH.U |
FAIRFAX INDIA SUBORDINATE VOTI |
1,785 |
15,452.91 |
12 |
FIL |
FILO MINING ORD SHS AT XTSX |
980 |
1,959.80 |
11 |
FIRE |
SUPREME CANNABIS ORD SHS AT XT |
9,019 |
2,233.20 |
96 |
FLCI |
FRANKLIN LIBERTY CANADIAN INVE |
1,500 |
30,645.00 |
5 |
FLCP |
FRANKLIN LIBERTY CORE PLUS BON |
400 |
8,268.00 |
1 |
FLGA |
FRANKLIN LIBERTY GLOBAL AGGREG |
1,720 |
37,177.85 |
13 |
FLOT |
PURPOSE FLOATING RATE INCOME F |
800 |
5,752.00 |
1 |
FLT |
DRONE DELIVERY CANADA ORD SHS |
16,137 |
14,525.11 |
278 |
FLUS |
FRANKLIN LIBERTYQT US EQUITY I |
110 |
2,825.30 |
2 |
FLWR |
FLOWR CORP/THE AT XTSX |
888 |
502.84 |
9 |
FLY |
FLYHT AEROSPACE SOLUTIONS ORD |
615 |
334.25 |
2 |
FM |
FIRST QUANTUM MINERALS ORD SHS |
33,989 |
359,144.06 |
220 |
FMAN |
FREEMAN GOLD CORP AT XCNQ |
250 |
175.0 |
1 |
FMC |
FORUM ENERGY METALS ORD SHS AT |
1,692 |
177.66 |
2 |
FMN |
FIDELITY MINERALS ORD SHS AT X |
999 |
74.925 |
2 |
FMS |
FOCUS GRAPHITE ORD SHS AT XTSX |
407 |
8.14 |
2 |
FN |
FIRST NATIONAL FINANCIAL ORD S |
1,778 |
49,281.06 |
16 |
FN.PR.B |
FIRST NATIONAL FINANCIAL CORP |
1,600 |
14,144.00 |
3 |
FNR |
49 NORTH RESOURCES INC AT XTSX |
100 |
16.5 |
1 |
FNV |
FRANCO NEVADA ORD SHS AT XTSE |
13,096 |
2,431,996.96 |
199 |
FO |
FALCON OIL & GAS ORD SHS AT XT |
476 |
69.02 |
1 |
FOOD |
GOODFOOD MARKET ORD SHS AT XTS |
403,958 |
2,245,611.02 |
1039 |
FOOD.DB |
GOODFOOD MARKET CORP AT XTSE |
322,000 |
382,310.65 |
29 |
FOR |
FORTUNE BAY ORD SHS AT XTSX |
1,350 |
1,160.50 |
3 |
FPC |
FALCO RESOURCES ORD SHS AT XTS |
2,073 |
964.095 |
10 |
FR |
FIRST MAJESTIC SILVER ORD SHS |
8,222 |
106,290.95 |
72 |
FRII |
FRESHII SUBORDINATE VOTING ORD |
871 |
1,152.39 |
32 |
FRO.UN |
FRONSAC REAL ESTATE INVESTMENT |
60 |
32.0 |
2 |
FRU |
FREEHOLD ROYALTIES ORD SHS AT |
352 |
1,282.94 |
15 |
FRX |
FENNEC PHARMACEUTICALS ORD SHS |
90 |
1,052.10 |
1 |
FSV |
FIRSTSERVICE SUBORDINATE VOTIN |
11,762 |
1,584,090.83 |
46 |
FSX |
FOSTERVILLE SOUTH EXPLORATION |
7,557 |
37,937.44 |
85 |
FSZ |
FIERA CAPITAL ORD SHS CLASS A |
745 |
6,834.79 |
9 |
FT |
FORTUNE MINERAL ORD SHS AT XTS |
510 |
38.25 |
2 |
FTG |
FIRAN TECHNOLOGY GROUP ORD SHS |
8,978 |
15,849.06 |
7 |
FTN |
FINANCIAL 15 SPLIT CORP CLASS |
629 |
2,433.82 |
8 |
FTN.PR.A |
FINANCIAL 15 SPLIT PREF SHS AT |
50 |
480.0 |
1 |
FTS |
FORTIS ORD SHS AT XTSE |
16,126 |
840,619.24 |
281 |
FTS.PR.G |
FORTIS CUMULATIVE REDEEMABLE F |
300 |
4,199.00 |
2 |
FTS.PR.H |
FORTIS FIVE-YEAR FIXED RATE RE |
1,845 |
17,959.00 |
8 |
FTS.PR.J |
FORTIS CUMULATIVE REDEEMABLE F |
101 |
2,281.54 |
2 |
FTS.PR.K |
FORTIS CUMULATIVE REDEEMABLE F |
170 |
2,279.00 |
2 |
FTS.PR.M |
FORTIS FIXED RATE RESET FIRST |
890 |
13,383.05 |
7 |
FTT |
FINNING INTERNATIONAL ORD SHS |
4,429 |
81,727.23 |
46 |
FUSE |
FUSE COBALT INC AT XTSX |
860 |
68.55 |
4 |
FUU |
FISSION 3.0 ORD SHS AT XTSX |
27 |
1.35 |
1 |
FVAN |
FIRST VANADIUM CORP AT XTSX |
5 |
1.5 |
1 |
FVI |
FORTUNA SILVER MINES ORD SHS A |
4,776 |
31,486.59 |
35 |
FVL |
FREEGOLD VENTURES LTD AT XTSE |
12,831 |
16,515.25 |
103 |
FW |
FLOW CAPITAL CORP AT XTSX |
190 |
58.925 |
2 |
FXC |
FAX CAPITAL CORP AT XTSE |
200 |
702.0 |
1 |
FXM |
CI FIRST ASSET MORNINGSTAR CAN |
45 |
630.9 |
1 |
GABY |
GABY ORD SHS AT XCNQ |
530 |
34.45 |
1 |
GAU |
GALIANO GOLD ORD SHS AT XTSE |
1,310 |
2,423.40 |
11 |
GBLC |
GRAPH BLOCKCHAIN ORD SHS AT XC |
600 |
15.0 |
1 |
GBR |
GREAT BEAR RESOURCES LTD AT XT |
15,571 |
274,438.37 |
120 |
GBU |
GABRIEL RESOURCES ORD SHS AT X |
9,100 |
4,274.00 |
5 |
GC |
GREAT CANADIAN GAMING ORD SHS |
24,948 |
653,362.64 |
53 |
GCG.A |
GUARDIAN CAPITAL GROUP NON VOT |
21 |
441.0 |
1 |
GCL |
COLABOR GROUP ORD SHS AT XTSE |
1 |
0.37 |
1 |
GCM |
GRAN COLOMBIA GOLD ORD SHS AT |
54,568 |
367,167.13 |
227 |
GDBO |
GOLD RUSH CARIBOO CORP AT XTSX |
32,726 |
743.98 |
7 |
GDC |
GENESIS LAND DEVELOPMENT ORD S |
1,400 |
1,582.00 |
1 |
GDG.UN |
GLOBAL DIVIDEND GROWERS INCOME |
800 |
9,488.00 |
2 |
GDI |
GDI INTEGRATED FACILITY SERVIC |
25,793 |
798,859.40 |
10 |
GDI.DB |
GDI INTEGRATED FACILITY SERVIC |
48,000 |
60,078.30 |
2 |
GDNP |
GOOD NATURED PRODUCTS ORD SHS |
952 |
127.145 |
3 |
GDV |
GLOBAL DIVIDEND GROWTH SPLIT O |
100 |
899.0 |
1 |
GDX |
GOLDEX RESOURCES ORD SHS AT XT |
700 |
63.0 |
1 |
GEI |
GIBSON ENERGY ORD SHS AT XTSE |
13,341 |
278,377.37 |
79 |
GENI |
GENIUS METALS ORD SHS AT XCNQ |
2,000 |
390.0 |
1 |
GENM |
GENERATION MINING ORS SHS AT X |
300 |
106.5 |
1 |
GEO |
GEODRILL ORD SHS AT XTSE |
300 |
456.0 |
2 |
GER |
GLEN EAGLE RESOURCES INC AT XT |
100 |
9.0 |
1 |
GFG |
GFG RESOURCES ORS SHS AT XTSX |
227 |
59.02 |
1 |
GFL |
GFL ENVIRONMENTAL INC AT XTSE |
14,459 |
374,556.56 |
51 |
GG |
GALANE GOLD LTD AT XTSX |
100 |
14.5 |
1 |
GGA |
GOLDGROUP MINING ORD SHS AT XT |
1,300 |
35.0 |
2 |
GGD |
GOGOLD RESOURCES INC AT XTSE |
513 |
519.22 |
8 |
GGI |
GARIBALDI RESOURCES ORD SHS AT |
1,829 |
1,433.70 |
10 |
GGM |
GRANADA GOLD MINE ORD SHS AT X |
2,081 |
456.785 |
12 |
GGO |
GALLEON GOLD CORP AT XTSX |
302,144 |
47,638.36 |
111 |
GGX |
GGX GOLD CORP AT XTSX |
15 |
2.525 |
2 |
GIB.A |
CGI ORD SHS AT XTSE |
20,968 |
1,807,366.02 |
187 |
GIL |
GILDAN ACTIVEWEAR ORD SHS AT X |
7,294 |
153,160.53 |
76 |
GIS |
GENESIS METALS ORD SHS AT XTSX |
379 |
128.86 |
1 |
GLD |
GOLDON RESOURCES ORD SHS AT XT |
13,230 |
8,152.80 |
8 |
GLDN |
GOLDEN RIDGE RESOURCES LTD AT |
335 |
67.05 |
2 |
GLDX |
GOLD X MNG ORD SHS AT XTSX |
4,699 |
18,614.92 |
34 |
GLH |
GOLDEN LEAF HOLDINGS ORD SHS A |
534 |
8.01 |
1 |
GLI |
GLACIER LAKE RESOURCES ORD SHS |
4,000 |
720.0 |
1 |
GLO |
GLOBAL ATOMIC CORP AT XTSE |
1,437 |
820.82 |
14 |
GLW |
GALWAY GOLD ORD SHS AT XTSX |
300 |
85.0 |
2 |
GLXY |
GALAXY DIGITAL HOLDINGS ORD SH |
4,288 |
6,893.54 |
31 |
GMA |
GEOMEGA RESOURCES ORD SHS AT X |
400 |
60.0 |
1 |
GMP |
GMP CAPITAL ORD SHS AT XTSE |
20 |
26.2 |
1 |
GMP.PR.C |
GMP CAPITAL INC AT XTSE |
100 |
924.0 |
1 |
GMV |
GMV MINERALS ORD SHS AT XTSX |
500 |
127.5 |
1 |
GMX |
GLOBEX MINING ENTERPRISES ORD |
566 |
232.06 |
2 |
GNG |
GOLDEN GOLIATH RESOURCES LTD A |
800 |
188.0 |
2 |
GOG |
GOLDEN TAG RESOURCES LTD AT XT |
400 |
60.0 |
1 |
GOLD |
GOLDMINING ORD SHS AT XTSE |
13,474 |
32,215.22 |
94 |
GOLO |
GOLO MOBILE ORD SHS AT XTSX |
4,000 |
1,260.00 |
1 |
GOM |
GOLDEN DAWN MINERALS INC AT XT |
10 |
1.0 |
1 |
GOOS |
CANADA GOOSE HOLDINGS SUB VOTI |
2,787 |
87,302.26 |
40 |
GPG |
GRANDE PORTAGE RESOURCES ORD S |
150,644 |
78,499.06 |
37 |
GPH |
GRAPHITE ONE ORD SHS AT XTSX |
1,415 |
768.25 |
2 |
GPR |
GREAT PANTHER MINING ORD SHS A |
1,452 |
1,037.47 |
11 |
GPV |
GREENPOWER MOTOR ORD SHS AT XT |
30,315 |
25,757.15 |
72 |
GPY |
GOLDEN PREDATOR MINING ORD SHS |
1,560 |
512.8 |
9 |
GQC |
GOLDQUEST MINING ORD SHS AT XT |
727 |
147.635 |
4 |
GR |
GREAT ATLANTIC RESOURCES ORD S |
3,000 |
1,185.00 |
2 |
GRA |
NANOXPLORE ORD SHS AT XTSX |
2,850 |
4,457.00 |
6 |
GRAT |
GRATOMIC INC AT XTSX |
450 |
76.5 |
1 |
GRB |
GREENBRIAR CAPITAL CORP AT XTS |
4,713 |
13,951.50 |
42 |
GRDM |
GRID METALS ORD SHS AT XTSX |
2,500 |
450.0 |
1 |
GRN |
GREENLANE RENEWABLES INC AT XT |
59,342 |
30,425.28 |
48 |
GRSL |
GR SILVER MINING ORD SHS AT XT |
52,776 |
31,076.74 |
38 |
GRT.UN |
GRANITE REAL ESTATE INVESTMENT |
5,813 |
412,884.01 |
61 |
GRZ |
GOLD RESERVE ORD SHS CLASS A A |
2,000 |
4,460.00 |
2 |
GSC |
GOLDEN STAR RESOURCES ORD SHS |
620 |
2,385.60 |
5 |
GSI |
GATEKEEPER SYSTEMS INC AT XTSX |
3,363 |
1,513.07 |
15 |
GSPR |
GSP RESOURCE ORD AT XTSX |
15,692 |
5,204.26 |
5 |
GSR |
GOLDSTRIKE RESOURCES ORD SHS A |
168 |
42.0 |
1 |
GSTR |
GREENSTAR BIOSCIENCES CORP AT |
700 |
49.0 |
2 |
GSV |
GOLD STANDARD VENTURES CORP AT |
3,522 |
4,035.80 |
10 |
GSY |
GOEASY ORD SHS AT XTSE |
5,768 |
312,285.54 |
64 |
GTCH |
GETCHELL GOLD ORD SHS AT XCNQ |
5,000 |
1,650.00 |
1 |
GTE |
GRAN TIERRA ENERGY ORD SHS AT |
7,021 |
3,274.41 |
16 |
GTEC |
GTEC HOLDINGS ORD SHS AT XTSX |
445 |
67.475 |
2 |
GTG |
GREAT THUNDER GOLD CORP AT XCN |
790 |
470.6 |
2 |
GTII |
GREEN THUMB INDUSTRIES SUBORDI |
2,195 |
29,660.50 |
20 |
GTR |
GATLING EXPLORATION ORD SHS AT |
190 |
74.1 |
3 |
GTT |
GT GOLD ORD SHS AT XTSX |
1,062 |
2,179.82 |
10 |
GTWO |
G2 GOLDFIELDS INC AT XTSX |
3,100 |
3,427.00 |
3 |
GUD |
KNIGHT THERAPEUTICS ORD SHS AT |
13,248 |
92,243.03 |
34 |
GUY |
GUYANA GOLDFIELDS INC AT XTSE |
8,226 |
14,272.34 |
12 |
GWA |
GOWEST GOLD ORD SHS AT XTSX |
5,500 |
1,787.50 |
2 |
GWM |
GALWAY METALS ORD SHS AT XTSX |
2,165 |
2,020.59 |
11 |
GWO |
GREAT WEST LIFECO ORD SHS AT X |
23,207 |
549,997.83 |
159 |
GWO.PR.F |
GREAT WEST LIFECO 5.9% 1ST PRE |
1,700 |
42,541.75 |
7 |
GWO.PR.G |
GREAT WEST LIFECO 1ST PREF SHS |
400 |
9,207.00 |
4 |
GWO.PR.H |
GREAT WEST LIFECO 1ST 4.8% PRE |
348 |
7,485.48 |
4 |
GWO.PR.I |
GREAT WEST LIFECO 1ST PREF SHS |
190 |
3,795.85 |
3 |
GWO.PR.M |
GREAT WEST LIFECO 5.80% NON-CU |
40 |
984.8 |
1 |
GWO.PR.N |
GREAT WEST LIFECO 3.65% NON CU |
55 |
526.9 |
1 |
GWO.PR.P |
GREAT WEST LIFECO 5.40% NON CU |
800 |
18,884.00 |
1 |
GWO.PR.R |
GREAT WEST LIFECO 4.80% NON CU |
1,400 |
29,921.00 |
7 |
GWO.PR.T |
GREAT WEST LIFECO 5 15 NON CUM |
200 |
4,594.00 |
1 |
GXE |
GEAR ENERGY ORD SHS AT XTSE |
1,447 |
286.765 |
27 |
GXS |
GOLDSOURCE MINES ORD SHS AT XT |
64,552 |
9,834.58 |
5 |
GXU |
GOVIEX URANIUM ORD SHS CLASS A |
1,500 |
245.75 |
8 |
GYA |
GUYANA GOLDSTRIKE ORD SHS AT X |
168 |
8.4 |
1 |
GYSR |
GEYSER BRANDS INC AT XTSX |
1,500 |
217.5 |
1 |
H |
HYDRO ONE ORD SHS AT XTSE |
32,482 |
837,042.14 |
158 |
HAB |
HORIZONS ACTIVE CORPORATE BOND |
9 |
101.93 |
2 |
HAC |
HORIZONS SEASONAL ROTATION ETF |
503 |
9,587.15 |
3 |
HAD |
HORIZONS ACTIVE CDN BOND ETF C |
40 |
440.4 |
1 |
HAL |
HORIZONS ACTIVE CANADIAN DIVID |
130 |
2,022.15 |
2 |
HALO |
HALO LABS INC AT NEOE |
657 |
72.27 |
3 |
HAN |
HANNAN METALS ORD SHS AT XTSX |
450 |
174.0 |
2 |
HARV |
HARVEST HEALTH AND RECREATION |
12,250 |
16,381.50 |
8 |
HARY |
HARRYS MANUFACTURING ORD SHS A |
100 |
25.0 |
1 |
HAZ |
HORIZONS ACTIVE GLOBAL DIVIDEN |
150 |
3,446.00 |
2 |
HBAL |
HORIZONS BALANCED TRI ETF UNIT |
200 |
2,300.00 |
1 |
HBB |
HORIZONS CDN SELECT UNIVERSE B |
1,716 |
88,259.64 |
9 |
HBM |
HUDBAY MINERALS ORD SHS AT XTS |
2,386 |
9,448.88 |
15 |
HBU |
BETAPRO GOLD BULLION 2X DAILY |
11 |
139.26 |
1 |
HCG |
HOME CAPITAL ORD SHS AT XTSE |
7,626 |
149,446.43 |
62 |
HCN |
HORIZONS CHINA HIGH DIVIDEND Y |
15 |
305.25 |
1 |
HDI |
HARDWOODS DISTRIBUTION ORD SHS |
3,447 |
57,892.23 |
18 |
HEM |
HEMOSTEMIX ORD SHS AT XTSX |
30,000 |
375.0 |
1 |
HEO |
H2O INNOVATION INC AT XTSX |
156 |
175.16 |
3 |
HEP |
HORIZONS ENHANCED INCOME GOLD |
1,833 |
63,931.73 |
11 |
HERO |
EVOLVE E-GAMING INDEX UNIT ETF |
100 |
3,015.65 |
2 |
HEU |
BETAPRO S&P/TSX CAPPED ENERGY |
90 |
1,749.20 |
2 |
HEXO |
HEXO CORP AT XTSE |
60,593 |
59,163.39 |
248 |
HFD |
BETAPRO S&P/TSX CAPPED FINANCI |
400 |
6,190.00 |
2 |
HFH |
HEMP FOR HEALTH ORD SHS AT XCN |
250 |
52.5 |
1 |
HFP |
HORIZONS ACTIVE FLOATING RATE |
500 |
3,350.00 |
3 |
HFR |
HORIZONS ACTV ULTRASHORT TERM |
61 |
606.34 |
2 |
HFU |
BETAPRO S&P/TSX CAPPED FINANCI |
30 |
780.7 |
2 |
HGD |
BETAPRO CANADIAN GOLD MINERS - |
100 |
987.0 |
2 |
HGM |
HORIZONS MANAGED GLOBAL OPPORT |
700 |
7,238.00 |
1 |
HGU |
BETAPRO CANADIAN GOLD MINERS 2 |
1,757 |
48,994.68 |
17 |
HGY |
HORIZONS GOLD YIELD ETF AT XTS |
3,622 |
20,404.30 |
6 |
HHF |
HORIZONS MORNINGSTAR HEDGE FUN |
106 |
1,539.28 |
2 |
HHL |
HARVEST HEALTHCARE LEADERS INC |
375 |
2,831.00 |
6 |
HIGH |
HIGHGOLD MINING ORD SHS AT XTS |
36 |
68.4 |
1 |
HISA |
HIGH INTEREST SAVINGS ACCOUNT |
12,500 |
625,103.00 |
4 |
HITI |
HIGH TIDE ORD SHS AT XCNQ |
337 |
55.605 |
2 |
HIVE |
HIVE BLOCKCHAIN TECHNOLOGIES O |
6,550 |
1,990.92 |
60 |
HIX |
BETAPRO S&P/TSX 60 DAILY INVER |
60 |
317.4 |
1 |
HLF |
HIGH LINER FOODS ORD SHS AT XT |
7,015 |
39,279.75 |
28 |
HLS |
HLS THERAPEUTICS ORD SHS AT XT |
1,250 |
21,688.00 |
11 |
HLTH |
GLOBAL CARE CAPITAL INC AT XCN |
1,920 |
176.2 |
5 |
HMMJ |
HORIZONS MARIJUANA LIFE SCIENC |
1,081 |
7,346.41 |
20 |
HND |
BETAPRO NATURAL GAS -2X DAILY |
20,170 |
347,137.50 |
12 |
HNL |
HORIZON NORTH LOGISTICS ORD SH |
2,354 |
1,517.91 |
13 |
HNU |
BETAPRO NATURAL GAS 2X DAILY B |
16,362 |
157,034.55 |
44 |
HOD |
BETAPRO CRUDE OIL -1X DAILY BE |
150 |
1,551.00 |
2 |
HOLL |
HOLLISTER BIOSCIENCES INC AT X |
500 |
55.0 |
2 |
HOM.UN |
BSR REAL ESTATE INVESTMENT TRU |
1,166 |
16,843.68 |
9 |
HOT.UN |
AMERICAN HOTEL INCOME PROPERTI |
1,044 |
3,000.45 |
17 |
HOU |
BETAPRO CRUDE OIL DAILY BULL E |
914 |
13,286.18 |
21 |
HPQ |
HPQ-SILICON RESOURCES INC AT X |
8,408 |
2,244.17 |
29 |
HPR |
HORIZONS ACTIVE PREFERRED SHAR |
49,865 |
341,531.59 |
39 |
HPS.A |
HAMMOND POWER SOLUTIONS ORD SH |
40 |
262.0 |
1 |
HQD |
BETAPRO NASDAQ100 -2X DAILY BE |
1,119 |
9,642.18 |
8 |
HQU |
BETAPRO NASDAQ100 2X DAILY BUL |
1,021 |
27,921.84 |
15 |
HR.UN |
HANDR REAL ESTATE INVESTMENT T |
31,373 |
323,269.61 |
168 |
HRH |
HILLCREST PETROLEUM ORD SHS AT |
500,000 |
12,500.00 |
1 |
HRT |
HARTE GOLD ORD SHS AT XTSE |
13,370 |
2,087.42 |
20 |
HRX |
HEROUX DEVTEK ORD SHS AT XTSE |
865 |
9,070.51 |
13 |
HS |
HEALTHSPACE DATA SYSTEMS LTD A |
400 |
32.0 |
1 |
HSAV |
HORIZONS CASH MAXIMIZER ETF AT |
4,865 |
488,606.58 |
6 |
HSD |
BETAPRO S&P 500 -2X DAILY BEAR |
217 |
1,836.82 |
4 |
HSE |
HUSKY ENERGY ORD SHS AT XTSE |
5,917 |
26,480.54 |
60 |
HSE.PR.A |
HUSKY ENERGY CUMULATIVE REDEEM |
500 |
3,067.00 |
6 |
HSE.PR.B |
HUSKY ENERGY INC AT XTSE |
1,007 |
6,485.15 |
4 |
HSE.PR.C |
HUSKY ENERGY CUMULATIVE REDEEM |
385 |
4,186.40 |
2 |
HSE.PR.E |
HUSKY ENERGY INC AT XTSE |
1,370 |
15,386.00 |
5 |
HSE.PR.G |
HUSKY ENERGY CUMULATIVE REDEEM |
650 |
6,831.00 |
3 |
HSL |
HORIZONS ACTIVE FLOATING RATE |
500 |
4,595.00 |
3 |
HSM |
HELIUS MEDICAL TECHNOLOGIES OR |
1,000 |
680.0 |
1 |
HSU |
BETAPRO S&P 500 2X DAILY BULL |
274 |
7,821.39 |
6 |
HTA |
HARVEST TECH ACHIEVERS GROWTH |
50 |
593.0 |
1 |
HTC |
HTC PURENERGY INC AT XTSX |
950 |
85.5 |
1 |
HTH |
HORIZONS US 710 YEAR TREASURY |
300 |
16,884.00 |
1 |
HUC |
HORIZONS CRUDE OIL ETF UNITS C |
200 |
1,868.00 |
1 |
HUG |
HORIZONS GOLD ETF CLASS A AT X |
296 |
4,512.38 |
6 |
HUGE |
FSD PHARMA SUBORDINATE VOTING |
444 |
2,319.44 |
6 |
HUT |
HUT 8 MINING CORP AT XTSE |
11,875 |
12,854.02 |
64 |
HUV |
BETAPRO S&P 500 VIX SHORTTERM |
1,955 |
117,162.89 |
22 |
HUZ |
HORIZONS SILVER ETF CLASS A AT |
300 |
2,754.00 |
2 |
HVT |
HARVEST ONE CANNABIS INC AT XT |
5,742 |
537.885 |
30 |
HWF |
MIDDLEFIELD HEALTH & WELLNESS |
20 |
243.0 |
1 |
HWO |
HIGH ARCTIC ENERGY SERVICES OR |
300 |
201.0 |
1 |
HXD |
BETAPRO S&P/TSX 60 -2X DAILY B |
57 |
851.64 |
2 |
HXDM |
HORIZONS INTL DEVELOPED MARKET |
200 |
6,552.00 |
1 |
HXH |
HORIZONS CANADIAN HIGH DIVIDEN |
660 |
17,796.00 |
3 |
HXQ |
HORIZONS NASDAQ100 INDEX ETF U |
739 |
58,522.87 |
8 |
HXS |
HORIZONS S&P 500 INDEX ETF UNI |
879 |
72,277.68 |
6 |
HXT |
HORIZONS S&P/TSX 60 INDEX ETF |
7,522 |
266,936.09 |
24 |
HXU |
BETAPRO S&P/TSX 60 2X DAILY BU |
56 |
1,844.44 |
2 |
HYI |
HORIZONS ACTIVE HIGH YIELD BON |
2,116 |
18,322.68 |
10 |
HZU |
BETAPRO SILVER 2X DAILY BULL E |
2,163 |
24,731.73 |
17 |
IAF.PR.B |
INDUSTRIAL ALLIANCE INSURANCE |
500 |
10,620.00 |
5 |
IAF.PR.G |
INDUSTRIAL ALLIANCE INSURANCE |
200 |
3,182.00 |
2 |
IAF.PR.I |
INDUSTRIAL ALLIANCE INSURANCE |
223 |
3,822.68 |
2 |
IAG |
IA FINANCIAL ORD SHS AT XTSE |
23,038 |
1,034,123.03 |
147 |
IBG |
IBI GROUP ORD SHS AT XTSE |
18,826 |
88,272.16 |
25 |
ICAN |
ICANIC BRANDS ORD SHS AT XCNQ |
77 |
19.25 |
1 |
ICPB |
IA CLARINGTON CORE PLUS BOND F |
1,000 |
10,060.00 |
1 |
ID |
IDENTILLECT TECHNOLOGIES ORD S |
100 |
1.5 |
1 |
IDG |
INDIGO BOOKS & MUSIC INC AT XT |
1,917 |
1,843.33 |
10 |
IDK |
THREED CAPITAL INC AT XCNQ |
175 |
22.75 |
1 |
IDR |
MIDDLEFIELD REIT INDEXPLUS UNI |
22 |
281.6 |
1 |
IEI |
IMPERIAL EQUITIES ORD SHS AT X |
1,200 |
3,864.00 |
5 |
IFA |
IFABRIC CORP AT XTSE |
1,862 |
10,489.66 |
9 |
IFC |
INTACT FINANCIAL ORD SHS AT XT |
19,380 |
2,499,975.98 |
222 |
IFC.PR.A |
INTACT FINANCIAL NON CUMULATIV |
351 |
3,913.14 |
2 |
IFC.PR.C |
INTACT FINANCIAL NON CUMULATIV |
100 |
1,462.00 |
1 |
IFC.PR.D |
INTACT FINANCIAL CORP AT XTSE |
94 |
1,301.90 |
1 |
IFC.PR.E |
INTACT FINANCIAL NON CUMULATIV |
375 |
8,697.75 |
4 |
IFC.PR.F |
INTACT FINANCIAL NON CUMULATIV |
100 |
2,329.50 |
1 |
IFOS |
ITAFOS ORD SHS AT XTSX |
3,000 |
1,005.00 |
1 |
IFP |
INTERFOR ORD SHS AT XTSE |
6,747 |
78,673.49 |
37 |
IGCF |
PIMCO INVESTMENT GRADE CREDIT |
570 |
11,664.14 |
6 |
IGM |
IGM FINANCIAL ORD SHS AT XTSE |
6,572 |
212,352.63 |
65 |
IGN |
IGEN NETWORKS ORD SHS AT XCNQ |
666 |
3.33 |
1 |
III |
IMPERIAL METALS ORD SHS AT XTS |
375 |
792.75 |
3 |
IIP.UN |
INTERRENT REAL ESTATE INVESTME |
19,745 |
282,847.42 |
92 |
ILC |
INTERNATIONAL LITHIUM ORD SHS |
872 |
47.96 |
1 |
ILV |
INVESCO S&P INTERNATIONAL DEVE |
188 |
3,917.96 |
3 |
IME |
IMAGIN MEDICAL ORD SHS AT XCNQ |
11,000 |
357.5 |
1 |
IMG |
IAMGOLD CORP AT XTSE |
109,368 |
615,198.67 |
214 |
IMO |
IMPERIAL OIL ORD SHS AT XTSE |
6,604 |
141,902.19 |
80 |
IMR |
IMETAL RES ORD SHS AT XTSX |
20,000 |
650.0 |
1 |
IMV |
IMV INC AT XTSE |
1,496 |
5,954.40 |
9 |
IN |
INMED PHARMACEUTICALS INC AT X |
493 |
4,513.06 |
17 |
INC.UN |
INCOME FINANCIAL UNITS AT XTSE |
700 |
4,277.00 |
2 |
INDS |
INDUS HOLDINGS INC AT XCNQ |
200 |
186.0 |
1 |
INE |
INNERGEX RENEWABLE ENERGY ORD |
28,315 |
552,340.16 |
118 |
INE.DB.C |
INNERGEX RENEWABLE ENERGY INC |
20,000 |
20,806.00 |
1 |
INE.PR.A |
INNERGEX RENEWABLE CUMULATIVE |
2,200 |
28,578.00 |
2 |
INE.PR.C |
INNERGEX RENEWABLE ENERGY CUMU |
277 |
6,445.02 |
2 |
INF.UN |
SUSTAINABLE INFRASTRUCTURE DIV |
20 |
201.2 |
1 |
INNO |
INNOCAN PHARMA ORD SHS AT XCNQ |
806 |
137.02 |
3 |
INO.UN |
INOVALIS REAL ESTATE INVESTMEN |
3,867 |
30,406.37 |
48 |
INV |
INV METALS ORD SHS AT XTSE |
1,666 |
1,474.81 |
26 |
INX |
INTOUCH INSIGHT ORD SHS AT XTS |
3,000 |
1,620.00 |
2 |
IP |
IMAGINEAR INC AT XCNQ |
6,246 |
2,118.12 |
24 |
IPA |
IMMUNOPRECISE ANTIBODIES LTD A |
3,964 |
6,157.76 |
11 |
IPG |
IMPERIAL MINING GROUP ORD SHS |
500 |
27.5 |
1 |
IPL |
INTER PIPELINE ORD SHS AT XTSE |
29,307 |
361,614.55 |
206 |
IPLP |
IPL PLASTICS ORD SHS AT XTSE |
1,170 |
6,151.80 |
11 |
IPO |
INPLAY OIL ORD SHS AT XTSE |
2,428 |
445.395 |
31 |
IPOT |
ISRACANN BIOSCIENCES ORD SHS A |
556 |
226.18 |
2 |
IPT |
IMPACT SILVER ORD SHS AT XTSX |
13,202 |
9,125.19 |
25 |
IRV |
IRVING RESOURCES ORD SHS AT XC |
2,000 |
7,660.00 |
2 |
ISO |
ISOENERGY ORD SHS AT XTSX |
1,120 |
757.4 |
8 |
ISOL |
ISODIOL INTERNATIONAL INC AT X |
123,700 |
7,733.00 |
5 |
ISV |
INFORMATION SERVICES VOTING OR |
40 |
602.8 |
2 |
ITH |
INTERNATIONAL TOWER HILL MINES |
5,043 |
11,842.74 |
21 |
ITP |
INTERTAPE POLYMER GROUP ORD SH |
6,293 |
73,911.42 |
47 |
ITR |
INTEGRA RESOURCES ORD SHS AT X |
3,284 |
6,082.24 |
15 |
ITT |
INTERNET OF THINGS INC AT XTSX |
3,960 |
193.835 |
6 |
IVN |
IVANHOE MINES ORD SHS CLASS A |
8,736 |
33,435.34 |
84 |
IVQ |
INVESQUE ORD SHS AT XTSE |
3,600 |
11,280.50 |
11 |
IVQ.U |
INVESQUE ORD SHS AT XTSE |
2,800 |
6,527.00 |
15 |
JADE |
JADE LEADER CORP AT XTSX |
2,000 |
280.0 |
1 |
JAG |
JAGUAR MINING ORD SHS AT XTSE |
14,104 |
6,931.56 |
19 |
JCO |
JERICHO OIL ORD SHS AT XTSX |
5,500 |
962.5 |
2 |
JDN |
JAYDEN RESOURCES ORD SHS AT XT |
836 |
25.08 |
1 |
JE |
JUST ENERGY GROUP INC AT XTSE |
13,933 |
10,093.33 |
27 |
JET |
GLOBAL CROSSING AIRLINES INC A |
33,280 |
85,551.39 |
432 |
JFS.UN |
JFT STRATEGIES FUND CLASS A AT |
200 |
3,028.00 |
1 |
JG |
JAPAN GOLD ORD SHS AT XTSX |
841 |
283.94 |
2 |
JOY |
JOURNEY ENERGY ORD SHS AT XTSE |
300 |
112.5 |
1 |
JPWR.UN |
JADE POWER UNITS AT XTSX |
2,705 |
594.075 |
2 |
JRV |
JERVOIS MINING ORD SHS AT XTSX |
5 |
0.8 |
1 |
JTR |
GREENSPACE BRANDS INC AT XTSX |
2,000 |
160.0 |
2 |
JUSH |
JUSHI HOLDINGS SUBORDINATE VOT |
2,500 |
4,393.00 |
20 |
JWCA.H |
JAMES E WAGNER CULTIVATION ORD |
85,580 |
645.11 |
100 |
JWEL |
JAMIESON WELLNESS ORD SHS AT X |
32,350 |
1,194,169.22 |
245 |
K |
KINROSS GOLD ORD SHS AT XTSE |
16,805 |
162,515.67 |
119 |
KBEV |
KOIOS BEVERAGE CORP AT XCNQ |
450 |
33.5 |
2 |
KBL |
K-BRO LINEN ORD SHS AT XTSE |
1,109 |
29,870.58 |
15 |
KCC |
KINCORA COPPER LTD AT XTSX |
250 |
37.5 |
1 |
KDK |
KODIAK COPPER ORD SHS AT XTSX |
17,292 |
10,526.04 |
19 |
KEG.UN |
KEG ROYALTIES INCOME UNITS AT |
66 |
617.76 |
2 |
KEL |
KELT EXPLORATION ORD SHS AT XT |
289 |
444.78 |
5 |
KER |
KERR MINES ORD SHS AT XTSE |
325 |
47.595 |
3 |
KEY |
KEYERA ORD SHS AT XTSE |
57,016 |
1,169,413.21 |
155 |
KG |
KLONDIKE GOLD CP ORD SHS AT XT |
350 |
115.5 |
1 |
KGS |
KINGMAN MINERALS LTD AT XTSX |
691 |
48.37 |
1 |
KHRN |
KHIRON LIFE SCIENCES ORD SHS A |
821 |
464.83 |
4 |
KILO |
PURPOSE GOLD BULLION FUND AT X |
508 |
14,111.81 |
4 |
KILO.B |
PURPOSE GOLD BULLION FUND AT X |
24 |
706.08 |
1 |
KL |
KIRKLAND LAKE GOLD ORD SHS AT |
36,745 |
2,061,763.75 |
261 |
KMP.UN |
KILLAM APARTMENT REIT UNITS CL |
1,178 |
20,428.68 |
14 |
KNE |
KANE BIOTECH ORD SHS AT XTSX |
350 |
49.0 |
1 |
KNG |
KINGSMEN RESOURCES ORD SHS AT |
4,000 |
660.0 |
1 |
KNT |
K92 MINING ORD SHS AT XTSX |
2,885 |
11,498.07 |
31 |
KOR |
CORVUS GOLD ORD SHS AT XTSE |
178 |
572.64 |
4 |
KORE |
KORE MINING LTD AT XTSX |
4,306 |
7,296.31 |
53 |
KPT |
KP TISSUE ORD SHS AT XTSE |
2,820 |
30,666.40 |
9 |
KRR |
KARORA RESOURCES INC AT XTSE |
101,684 |
50,952.41 |
23 |
KS |
KLONDIKE SILVER ORD SHS AT XTS |
500 |
20.0 |
1 |
KSI |
KNEATCOM ORD SHS AT XTSX |
3,338 |
6,381.80 |
11 |
KTN |
KOOTENAY SILVER ORD SHS AT XTS |
2,616 |
960.57 |
6 |
KTO |
K2 GOLD ORD SHS AT XTSX |
64,900 |
30,080.50 |
9 |
KUT |
REDISHRED CAPITAL ORD SHS AT X |
5 |
2.125 |
1 |
KXS |
KINAXIS ORD SHS AT XTSE |
10,647 |
2,162,118.79 |
226 |
KZD |
KAIZEN DISCOVERY ORD SHS AT XT |
120 |
6.0 |
1 |
L |
LOBLAW COMPANIES ORD SHS AT XT |
29,004 |
1,933,696.50 |
120 |
LAB |
LABRADOR GOLD CORP AT XTSX |
150 |
55.5 |
1 |
LABS |
MEDIPHARM LABS ORD SHS AT XTSE |
1,410 |
1,739.25 |
38 |
LAC |
LITHIUM AMERICAS ORD SHS AT XT |
2,737 |
18,772.01 |
50 |
LAD |
NEW CAROLIN GOLD ORD SHS AT XT |
335 |
18.475 |
2 |
LAM |
LARAMIDE RESOURCES ORD SHS AT |
88,306 |
21,459.33 |
31 |
LB |
LAURENTIAN BANK OF CANADA ORD |
4,753 |
137,527.62 |
41 |
LB.PR.H |
LAURENTIAN BANK OF CANADA AT X |
800 |
9,592.00 |
2 |
LB.PR.J |
LAURENTIAN BANK OF CANADA SERI |
1,400 |
25,929.50 |
8 |
LBC |
LIBERO COPPER & GOLD CORP AT X |
500 |
69.5 |
3 |
LBS |
LIFE & BANC SPLIT CORPORATION |
169 |
672.4 |
4 |
LBS.PR.A |
LIFE & BANC SPLIT PREF SHS AT |
7,356 |
70,724.12 |
7 |
LCS |
BROMPTON LIFECO SPLIT CORP CLA |
1,600 |
3,373.50 |
4 |
LEM |
LEADING EDGE MATERIALS CORP AT |
300 |
42.0 |
1 |
LFE.PR.B |
CANADIAN LIFE COMPANIES SPLIT |
200 |
1,844.00 |
2 |
LGD |
LIBERTY GOLD ORD SHS AT XTSE |
1,153 |
2,282.38 |
13 |
LGT.B |
LOGISTEC SUB VOTING ORD SHS CL |
100 |
3,373.00 |
1 |
LHI |
LENDIFIED HOLDINGS INC AT XTSX |
2,435 |
72.445 |
4 |
LHS |
LIBERTY HEALTH SCIENCES ORD SH |
1,338 |
630.09 |
6 |
LI |
AMERICAN LITHIUM ORD SHS AT XT |
2,395 |
2,103.54 |
18 |
LIDA |
LIDA RESOURCES INC AT XCNQ |
1,106 |
280.37 |
4 |
LIF |
LABRADOR IRON ORE ROYALTY ORD |
6,233 |
149,460.35 |
21 |
LIFE |
EVOLVE GLOBAL HEALTHCARE ENHAN |
1,350 |
28,866.50 |
5 |
LIO |
LION ONE METALS ORD SHS AT XTS |
326 |
561.74 |
7 |
LITH |
LITHIUM CHILE INC AT XTSX |
1,800 |
448.5 |
2 |
LITT |
ROADMAN INVESTMENTS CORP AT XT |
1,115 |
27.875 |
3 |
LKY |
LUCKY MINERALS INC AT XTSX |
500 |
114.165 |
2 |
LLG |
MASON GRAPHITE INC AT XTSX |
205 |
39.975 |
2 |
LME |
LAURION MINERAL EXPLORATION OR |
633 |
94.95 |
2 |
LMNL |
LIMINAL BIOSCIENCES ORD SHS AT |
2,609 |
51,834.62 |
29 |
LN |
LONCOR RESOURCES INC AT XTSE |
199 |
121.39 |
1 |
LNF |
LEONS FURNITURE ORD SHS AT XTS |
1,343 |
18,889.40 |
7 |
LNR |
LINAMAR ORD SHS AT XTSE |
5,628 |
214,125.20 |
37 |
LOAN |
REDFUND CAPITAL ORD SHS AT XCN |
857 |
59.99 |
1 |
LOOP |
LOOPSHARE ORD SHS AT XTSX |
400 |
56.0 |
1 |
LOVE |
CANNARA BIOTECH INC AT XCNQ |
2,128 |
221.67 |
6 |
LPS |
LEGEND POWER SYSTEMS ORD SHS A |
14,000 |
6,180.00 |
6 |
LR |
LUMINEX RESOURCES ORD SHS AT X |
400 |
406.0 |
2 |
LRA |
LARA EXPLORATION ORD SHS AT XT |
4,100 |
3,815.00 |
2 |
LS |
MIDDLEFIELD HEALTHCARE & LIFE |
200 |
2,172.00 |
1 |
LSPD |
LIGHTSPEED POS ORD AT XTSE |
84,826 |
3,169,268.99 |
1065 |
LTE |
LITE ACCESS TECHNOLOGIES ORD S |
281 |
199.8 |
9 |
LTV |
LEONOVUS INC AT XTSX |
22,965 |
853.775 |
6 |
LUC |
LUCARA DIAMOND CORP. ORD SHS A |
771 |
494.16 |
8 |
LUG |
LUNDIN GOLD INC AT XTSE |
2,311 |
28,690.54 |
20 |
LUM |
LUMINA GOLD ORD SHS AT XTSX |
6,591 |
6,097.88 |
13 |
LUN |
LUNDIN MINING ORD SHS AT XTSE |
131,892 |
970,615.10 |
251 |
LXG |
LEXAGENE HOLDINGS ORD SHS AT X |
2,421 |
2,095.98 |
11 |
M |
MOSAIC CAPITAL ORD SHS AT XTSX |
1,000 |
2,230.00 |
2 |
MAE |
MARITIME RESOURCES CORP AT XTS |
1,211 |
135.545 |
5 |
MAG |
MAG SILVER ORD SHS AT XTSE |
2,748 |
51,451.30 |
23 |
MAI |
MINERA ALAMOS ORD SHS AT XTSX |
19,450 |
10,384.50 |
19 |
MAL |
MAGELLAN AEROSPACE ORD SHS AT |
610 |
4,355.16 |
9 |
MARI |
MARIMACA COPPER CORP AT XTSE |
3,100 |
5,626.50 |
3 |
MAV |
MAV BEAUTY BRANDS ORD SHS AT X |
1,600 |
4,014.00 |
3 |
MAW |
MAWSON RESOURCES ORD SHS AT XT |
1,682 |
611.69 |
6 |
MAX |
MIDAS GOLD ORD SHS AT XTSE |
909 |
678.9 |
8 |
MAXR |
MAXAR TECHNOLOGIES INC AT XTSE |
7,799 |
192,642.43 |
87 |
MBX |
MICROBIX BIOSYSTEMS ORD SHS AT |
1,057 |
338.24 |
3 |
MCB |
MCCOY GLOBAL ORD SHS AT XTSE |
100 |
55.0 |
1 |
MCCN |
MEDCOLCANNA ORGANICS INC AT XT |
750 |
67.5 |
1 |
MCLD |
MCLOUD TECHNOLOGIES CORP AT XT |
7,810 |
28,294.60 |
12 |
MCR |
MACRO ENTERPRISES ORD SHS AT X |
300 |
723.0 |
1 |
MCSB |
MACKENZIE CANADIAN SHORT TERM |
300 |
6,126.00 |
2 |
MD |
MIDLAND EXPLORATION ORD SHS AT |
800 |
815.0 |
2 |
MDC.UN |
DIGITAL CONSUMER DIVIDEND UNIT |
700 |
8,172.00 |
3 |
MDD |
MAG ONE PRODUCTS INC AT XCNQ |
3,000 |
270.0 |
2 |
MDF |
MEDIAGRIF INTERACTIVE TECHNOLO |
1,575 |
9,103.00 |
5 |
MDI |
MAJOR DRILLING GROUP INTERNATI |
44,816 |
192,774.92 |
20 |
MDL |
MEDALLION RESOURCES LTD AT XTS |
250 |
37.5 |
1 |
MDNA |
MEDICENNA THERAPEUTICS ORD SHS |
3,182 |
19,467.78 |
66 |
ME |
MONETA PORCUPINE MINES ORD SHS |
686,110 |
114,859.25 |
116 |
MEAT |
MODERN MEAT INC AT XCNQ |
353 |
554.43 |
6 |
MEG |
MEG ENERGY ORD SHS AT XTSE |
13,801 |
53,243.64 |
53 |
MEK |
METALS CREEK RESOURCES ORD SHS |
20 |
1.2 |
2 |
MENE |
MENE ORD SHS AT XTSX |
46 |
15.87 |
1 |
META |
META GROWTH ORD SHS AT XTSX |
260 |
31.9 |
3 |
MFC |
MANULIFE FINANCIAL CORP AT XTS |
48,974 |
895,854.17 |
393 |
MFC.PR.B |
MANULIFE FINL PREF SHS SERIES |
563 |
12,384.22 |
4 |
MFC.PR.C |
MANULIFE FINL PREF SHS SERIES |
1,199 |
25,513.74 |
12 |
MFC.PR.G |
MANULIFE FINANCIAL NON CUMULAT |
300 |
4,829.00 |
2 |
MFC.PR.H |
MANULIFE FINANCIAL NON-CUMULAT |
100 |
1,740.00 |
1 |
MFC.PR.I |
MANULIFE FINANCIAL NON CUMULAT |
6,180 |
100,965.70 |
21 |
MFC.PR.J |
MANULIFE FINANCIAL NON CUMULAT |
1,500 |
23,725.00 |
7 |
MFC.PR.K |
MANULIFE FINANCIAL NON CUMULAT |
213 |
3,018.08 |
2 |
MFC.PR.N |
MANULIFE FINANCIAL CORP AT XTS |
76 |
1,094.40 |
1 |
MFC.PR.O |
MANULIFE FINANCIAL SERIES 21 N |
300 |
7,419.00 |
3 |
MFC.PR.Q |
MANULIFE FINANCIAL NON CUMULAT |
200 |
3,196.00 |
1 |
MFC.PR.R |
MANULIFE FINANCIAL SERIES 23 N |
502 |
10,677.76 |
6 |
MFI |
MAPLE LEAF FOODS ORD SHS AT XT |
9,617 |
274,638.36 |
83 |
MFM |
MARIFIL MINES ORD SHS AT XTSX |
2,568 |
129.115 |
7 |
MFT |
MACKENZIE FLOATING RATE INCOME |
95 |
1,732.63 |
2 |
MG |
MAGNA INTERNATIONAL ORD SHS AT |
19,095 |
1,154,794.85 |
161 |
MGA |
MEGA URANIUM LTD AT XTSE |
1,492 |
127.32 |
3 |
MGB |
MACKENZIE CORE PLUS GLOBAL FIX |
7,126 |
143,747.16 |
26 |
MGG |
MINAURUM GOLD ORD SHS AT XTSX |
202 |
99.98 |
2 |
MGM |
MAPLE GOLD MINES LTD AT XTSX |
582 |
84.39 |
4 |
MGR |
MAGNA GOLD CORP AT XTSX |
9,063 |
13,433.22 |
17 |
MGRO |
MUSTGROW BIOLOGICS ORD SHS AT |
250 |
78.75 |
1 |
MGW |
MAPLE LEAF GREEN WORLD INC AT |
160 |
13.6 |
1 |
MI.UN |
MINTO APARTMENT REIT UNITS AT |
10,460 |
210,285.03 |
59 |
MIC |
GENWORTH MI CANADA ORD SHS AT |
9,057 |
290,112.44 |
140 |
MID.UN |
MINT INCOME UNITS AT XTSE |
325 |
1,670.75 |
3 |
MIN |
EXCELSIOR MINING ORD SHS AT XT |
633 |
408.45 |
5 |
MINT |
MANULIFE MULTIFACTOR DEVELOPED |
4 |
99.84 |
1 |
MIR |
MEDMIRA ORD SHS AT XTSX |
139,199 |
60,568.25 |
123 |
MIRL |
MINERA IRL ORD SHS AT XCNQ |
114 |
19.95 |
1 |
MIS |
MISTANGO RIVER RESOURCES ORD S |
622 |
165.94 |
2 |
MJ |
TRUE LEAF BRANDS ORD SHS AT XC |
500 |
22.5 |
1 |
MJS |
MAJESTIC GOLD ORD SHS AT XTSX |
500 |
25.0 |
1 |
MKB |
MACKENZIE CORE PLUS CANADIAN F |
768 |
17,087.96 |
12 |
MKO |
MAKO MINING ORD SHS AT XTSX |
6,108 |
2,886.38 |
14 |
MKP |
MCAN MORTGAGE ORD SHS AT XTSE |
790 |
10,223.48 |
8 |
MKR |
MELKIOR RESOURCES INC AT XTSX |
1,050 |
1,112.00 |
2 |
MKZ.UN |
MACKENZIE MASTER LIMITED PARTN |
200 |
168.0 |
1 |
ML |
MILLENNIAL LITHIUM CORP AT XTS |
35 |
35.0 |
3 |
MMED |
MIND MEDICINE MINDMED INC AT N |
42,795 |
22,028.30 |
59 |
MMEN |
MEDMEN ENTERPRISES SUBORDINATE |
846 |
281.39 |
2 |
MMG |
METALLIC MINERALS ORD SHS AT X |
13,774 |
5,571.50 |
9 |
MMJ |
MATICA ENTERPRISES ORD SHS AT |
400 |
12.0 |
1 |
MMP.UN |
SENTRY PRECIOUS METALS AND MIN |
1,500 |
3,355.00 |
2 |
MMS |
MACARTHUR MINERALS ORD SHS AT |
305 |
45.75 |
2 |
MMX |
MAVERIX METALS ORD SHS AT XTSE |
2,770 |
16,098.30 |
29 |
MN |
MANGANESE X ENERGY CORP AT XTS |
10,000 |
1,325.00 |
1 |
MND |
MANDALAY RESOURCES ORD SHS AT |
2,913 |
5,405.05 |
6 |
MNO |
MERIDIAN MINING SOCIETAS EUROP |
5,000 |
1,275.00 |
1 |
MNS |
ROYAL CANADIAN MINT CANADIAN S |
130 |
1,940.34 |
2 |
MNT |
ROYAL CANADIAN MINT CANADIAN G |
2,385 |
68,180.76 |
20 |
MOGO |
MOGO ORD SHS AT XTSE |
194 |
246.54 |
6 |
MOTA |
MOTA VENTURES ORD SHS AT XCNQ |
170 |
44.5 |
2 |
MOZ |
MARATHON GOLD ORD SHS AT XTSE |
255 |
481.98 |
4 |
MPVD |
MOUNTAIN PROVINCE DIAMONDS ORD |
1 |
0.315 |
1 |
MQR |
MONARCH GOLD ORD SHS AT XTSE |
1,498 |
599.17 |
6 |
MR.UN |
MELCOR REAL ESTATE INVESTMENT |
1,000 |
3,784.00 |
4 |
MRC |
MORGUARD ORD SHS AT XTSE |
89 |
11,148.32 |
6 |
MRD |
MELCOR DEVELOPMENTS REIT ORD S |
300 |
2,320.00 |
2 |
MRE |
MARTINREA INTERNATIONAL ORD SH |
9,779 |
106,332.71 |
79 |
MRG.UN |
MORGUARD NORTH AMERICAN RESIDE |
494 |
7,253.41 |
8 |
MRO |
MILLROCK RESOURCES ORD SHS AT |
2,082 |
573.56 |
10 |
MRS |
MISSION READY SOLUTIONS INC AT |
247 |
29.64 |
1 |
MRT.UN |
MORGUARD REAL ESTATE INVESTMEN |
860 |
4,418.80 |
7 |
MRU |
METRO ORD SHS AT XTSE |
12,541 |
702,982.57 |
96 |
MRZ |
MIRASOL RESOURCES ORD SHS AT X |
1,624 |
598.505 |
7 |
MSI |
MORNEAU SHEPELL ORD SHS AT XTS |
14,021 |
440,905.03 |
98 |
MSV |
MINCO SILVER ORD SHS AT XTSE |
6 |
4.02 |
2 |
MT |
M3 METALS CORP AT XTSX |
121 |
15.355 |
8 |
MTA |
METALLA ROYALTY AND STREAMING |
5,706 |
40,726.72 |
45 |
MTB |
MOUNTAIN BOY MINERALS ORD SHS |
5,300 |
1,992.00 |
2 |
MTC |
METALCORP ORD SHS AT XTSX |
10 |
0.25 |
1 |
MTL |
MULLEN GROUP ORD SHS AT XTSE |
79,741 |
614,674.87 |
71 |
MTLO |
MARTELLO TECHNOLOGIES ORD SHS |
2,684 |
613.56 |
26 |
MTRX |
LOOP INSIGHTS ORD SHS AT XTSX |
3,237 |
455.345 |
44 |
MTS |
METALLIS RESOURCES INC AT XTSX |
6,000 |
2,160.00 |
2 |
MTU |
MANITOU GOLD ORD SHS AT XTSX |
65,709 |
3,285.45 |
3 |
MTY |
MTY FOOD GROUP ORD SHS AT XTSE |
35,258 |
895,257.29 |
291 |
MUB |
MACKENZIE UNCONSTRAINED BOND E |
2,477 |
51,649.34 |
26 |
MUN |
MUNDORO CAPITAL ORD SHS AT XTS |
5 |
0.65 |
1 |
MUX |
MCEWEN MINING ORD SHS AT XTSE |
4,090 |
5,624.50 |
4 |
MVMD |
MOUNTAIN VALLEY MD HOLDINGS IN |
200 |
21.0 |
2 |
MVT |
MAXTECH VENTURES ORD SHS AT XC |
500 |
32.5 |
1 |
MWD |
MACKENZIE MAX DIVSF ALL WORLD |
104 |
2,664.40 |
2 |
MX |
METHANEX ORD SHS AT XTSE |
9,868 |
250,463.57 |
78 |
MXG |
MAXIM POWER ORD SHS AT XTSE |
200 |
442.0 |
2 |
MYA |
MAYA GOLD AND SILVER ORD SHS A |
200 |
284.0 |
1 |
MYCO |
MYDECINE INNOVATIONS GROUP INC |
4,020 |
2,984.10 |
5 |
N |
NAMASTE TECHNOLOGIES ORD SHS A |
2,305 |
820.87 |
21 |
NA |
NATIONAL BANK OF CANADA ORD SH |
45,706 |
2,811,311.36 |
285 |
NA.PR.A |
NATIONAL BANK OF CANADA 5 YEAR |
304 |
7,407.40 |
3 |
NA.PR.C |
NATIONAL BANK OF CANADA NON CU |
500 |
9,829.00 |
2 |
NA.PR.E |
NATIONAL BANK OF CANADA NON CU |
500 |
8,333.00 |
3 |
NA.PR.S |
NATIONAL BANK OF CANADA NON CU |
1,415 |
21,936.55 |
9 |
NA.PR.W |
NATIONAL BANK OF CANADA 5 YEAR |
3,208 |
48,209.00 |
10 |
NA.PR.X |
NATIONAL BANK OF CANADA NVCC N |
123 |
3,021.80 |
2 |
NAB |
NABIS HOLDINGS ORD SHS AT XCNQ |
440 |
6.6 |
1 |
NAN |
NORTH AMERICAN NICKEL ORD SHS |
15 |
1.275 |
2 |
NB |
NIOCORP DEVELOPMENTS ORD SHS A |
1,094 |
921.96 |
5 |
NBVA |
NUBEVA TECHNOLOGIES ORD SHS AT |
1,000 |
90.0 |
1 |
NBY |
NIOBAY METALS ORD SHS AT XTSX |
538 |
290.21 |
8 |
NC |
NETCENTS TECHNOLOGY INC AT XCN |
162 |
247.99 |
3 |
NCF |
NORTHCLIFF RESOURCES ORD SHS A |
500 |
15.0 |
1 |
NCP |
NICKEL CREEK PLATINUM ORD SHS |
675 |
52.25 |
2 |
NCU |
NEVADA COPPER ORD SHS AT XTSE |
153,759 |
31,845.64 |
20 |
NDM |
NORTHERN DYNASTY MINERALS ORD |
318 |
628.64 |
9 |
NDVA |
INDIVA LTD AT XTSX |
1,650 |
492.625 |
12 |
NEE |
NORTHERN VERTEX MINING ORD SHS |
550 |
191.0 |
3 |
NEO |
NEO PERFORMANCE MATERIALS ORD |
9,800 |
89,155.50 |
11 |
NEPT |
NEPTUNE WELLNESS SOLUTIONS ORD |
5,759 |
21,197.77 |
40 |
NERD |
NERDS ON SITE INC AT XCNQ |
72 |
3.96 |
1 |
NEV |
NEVADA SUNRISE GOLD ORD SHS AT |
1,000 |
80.0 |
2 |
NEXT |
NEXTSOURCE MATERIALS ORD SHS A |
337 |
13.48 |
1 |
NFI |
NFI GROUP ORD SHS AT XTSE |
2,103 |
34,717.07 |
31 |
NG |
NOVAGOLD RESOURCES ORD SHS AT |
6,301 |
78,134.25 |
43 |
NGD |
NEW GOLD ORD SHS AT XTSE |
294 |
531.55 |
6 |
NGE |
NEVADA EXPLORATION ORD SHS AT |
35,560 |
5,642.10 |
4 |
NGLD |
NEW PLACER DOME GOLD CORP AT X |
720 |
389.6 |
4 |
NGT |
NEWMONT ORD SHS AT XTSE |
1,654 |
136,216.52 |
41 |
NGZ |
NRG METALS ORD SHS AT XTSX |
287 |
86.1 |
1 |
NHK |
NIGHTHAWK GOLD ORD SHS AT XTSE |
7,740 |
18,496.20 |
26 |
NKL |
CONIC METALS ORD SHS AT XTSX |
1,300 |
211.0 |
2 |
NLC |
NEO LITHIUM ORD SHS AT XTSX |
2,294 |
1,232.03 |
20 |
NLH |
NOVA LEAP HEALTH ORD SHS AT XT |
240 |
80.4 |
1 |
NMI |
NAMIBIA CRITICAL METALS ORD SH |
10,000 |
1,800.00 |
1 |
NNO |
NANO ONE MATERIALS CORP AT XTS |
2,160 |
2,995.04 |
12 |
NOA |
NORTH AMERICAN CONSTRUCTION GR |
33,003 |
275,944.84 |
22 |
NOM |
NORSEMONT MINING INC AT XCNQ |
85 |
175.1 |
1 |
NOT |
NORONT RESOURCES ORD SHS AT XT |
227 |
36.32 |
1 |
NOU |
NOUVEAU MONDE GRAPHITE ORD SHS |
3,500 |
682.0 |
3 |
NOVA |
NOVA MENTIS LIFE SCIENCE CORP |
1,109 |
237.84 |
4 |
NPI |
NORTHLAND POWER ORD SHS AT XTS |
4,066 |
138,767.66 |
81 |
NPI.PR.A |
NORTHLAND POWER CUMULATIVE RAT |
1,900 |
22,952.00 |
3 |
NPI.PR.B |
NORTHLAND POWER INC AT XTSE |
100 |
1,239.00 |
1 |
NPRF |
NBI ACTIVE CANADIAN PREFERRED |
100 |
1,751.00 |
1 |
NPT |
PLAINTREE SYSTEMS INC AT XCNQ |
6,000 |
870.0 |
1 |
NREA |
NBI GLOBAL REAL ASSETS INCOME |
300 |
5,442.00 |
1 |
NRG |
NEWRANGE GOLD ORD SHS AT XTSX |
380 |
92.0 |
4 |
NRI |
NUVO PHARMACEUTICALS ORD SHS A |
153 |
110.16 |
1 |
NRN |
NORTHERN SHIELD RESOURCES INC |
2,222 |
217.23 |
4 |
NRTH |
48NORTH CANNABIS ORD SHS AT XT |
3,443 |
769.155 |
27 |
NSAU |
MEGUMAGOLD ORD SHS AT XCNQ |
557 |
89.12 |
2 |
NSCI |
NANALYSIS SCIENTIFIC ORD SHS A |
1 |
0.55 |
1 |
NSHS |
NANOSPHERE HEALTH SCIENCES ORD |
1,204 |
30.1 |
2 |
NSP |
NATURALLY SPLENDID ENTERPRISES |
300 |
15.0 |
1 |
NSR |
NOMAD ROYALTY CO LTD AT XTSE |
4,798 |
6,474.74 |
8 |
NTAR |
NEXTECH AR SOLUTIONS ORD SHS A |
9,384 |
53,014.88 |
55 |
NTR |
NUTRIEN ORD SHS AT XTSE |
42,014 |
1,876,000.44 |
459 |
NTS |
NANOTECH SECURITY ORD SHS AT X |
250 |
70.0 |
1 |
NU |
NEUTRISCI INTERNATIONAL ORD SH |
1,990 |
149.25 |
4 |
NUAG |
NEW PACIFIC METALS ORD SHS AT |
3,419 |
18,436.48 |
13 |
NUG |
NULEGACY GOLD CORP AT XTSX |
1,015 |
133.2 |
6 |
NUMI |
NUMINUS WELLNESS INC AT XTSX |
5,621 |
2,432.84 |
42 |
NUR |
NURAN WIRELESS ORD SHS AT XCNQ |
500 |
17.5 |
1 |
NVA |
NUVISTA ENERGY LTD AT XTSE |
6,619 |
5,402.84 |
19 |
NVCN |
NEOVASC ORD SHS AT XTSE |
497 |
1,602.44 |
4 |
NVO |
NOVO RESOURCES ORD SHS AT XTSX |
12,140 |
45,641.47 |
73 |
NVU.UN |
NORTHVIEW APARTMENT REAL ESTAT |
4,324 |
151,022.97 |
21 |
NVX |
NV GOLD ORD SHS AT XTSX |
400 |
104.0 |
2 |
NWC |
NORTH WEST COMPANY ORD SHS AT |
18,073 |
550,957.43 |
61 |
NWH.UN |
NORTHWEST HEALTHCARE PROPERTIE |
12,895 |
142,411.49 |
44 |
NXE |
NEXGEN ENERGY ORD SHS AT XTSE |
8,816 |
16,007.82 |
41 |
NXF |
CI FIRST ASSET ENERGY GIANTS C |
100 |
393.0 |
1 |
NXN |
NXGOLD LTD AT XTSX |
1,560 |
770.8 |
5 |
NXO |
NEXOPTIC TECHNOLOGY ORD SHS AT |
790 |
390.225 |
11 |
NXR.UN |
NEXUS REAL ESTATE INVESTMENT U |
485 |
746.43 |
22 |
NXS |
NEXUS GOLD ORD SHS AT XTSX |
9,316 |
898.54 |
13 |
NZC |
NORZINC ORD SHS AT XTSE |
15 |
1.275 |
2 |
OBE |
OBSIDIAN ENERGY ORD SHS AT XTS |
64 |
35.2 |
3 |
OCG |
OUTCROP GOLD ORD SHS AT XTSX |
1,033 |
375.545 |
4 |
OCO |
OROCO RESOURCE ORD SHS AT XTSX |
2,194 |
1,202.70 |
13 |
OGC |
OCEANAGOLD CORPORATION ORD SHS |
46,833 |
142,893.22 |
72 |
OGI |
ORGANIGRAM HOLDINGS ORD SHS AT |
92,541 |
187,894.82 |
365 |
OIII |
O3 MINING ORD SHS AT XTSX |
3,401 |
9,067.01 |
11 |
OLA |
ORLA MINING ORD SHS AT XTSE |
651 |
2,459.33 |
5 |
OM |
OSISKO METALS ORD SHS AT XTSX |
3,720 |
1,532.37 |
7 |
OMI |
OROSUR MINING INC AT XTSE |
1,589 |
98.615 |
2 |
OMM |
OMINECA MINING AND METALS ORD |
7,689 |
4,717.94 |
19 |
ONC |
ONCOLYTICS BIOTECH ORD SHS AT |
274 |
691.82 |
5 |
ONEX |
ONEX ORD SHS AT XTSE |
11,602 |
713,604.04 |
111 |
OPS |
OPSENS ORD SHS AT XTSE |
1,000 |
720.0 |
1 |
OPT |
OPTIVA INC AT XTSE |
450 |
14,208.50 |
3 |
OR |
OSISKO GOLD ROYALTIES ORD SHS |
4,971 |
66,660.25 |
50 |
ORA |
AURA MINERALS ORD SHS AT XTSE |
576 |
108,430.31 |
12 |
ORE |
OREZONE GOLD ORD SHS AT XTSX |
740 |
610.8 |
5 |
OREA |
OREA MINING CORP AT XTSE |
315 |
61.375 |
3 |
ORG |
ORCA GOLD INC AT XTSX |
490 |
215.6 |
1 |
ORL |
OROCOBRE ORD SHS AT XTSE |
1,342 |
2,994.24 |
10 |
ORM |
ORFORD MINING ORD SHS AT XTSX |
23,000 |
1,782.50 |
2 |
ORS |
ORESTONE MINING CORP AT XTSX |
300 |
61.5 |
1 |
ORX |
OREFINDERS RESOURCES ORD SHS A |
1,034 |
108.57 |
4 |
OS |
OSPREY GOLD DEVELOPMENT ORD SH |
10 |
0.65 |
1 |
OSB |
NORBORD ORD SHS AT XTSE |
13,222 |
419,741.93 |
89 |
OSI |
OSINO RESOURCES CORP AT XTSX |
1,626 |
2,163.34 |
16 |
OSK |
OSISKO MINING ORD SHS AT XTSE |
825 |
3,116.10 |
11 |
OSS |
ONESOFT SOLUTIONS ORD SHS AT X |
651 |
284.45 |
3 |
OSU |
ORSU METALS CORP AT XTSX |
512 |
186.86 |
3 |
OTEX |
OPEN TEXT CORP AT XTSE |
37,688 |
2,202,837.10 |
136 |
OVT |
OCULUS VISIONTECH ORD SHS AT X |
790 |
286.9 |
2 |
OVV |
OVINTIV ORD SHS AT XTSE |
33,432 |
458,220.07 |
170 |
OWLI |
ONE WORLD LITHIUM INC AT XCNQ |
2,700 |
324.0 |
2 |
PAAS |
PAN AMERICAN SILVER ORD SHS AT |
3,647 |
144,493.59 |
43 |
PAC |
PACTON GOLD INC AT XTSX |
4,788 |
6,664.58 |
22 |
PAN |
PANGOLIN DIAMONDS ORD SHS AT X |
177 |
3.54 |
1 |
PAT |
PATRIOT ONE TECHNOLOGIES INC A |
355 |
382.74 |
11 |
PBD |
PURPOSE TOTAL RETURN BOND ETF |
200 |
3,612.00 |
1 |
PBH |
PREMIUM BRANDS HOLDINGS ORD SH |
3,247 |
279,891.20 |
45 |
PBL |
POLLARD BANKNOTE ORD SHS AT XT |
310 |
5,410.00 |
3 |
PBY.UN |
CANSO CREDIT INCOME SERIES A A |
200 |
2,252.00 |
1 |
PCD.UN |
PATHFINDER INCOME UNITS AT XTS |
221 |
1,485.59 |
3 |
PCLO |
PHARMACIELO ORD SHS AT XTSX |
31,316 |
21,919.28 |
8 |
PCR |
PINECREST RESOURCES LTD AT XTS |
95 |
57.95 |
1 |
PD |
PRECISION DRILLING CORP AT XTS |
3,913 |
3,830.68 |
46 |
PDC |
INVESCO CANADIAN DIVIDEND INDE |
597 |
13,801.29 |
13 |
PDF |
PURPOSE CORE DIVIDEND ETF AT X |
2,012 |
47,782.99 |
12 |
PDM |
PALLADIUM ONE MINING ORD SHS A |
1,100 |
100.5 |
3 |
PE |
PURE ENERGY MINERALS ORD SHS A |
769 |
84.28 |
3 |
PEA |
PIERIDAE ENERGY ORD SHS AT XTS |
447 |
147.81 |
3 |
PEH |
PRIMELINE ENERGY ORD SHS AT XT |
5,000 |
37.5 |
1 |
PEO |
PEOPLE ORD SHS AT XTSX |
2,720 |
24,587.30 |
10 |
PERK |
PERK LABS INC AT XCNQ |
602 |
42.14 |
1 |
PEY |
PEYTO EXPLORATION & DEVELOPMEN |
16,688 |
30,969.69 |
30 |
PFH.F |
INVESCO FUNDAMENTAL HIGH YIELD |
1,507 |
28,170.41 |
3 |
PFIA |
PICTON MAHONEY FORTIFIED INCOM |
238 |
2,408.76 |
4 |
PG |
PREMIER GOLD MINES ORD SHS AT |
1,490 |
3,303.83 |
14 |
PGE |
GROUP TEN METALS ORD SHS AT XT |
200 |
45.0 |
1 |
PGI.UN |
PIMCO GLOBAL INCOME OPPORTUNIT |
250 |
2,230.50 |
2 |
PGL |
INVESCO LONG TERM GOVERNMENT B |
106 |
2,886.32 |
2 |
PGM |
PURE GOLD MINING INC AT XTSX |
18,470 |
31,142.12 |
38 |
PGZ |
PAN GLOBAL RESOURCES ORD SHS A |
10,000 |
2,100.00 |
1 |
PHO |
PHOTON CONTROL ORD SHS AT XTSE |
4,070 |
7,353.69 |
52 |
PHR |
PURPOSE DURATION HEDGED REAL E |
10 |
184.1 |
1 |
PHX |
PHX ENERGY SERVICES CORP AT XT |
28 |
33.65 |
4 |
PHYS |
SPROTT PHYSICAL GOLD TRUST AT |
543 |
10,576.87 |
12 |
PHYS.U |
SPROTT PHYSICAL GOLD TRUST AT |
8 |
115.2 |
1 |
PIC.A |
PREMIUM INCOME ORD SHS CLASS A |
710 |
2,634.20 |
5 |
PIC.PR.A |
PREMIUM INCOME PREF SHS AT XTS |
200 |
2,513.00 |
2 |
PID |
PURPOSE INTERNATIONAL DIVIDEND |
543 |
10,540.57 |
6 |
PIF |
POLARIS INFRASTRUCTURE ORD SHS |
7,547 |
108,927.65 |
14 |
PILL |
CANNTAB THERAPEUTICS LTD AT XC |
340 |
286.25 |
2 |
PIPE |
PIPESTONE ENERGY ORD SHS AT XT |
679 |
335.36 |
4 |
PKG |
PARCELPAL TECHNOLOGY INC AT XC |
1,100 |
108.5 |
2 |
PKI |
PARKLAND CORP/CANADA AT XTSE |
20,837 |
698,552.33 |
100 |
PKK |
PEAK POSITIONING TECHNOLOGIES |
200 |
4.0 |
1 |
PL |
PINNACLE RENEWABLE ENERGY ORD |
1,210 |
5,382.19 |
14 |
PLAY |
BLOCPLAY ENTERTAINMENT INC AT |
600 |
30.0 |
1 |
PLC |
PARK LAWN ORD SHS AT XTSE |
3,721 |
83,624.87 |
57 |
PLTH |
PLANET 13 HOLDINGS ORD SHS AT |
4,265 |
8,839.47 |
15 |
PLTH.WT |
PLANET 13 HOLDINGS INC AT XCNQ |
5,000 |
675.0 |
1 |
PLU |
PLATEAU ENERGY METALS ORD SHS |
403 |
108.84 |
3 |
PLUS |
PLUS PRODUCTS INC AT XCNQ |
771 |
500.73 |
2 |
PLV |
INVESCO LOW VOLATILITY PORTFOL |
64 |
1,341.44 |
1 |
PLY |
PLAYFAIR MINING ORD SHS AT XTS |
1,250 |
147.5 |
2 |
PLZ.UN |
PLAZA RETAIL REIT UNITS AT XTS |
426 |
1,409.00 |
21 |
PMB.UN |
PICTON MAHONEY TACTICAL INCOME |
80 |
603.2 |
1 |
PME |
SENTRY SELECT PRIMARY METALS O |
150 |
402.0 |
2 |
PMED |
PREDICTMEDIX INC AT XCNQ |
450 |
313.5 |
2 |
PMIF |
PIMCO MONTHLY INCOME (CAN) ETF |
6,588 |
127,033.03 |
27 |
PMIF.U |
PIMCO MONTHLY INCOME US$ ETF S |
5,100 |
103,173.00 |
1 |
PMM |
PURPOSE MULTI-STRATEGY MARKET |
68 |
1,239.64 |
1 |
PMN |
PROMIS NEUROSCIENCES ORD SHS A |
375 |
80.625 |
1 |
PNG |
KRAKEN ROBOTICS ORD SHS AT XTS |
18,232 |
10,176.99 |
62 |
PONY |
PAINTED PONY ENERGY ORD SHS AT |
533 |
274.5 |
2 |
POR |
PORTOFINO RESOURCES INC AT XTS |
250 |
26.25 |
1 |
POU |
PARAMOUNT RESOURCE ORD SHS CLA |
510 |
838.0 |
4 |
POW |
POWER CORPORATION OF CANADA OR |
70,972 |
1,674,912.39 |
338 |
POW.PR.A |
POWER CORPORATION OF CANADA 5. |
1,560 |
37,833.60 |
7 |
POW.PR.B |
POWER CORPORATION OF CANADA 5. |
100 |
2,295.50 |
1 |
POW.PR.C |
POWER CORPORATION OF CANADA 5. |
7,785 |
189,388.75 |
20 |
POW.PR.D |
POWER CORPORATION OF CANADA 5. |
130 |
2,847.25 |
3 |
POW.PR.G |
POWER CORPORATION OF CANADA 5. |
25 |
598.75 |
1 |
PPL |
PEMBINA PIPELINE ORD SHS AT XT |
24,180 |
806,314.69 |
248 |
PPL.PF.A |
PEMBINA PIPELINE CUMULATIVE RE |
630 |
12,468.00 |
2 |
PPL.PR.A |
PEMBINA PIPELINE CUMULATIVE RE |
600 |
7,721.00 |
3 |
PPL.PR.E |
PEMBINA PIPELINE CUMULATIVE RE |
800 |
10,552.00 |
1 |
PPL.PR.G |
PEMBINA PIPELINE CORP AT XTSE |
50 |
657.5 |
1 |
PPL.PR.I |
PEMBINA PIPELINE CUMULATIVE RE |
900 |
13,784.00 |
2 |
PPL.PR.K |
PEMBINA PIPELINE SERIES 11 CUM |
180 |
4,265.00 |
2 |
PPL.PR.M |
PEMBINA PIPELINE SERIES 13 CUM |
300 |
7,023.00 |
2 |
PPL.PR.O |
PEMBINA PIPELINE CUMULATIVE RE |
1,200 |
14,665.00 |
5 |
PPL.PR.Q |
PEMBINA PIPELINE CUMULATIVE RE |
550 |
7,507.50 |
5 |
PPL.PR.S |
PEMBINA PIPELINE CUMULATIVE RE |
100 |
1,671.00 |
1 |
PPS |
INVESCO CANADIAN PREFERRED SHA |
65 |
785.85 |
2 |
PQE |
PETROTEQ ENERGY ORD SHS AT XTS |
1,412 |
74.605 |
3 |
PREV |
PREVECEUTICAL MEDICAL ORD SHS |
14,609 |
768.495 |
4 |
PRG |
PRECIPITATE GOLD ORD SHS AT XT |
1,356 |
364.7 |
4 |
PRMW |
PRIMO WATER ORD SHS AT XTSE |
2,292 |
42,545.23 |
22 |
PRN |
PROFOUND MEDICAL ORD SHS AT XT |
2,087 |
51,209.72 |
23 |
PRT |
PLYMOUTH ROCK TECHNOLOGIES ORD |
176 |
100.32 |
1 |
PRU |
PERSEUS MINING LTD AT XTSE |
91 |
113.75 |
1 |
PRV.UN |
PRO REAL ESTATE INVESTMENT UNI |
490 |
2,173.99 |
15 |
PRYM |
PRIME MINING CORP AT XTSX |
106,250 |
163,008.43 |
161 |
PSA |
PURPOSE HIGH INTEREST SAVINGS |
15,436 |
771,877.75 |
37 |
PSB |
INVESCO 1-5 YEAR LADDERED INVE |
163 |
2,989.65 |
4 |
PSH |
PETROSHALE VOTING ORD SHS AT X |
203 |
33.11 |
2 |
PSI |
PASON SYSTEMS ORD SHS AT XTSE |
15,200 |
115,995.50 |
42 |
PSK |
PRAIRIESKY ROYALTY ORD SHS AT |
13,040 |
111,112.64 |
101 |
PSLV |
SPROTT PHYSICAL SILVER TRUST U |
647 |
5,919.60 |
7 |
PST |
PISTOL BAY MINING ORD SHS AT X |
180 |
5.4 |
3 |
PSU.U |
PURPOSE US CASH ETF AT XTSE |
2 |
200.02 |
1 |
PTB |
INVESCO TACTICAL BOND ETF AT X |
1,974 |
39,566.26 |
9 |
PTE |
PIONEERING TECHNOLOGY CORP AT |
425 |
42.5 |
1 |
PTG |
PIVOT TECHNOLOGY SOLUTIONS ORD |
294 |
542.55 |
13 |
PTK |
POET TECHNOLOGIES ORD SHS AT X |
2,164 |
1,265.12 |
9 |
PTQ |
PROTECH HOME MEDICAL CORP AT X |
15,076 |
17,018.17 |
81 |
PTS |
POINTS INTERNATIONAL ORD SHS A |
3 |
35.25 |
1 |
PTU |
PUREPOINT URANIUM GROUP ORD SH |
500 |
20.0 |
1 |
PTX |
PLATINEX ORD SHS AT XCNQ |
2,367 |
103.895 |
5 |
PUMP |
WORLD CLASS EXTRACTIONS ORD SH |
1,596 |
47.88 |
2 |
PURX |
PURE EXTRACTION CORP AT XTSX |
250 |
85.0 |
1 |
PVG |
PRETIUM RESOURCES ORD SHS AT X |
11,715 |
130,480.84 |
70 |
PVS.PR.D |
PARTNERS VALUE SPLIT PREF SHS |
1,812 |
45,544.44 |
6 |
PVS.PR.F |
PARTNERS VALUE SPLIT SERIES 8 |
1,200 |
29,892.00 |
1 |
PVS.PR.H |
PARTNERS VALUE SPLIT SERIES 10 |
200 |
4,958.00 |
1 |
PWF.PR.E |
POWER FINANCIAL 5.50% PREF SHS |
500 |
11,875.00 |
3 |
PWF.PR.F |
POWER FINANCIAL 5.25% PREF SHS |
200 |
4,585.00 |
2 |
PWF.PR.G |
POWER FINANCIAL 5.90% PREF SHS |
234 |
5,826.94 |
3 |
PWF.PR.H |
POWER FINANCIAL 5.75% PREF SHS |
21 |
511.14 |
1 |
PWF.PR.I |
POWER FINANCIAL 6.00% PREF SHS |
303 |
7,571.91 |
3 |
PWF.PR.K |
POWER FINANCIAL 4.95% PREF SHS |
3,400 |
73,524.00 |
10 |
PWF.PR.L |
POWER FINANCIAL 5.10% PREF SHS |
546 |
12,142.72 |
4 |
PWF.PR.O |
POWER FINANCIAL 5.80% NON CUMU |
100 |
2,465.00 |
1 |
PWF.PR.R |
POWER FINANCIAL 5.50 % NON-CUM |
400 |
9,497.00 |
3 |
PWF.PR.S |
POWER FINANCIAL 4.80% FIRST NO |
200 |
4,236.00 |
1 |
PWM |
POWER METALS ORD SHS AT XTSX |
1,369 |
434.84 |
8 |
PWR |
CAPTIVA VERDE LAND CORP AT XCN |
200 |
104.0 |
2 |
PX |
PELANGIO EXPLORATION ORD SHS A |
6 |
1.245 |
2 |
PXC |
INVESCO FTSE RAFI CANADIAN FUN |
40 |
892.0 |
1 |
PXI |
PLANET VENTURES ORD SHS AT XTS |
800 |
32.0 |
1 |
PXS |
INVESCO FTSE RAFI US INDEX ETF |
400 |
10,256.00 |
1 |
PXT |
PAREX RESOURCES ORD SHS AT XTS |
123,838 |
2,094,453.57 |
104 |
PYF |
PURPOSE PREMIUM YIELD FUND ETF |
218 |
3,763.05 |
4 |
PYR |
PYROGENESIS CANADA INC AT XTSX |
87,707 |
322,183.09 |
709 |
PZA |
PIZZA PIZZA ROYALTY ORD SHS AT |
4,292 |
35,252.38 |
41 |
PZW |
INVESCO FTSE RAFI GLOBAL SMALL |
85 |
1,969.45 |
1 |
QBR.B |
QUEBECOR ORD SHS CLASS B AT XT |
7,898 |
230,821.02 |
70 |
QBTC.U |
BITCOIN FUND UNITS AT XTSE |
1,683 |
17,661.84 |
25 |
QBTL |
AGFIQ US MARKET NEUTRAL ANTI-B |
940 |
24,417.32 |
10 |
QMX |
QMX GOLD ORD SHS AT XTSX |
550 |
81.0 |
2 |
QQC.F |
INVESCO QQQ INDEX ETF AT XTSE |
830 |
71,352.03 |
12 |
QSR |
RESTAURANTS BRANDS INTERNATION |
67,268 |
5,004,680.56 |
304 |
QST |
QUESTOR TECHNOLOGY ORD SHS AT |
119 |
177.84 |
12 |
QTIP |
MACKENZIE US TIPS INDEX ETF CA |
573 |
60,574.22 |
13 |
QTRH |
QUARTERHILL ORD SHS AT XTSE |
13,006 |
26,678.99 |
57 |
QUIS |
QUISITIVE TECHNOLOGY SOLUTIONS |
26,006 |
17,180.46 |
37 |
QX |
QX METALS CORP AT XTSX |
160 |
25.6 |
2 |
QYOU |
QYOU MEDIA ORD SHS AT XTSX |
650 |
21.5 |
2 |
RAY.A |
STINGRAY GROUP ORD SHS AT XTSE |
1,016 |
5,589.03 |
15 |
RBA |
RITCHIE BROS AUCTIONEERS ORD S |
18,534 |
1,022,950.21 |
56 |
RBN.UN |
BLUE RIBBON INCOME UNITS AT XT |
586 |
3,648.26 |
3 |
RBNK |
RBC CANADIAN BANK YIELD INDEX |
130 |
2,148.78 |
4 |
RBO |
RBC 1 5 YEAR LADDERED CORPORAT |
31 |
605.74 |
1 |
RBOT |
HORIZONS ROBOTICS AND AUTOMATI |
293 |
7,198.13 |
5 |
RBX |
ROBEX RESOURCES ORD SHS AT XTS |
155 |
58.9 |
1 |
RCD |
RBC QUANT CANADIAN DIVIDEND LE |
84 |
1,503.60 |
1 |
RCE |
RBC QUANT CANADIAN EQUITY LEAD |
87 |
1,793.94 |
1 |
RCH |
RICHELIEU HARDWARE ORD SHS AT |
8,286 |
236,457.86 |
19 |
RCI.A |
ROGERS COMMUNICATIONS ORD SHS |
100 |
5,974.00 |
1 |
RCI.B |
ROGERS COMMUNICATIONS NON-VOTI |
31,340 |
1,729,427.62 |
247 |
RDS |
RADISSON MINING RESOURCES ORD |
450 |
135.0 |
2 |
RDU |
RADIUS GOLD ORD SHS AT XTSX |
1,007 |
355.415 |
4 |
REAL |
REAL MATTERS ORD SHS AT XTSE |
40,639 |
1,108,370.86 |
350 |
REAX |
REAL BROKERAGE INC/THE AT XTSX |
479 |
286.89 |
3 |
RECO |
RECONNAISSANCE ENERGY AFRICA O |
669 |
575.24 |
7 |
RECP |
RECIPE UNLIMITED ORD SHS AT XT |
7,666 |
72,062.34 |
71 |
REG |
REGULUS RESOURCES ORD SHS AT X |
2,280 |
2,009.80 |
6 |
REI.UN |
RIOCAN REAL ESTATE INVESTMENT |
33,418 |
525,423.86 |
237 |
REN |
RENAISSANCE GOLD ORD SHS AT XT |
10,433 |
5,100.50 |
4 |
REVO |
REVOLUGROUP CANADA ORD SHS AT |
1,587 |
558.07 |
6 |
REX |
OREX MINERALS INC AT XTSX |
306 |
33.66 |
1 |
RFC |
RIFCO ORD SHS AT XTSX |
2,500 |
2,205.00 |
2 |
RFP |
RESOLUTE FOREST PRODUCTS ORD S |
3,890 |
11,961.70 |
9 |
RFR |
RENFORTH RESOURCES ORD SHS AT |
188 |
6.58 |
1 |
RGC |
REDSTAR GOLD ORD SHS AT XTSX |
774 |
31.16 |
3 |
RHC |
RHC HELIUM LTD AT XTSX |
1,137 |
123.07 |
4 |
RHT |
RELIQ HEALTH TECHNOLOGIES ORD |
182 |
49.31 |
3 |
RIB.UN |
RIDGEWOOD CANADIAN INVESTMENT |
65 |
1,079.00 |
1 |
RID |
RBC QUANT EAFE DIVIDEND LEADER |
2,190 |
46,075.94 |
13 |
RIDH |
RBC QUANT EAFE DIVIDEND LEADER |
105 |
2,149.14 |
2 |
RIE |
RBC QUANT EAFE EQUITY LEADERS |
91 |
1,887.34 |
1 |
RIG |
RBC QUANT GLOBAL INFRASTRUCTUR |
600 |
10,806.00 |
2 |
RIO |
RIO2 ORD SHS AT XTSX |
1,017 |
744.71 |
7 |
RIT |
CI FIRST ASSET CANADIAN REIT E |
1,474 |
22,968.35 |
13 |
RIV |
CANOPY RIVERS INC AT XTSE |
187 |
199.87 |
8 |
RIW |
RIWI ORD SHS AT XCNQ |
75 |
202.5 |
1 |
RJX.A |
RJK EXPLORATIONS SUB VOTING OR |
5,000 |
975.0 |
1 |
RK |
ROCKHAVEN RESOURCES LTD AT XTS |
700 |
120.5 |
2 |
RKR |
ROKMASTER RESOURCES ORD SHS AT |
300 |
51.0 |
1 |
RLB |
RBC 1-5 YEAR LADDERED CANADIAN |
130 |
2,572.40 |
3 |
RLD |
RBC STRATEGIC GLOBAL DIVIDEND |
43 |
997.24 |
2 |
RLG |
WEST RED LAKE GOLD MINES INC A |
200,500 |
34,638.75 |
8 |
RLV |
RELEVIUM TECHNOLOGIES ORD SHS |
300 |
9.0 |
1 |
RME |
ROCKY MOUNTAIN DEALERSHIPS ORD |
1,100 |
4,591.00 |
9 |
RNW |
TRANSALTA RENEWABLES ORD SHS A |
21,818 |
316,009.52 |
184 |
ROE |
RENAISSANCE OIL ORD SHS AT XTS |
2,748 |
172.085 |
5 |
ROI |
ROUTE1 ORD SHS AT XTSX |
200 |
138.0 |
1 |
ROMJ |
RUBICON ORGANICS ORD SHS AT XC |
86 |
238.22 |
1 |
ROOT |
ROOTS CORP AT XTSE |
1,620 |
2,057.20 |
2 |
ROS |
ROSCAN GOLD ORD SHS AT XTSX |
2,883 |
1,299.63 |
12 |
ROXG |
ROXGOLD ORD SHS AT XTSE |
252 |
386.4 |
7 |
ROYL |
ROYAL GOLD MINING ORD SHS AT X |
600 |
273.5 |
2 |
RPD |
RBC QUANT EUROPEAN DIVIDEND LE |
400 |
7,616.00 |
1 |
RPF |
RBC CANADIAN PREFERRED SHARE E |
3,361 |
56,757.92 |
12 |
RPI.UN |
RICHARDS PACKAGING INCOME FUND |
527 |
32,786.23 |
6 |
RPS |
PURPOSE CANADIAN PREFERRED SHA |
214 |
3,448.00 |
2 |
RPSB |
RBC PH&N SHORT TERM CANADIAN B |
77 |
1,596.98 |
1 |
RPX |
RED PINE EXPLORATION ORD SHS A |
126,317 |
7,250.56 |
9 |
RQI |
RBC TARGET 2021 CORP BOND ETF |
1 |
19.8 |
1 |
RRI |
RIVERSIDE RESOURCES ORD SHS AT |
36,303 |
12,917.08 |
9 |
RSI |
ROGERS SUGAR ORD SHS AT XTSE |
2,664 |
12,491.96 |
20 |
RSLV |
REYNA SILVER CORP AT XTSX |
1,531 |
1,069.72 |
11 |
RTI |
RADIENT TECHNOLOGIES INC AT XT |
2,896 |
431.305 |
13 |
RTM |
RT MINERALS ORD SHS AT XTSX |
25 |
1.5 |
2 |
RUD |
RBC QUANT U.S. DIVIDEND LEADER |
352 |
12,863.63 |
7 |
RUDH |
RBC QUANT US DIVIDEND LEADERS |
120 |
3,218.40 |
3 |
RUE |
RBC QUANT US EQUITY LEADERS ET |
37 |
1,171.79 |
2 |
RUG |
RUGBY MINING ORD SHS AT XTSX |
20 |
1.95 |
2 |
RUP |
RUPERT RESOURCES LTD AT XTSX |
8,540 |
30,840.50 |
18 |
RUS |
RUSSEL METALS ORD SHS AT XTSE |
1,993 |
32,599.80 |
25 |
RVG |
REVIVAL GOLD INC AT XTSX |
394 |
445.67 |
8 |
RVR |
RIFT VALLEY RESOURCES ORD SHS |
500 |
22.5 |
1 |
RVV |
REVIVE THERAPEUTICS LTD AT XCN |
38,263 |
10,509.14 |
17 |
RVX |
RESVERLOGIX ORD SHS AT XTSE |
880 |
728.1 |
5 |
RWB |
RED WHITE & BLOOM BRANDS INC A |
14,134 |
13,470.16 |
13 |
RWW |
CI FIRST ASSET MSCI WORLD LOW |
22 |
619.74 |
1 |
RX |
BIOSYENT INC AT XTSX |
3,450 |
17,258.50 |
7 |
RY |
ROYAL BANK OF CANADA ORD SHS A |
82,605 |
7,615,839.69 |
853 |
RY.PR.A |
ROYAL BANK CANADA NON CUM PREF |
100 |
2,528.50 |
1 |
RY.PR.C |
ROYAL BANK CANADA NON CUM PREF |
300 |
7,585.50 |
1 |
RY.PR.F |
ROYAL BANK CANADA NON CUM PREF |
575 |
14,540.00 |
4 |
RY.PR.G |
ROYAL BANK CANADA NON CUM PREF |
200 |
5,054.00 |
1 |
RY.PR.H |
ROYAL BANK OF CANADA NON CUM 5 |
900 |
13,887.00 |
2 |
RY.PR.J |
ROYAL BANK OF CANADA NON CUMUL |
170 |
2,796.30 |
2 |
RY.PR.M |
ROYAL BANK OF CANADA NON CUMUL |
200 |
3,188.00 |
1 |
RY.PR.N |
ROYAL BANK OF CANADA NON CUMUL |
209 |
5,063.35 |
3 |
RY.PR.Q |
ROYAL BANK OF CANADA NON CUMU |
500 |
12,195.00 |
4 |
RY.PR.R |
ROYAL BANK OF CANADA NON CUMUL |
1,105 |
27,801.80 |
6 |
RY.PR.S |
ROYAL BANK OF CANADA NON CUMUL |
1,603 |
28,421.22 |
4 |
RY.PR.W |
ROYAL BANK OF CANADA AT XTSE |
367 |
8,905.00 |
5 |
RY.PR.Z |
ROYAL BANK OF CANADA NON CUMUL |
2,855 |
43,614.67 |
12 |
RYR |
ROYAL ROAD MINERALS ORD SHS AT |
2,000 |
505.0 |
2 |
RYU |
RYU APPAREL ORD SHS AT XTSX |
2,664 |
31.64 |
2 |
RZZ |
ABITIBI ROYALTIES ORD SHS AT X |
200 |
4,318.00 |
1 |
S |
SHERRITT INTERNATIONAL ORD SHS |
710 |
86.75 |
3 |
SA |
SOUTHERN ARC MINERALS ORD SHS |
293 |
115.9 |
2 |
SAFE |
3 SIXTY RISK SOLUTIONS ORD SHS |
500 |
32.5 |
1 |
SAM |
STARCORE INTERNATIONAL MINES L |
480 |
91.2 |
2 |
SAND |
SILVER SANDS RESOURCES CORP AT |
210 |
47.25 |
1 |
SAP |
SAPUTO ORD SHS AT XTSE |
10,835 |
348,449.60 |
143 |
SAU |
ST. AUGUSTINE GOLD AND COPPER |
760 |
15.2 |
1 |
SBB |
SABINA GOLD AND SILVER ORD SHS |
206 |
392.65 |
4 |
SBC |
BROMPTON SPLIT BANC CORP AT XT |
82 |
672.16 |
4 |
SBC.PR.A |
BROMPTON SPLIT BANC PREF SHS A |
2,600 |
25,971.00 |
7 |
SBM |
SIRONA BIOCHEM ORD SHS AT XTSX |
1,004 |
262.765 |
10 |
SBN |
S SPLIT CORP. CLASS A AT XTSE |
1,700 |
3,808.00 |
2 |
SBR |
SILVER BEAR RESOURCES ORD SHS |
300 |
39.0 |
1 |
SBW |
STRONGBOW EXPLORATION INC AT X |
417 |
37.53 |
1 |
SCL |
SHAWCOR LTD AT XTSE |
3,942 |
10,869.61 |
148 |
SCOT |
SCOTTIE RESOURCES ORD SHS AT X |
5,500 |
2,392.50 |
3 |
SCR |
SCORE MEDIA AND GAMING INC AT |
9,823 |
7,184.04 |
110 |
SCZ |
SANTACRUZ SILVER MINING ORD SH |
200 |
30.0 |
1 |
SDE |
SPARTAN DELTA CORP AT XTSX |
1,401 |
4,078.90 |
8 |
SEA |
SEABRIDGE GOLD ORD SHS AT XTSE |
782 |
18,523.37 |
11 |
SEB |
SMART EMPLOYEE BENEFITS ORD SH |
4,394 |
783.04 |
2 |
SES |
SECURE ENERGY SERVICES ORD SHS |
83,154 |
148,322.44 |
38 |
SFC |
SAGICOR FINANCIAL COMPANY ORD |
266 |
1,431.45 |
4 |
SFR |
SANDFIRE RESOURCES AMERICA ORD |
3 |
0.81 |
1 |
SFX |
SPHINX RESOURCES LTD AT XTSX |
25,535 |
573.375 |
4 |
SGI |
SUPERIOR GOLD ORD SHS AT XTSX |
156,991 |
152,117.63 |
65 |
SGY |
SURGE ENERGY ORD SHS AT XTSE |
2,350 |
796.135 |
12 |
SHLE |
SOURCE ENERGY SERVICES LTD AT |
11,739 |
1,345.81 |
133 |
SHOP |
SHOPIFY SUBORDINATE VOTING ORD |
14,657 |
20,380,055.20 |
894 |
SHRC |
SHARC INTERNATIONAL SYSTEMS OR |
62 |
12.4 |
1 |
SIA |
SIENNA SENIOR LIVING ORD SHS A |
4,506 |
42,279.10 |
53 |
SIC |
SOKOMAN MINERALS CORP AT XTSX |
350 |
64.5 |
2 |
SID |
CI FIRST ASSET US TRENDLEADERS |
100 |
2,506.00 |
1 |
SIE |
SIENNA RESOURCES ORD SHS AT XT |
200 |
12.0 |
1 |
SII |
SPROTT INC AT XTSE |
5,828 |
286,717.38 |
51 |
SIL |
SILVERCREST METALS ORD SHS AT |
1,675 |
20,459.08 |
22 |
SIM |
SIYATA MOBILE ORD SHS AT XTSX |
1,361 |
136.54 |
8 |
SIS |
SAVARIA ORD SHS AT XTSE |
7,554 |
92,924.84 |
64 |
SIXW |
SIXTH WAVE INNOVATIONS ORD SHS |
500 |
192.5 |
2 |
SJ |
STELLA JONES ORD SHS AT XTSE |
31,991 |
1,094,952.38 |
114 |
SJR.A |
SHAW COMMUNICATIONS ORD SHS CL |
100 |
2,385.00 |
1 |
SJR.B |
SHAW COMMUNICATIONS ORD SHS CL |
9,763 |
217,576.85 |
135 |
SJR.PR.A |
SHAW COMMUNICATIONS CUMULATIVE |
400 |
4,399.00 |
3 |
SJR.PR.B |
SHAW COMMUNICATIONS INC AT XTS |
800 |
8,456.00 |
2 |
SKE |
SKEENA RESOURCES ORD SHS AT XT |
2,118 |
4,217.19 |
20 |
SKP |
STRIKEPOINT GOLD INC AT XTSX |
497 |
47.215 |
3 |
SKRR |
SKRR EXPLORATION ORD SHS AT XT |
4,164 |
1,309.20 |
2 |
SKYG |
SKY GOLD ORD SHS AT XTSX |
3,786 |
417.67 |
12 |
SLF |
SUN LIFE FINANCIAL INC AT XTSE |
16,209 |
796,241.08 |
135 |
SLF.PR.A |
SUN LIFE FINANCIAL CLASS A NON |
500 |
11,224.50 |
5 |
SLF.PR.B |
SUN LIFE FINANCIAL PREF SHS SE |
200 |
4,584.00 |
1 |
SLF.PR.C |
SUN LIFE FINANCIAL CLASS A NON |
256 |
5,438.81 |
4 |
SLF.PR.D |
SUN LIFE FINANCIAL CLASS A NON |
235 |
5,009.05 |
3 |
SLF.PR.E |
SUN LIFE FINANCIAL CLASS A NON |
1,500 |
31,916.00 |
9 |
SLF.PR.G |
SUN LIFE FINANCIAL INC AT XTSE |
700 |
6,258.00 |
2 |
SLF.PR.I |
SUN LIFE FINANCIAL NON CUMULAT |
100 |
1,566.00 |
1 |
SLF.PR.J |
SUN LIFE FINANCIAL INC AT XTSE |
1,100 |
9,373.00 |
3 |
SLF.PR.K |
SUN LIFE FINANCIAL INC AT XTSE |
96 |
1,152.00 |
2 |
SLL |
STANDARD LITHIUM LTD AT XTSX |
135 |
142.3 |
5 |
SLNG |
SLANG WORLD ORD SHS AT XCNQ |
765 |
133.45 |
3 |
SMD |
STRATEGIC METALS ORD SHS AT XT |
12,150 |
7,522.50 |
9 |
SMF |
SEMAFO INC AT XTSE |
80,972 |
376,642.62 |
116 |
SMN |
SAN MARCO RESOURCES ORD SHS AT |
1,499 |
545.47 |
3 |
SMO |
SONORO METALS ORD SHS AT XTSX |
200 |
30.0 |
1 |
SMT |
SIERRA METALS INC AT XTSE |
1,326 |
2,279.64 |
8 |
SMU.UN |
SUMMIT INDUSTRIAL INCOME REIT |
12,305 |
140,955.64 |
36 |
SNC |
SNC LAVALIN ORD SHS AT XTSE |
6,084 |
138,934.88 |
69 |
SOI |
SIRIOS RESOURCES ORD SHS AT XT |
700 |
123.5 |
3 |
SOLG |
SOLGOLD ORD SHS AT XTSE |
410 |
149.55 |
3 |
SONA |
SONA NANOTECH INC AT XCNQ |
154,221 |
935,818.82 |
562 |
SOT.UN |
SLATE OFFICE REAL ESTATE INVES |
356 |
1,305.93 |
16 |
SOW |
ORGANIC FLOWER INVESTMENT GROU |
300 |
39.0 |
1 |
SOX |
STUART OLSON INC AT XTSE |
15 |
13.65 |
1 |
SOY |
SUNOPTA ORD SHS AT XTSE |
2,700 |
17,683.50 |
8 |
SPA |
SPANISH MOUNTAIN GOLD LTD AT X |
1,131 |
174.65 |
6 |
SPB |
SUPERIOR PLUS ORD SHS AT XTSE |
16,095 |
178,287.45 |
59 |
SPG |
SPARK POWER GROUP ORD SHS AT X |
200 |
246.0 |
1 |
SPMT |
SPEARMINT RESOURCES ORD SHS AT |
5,000 |
162.5 |
1 |
SPOR |
NEW WAVE HOLDINGS CORP AT XCNQ |
45,150 |
5,982.75 |
9 |
SPPP |
SPROTT PHYSICAL PLATINUM AND P |
50 |
932.0 |
1 |
SPR |
SPROUTLY CANADA ORD SHS AT XCN |
333 |
18.315 |
1 |
SPX |
STELLAR AFRICAGOLD ORD SHS AT |
580 |
31.9 |
1 |
SRG |
SRG MINING ORD SHS AT XTSX |
200 |
136.0 |
1 |
SRI |
SPARTON RESOURCES INC AT XTSX |
1,400 |
77.0 |
2 |
SRL |
SALAZAR RESOURCES ORD SHS AT X |
100 |
31.0 |
1 |
SRT.UN |
SLATE RETAIL REIT UNITS CLASS |
1,886 |
17,949.92 |
27 |
SRU.UN |
SMARTCENTRES RL ESTATE INVESTM |
11,933 |
255,497.95 |
96 |
SRV.UN |
SIR ROYALTY INCOME UNITS AT XT |
1,999 |
6,310.75 |
8 |
SRX |
STORM RESOURCES ORD SHS AT XTS |
114 |
168.0 |
2 |
SSL |
SANDSTORM GOLD ORD SHS AT XTSE |
1,705 |
21,858.60 |
21 |
SSRM |
SSR MINING ORD SHS AT XTSE |
15,450 |
433,523.69 |
80 |
SSV |
SOUTHERN SILVER EXPLORATION OR |
1,090 |
256.25 |
6 |
SSVR |
SUMMA SILVER CORP AT XCNQ |
255 |
336.15 |
3 |
ST |
STRAIGHTUP RESOURCES ORD SHS A |
17,000 |
4,435.00 |
3 |
STC |
SANGOMA TECHNOLOGIES ORD SHS A |
5,060 |
12,976.12 |
41 |
STE |
STARR PEAK EXPLORATION LTD AT |
4,000 |
4,140.00 |
2 |
STEP |
STEP ENERGY SERVICES ORD SHS A |
368 |
176.64 |
1 |
STGO |
STEPPE GOLD ORD SHS AT XTSE |
475 |
920.1 |
8 |
STLC |
STELCO HOLDINGS ORD SHS AT XTS |
5,176 |
40,454.04 |
21 |
STN |
STANTEC ORD SHS AT XTSE |
8,189 |
343,799.39 |
61 |
STND |
STANDARD URANIUM LTD AT XTSX |
400 |
76.0 |
1 |
STPL |
BMO GLOBAL CONSUMER STAPLES HE |
505 |
10,362.65 |
2 |
SU |
SUNCOR ENERGY ORD SHS AT XTSE |
105,211 |
2,406,416.96 |
734 |
SUGR |
SUGARBUD CRAFT GROWERS CORP AT |
458 |
16.03 |
2 |
SUN |
WILDFLOWER BRANDS ORD SHS AT X |
770 |
128.9 |
2 |
SUNM |
SUN METALS CORP AT XTSX |
280 |
50.385 |
5 |
SUP |
NORTHERN SUPERIOR RESOURCES OR |
2,000 |
760.0 |
1 |
SVA |
SERNOVA ORD SHS AT XTSX |
1,789 |
539.58 |
7 |
SVB |
SILVER BULL RESOURCES INC AT X |
20 |
2.0 |
2 |
SVE |
SILVER ONE RESOURCES ORD SHS A |
3,279 |
1,617.54 |
13 |
SVG |
SILVER GRAIL RESOURCES LTD AT |
309 |
74.16 |
2 |
SVI |
STORAGEVAULT CANADA ORD SHS AT |
16,177 |
51,752.25 |
33 |
SVM |
SILVERCORP METALS ORD SHS AT X |
2,166 |
15,137.99 |
28 |
SVR |
ISHARES SILVER BULLION ETF (CA |
7 |
66.22 |
1 |
SVR.C |
ISHARES SILVER BULLION ETF (NO |
261 |
2,552.58 |
3 |
SW |
SIERRA WIRELESS ORD SHS AT XTS |
498 |
5,930.71 |
19 |
SWA |
SARAMA RESOURCES LTD AT XTSX |
1,679 |
204.09 |
6 |
SWP |
SWISS WATER DECAFFEINATED COFF |
48 |
141.78 |
2 |
SX |
ST-GEORGES ECO-MINING CORP AT |
4,246 |
351.285 |
9 |
SXP |
SUPREMEX ORD SHS AT XTSE |
4,800 |
5,663.50 |
4 |
SYH |
SKYHARBOUR RESOURCES ORD SHS A |
543 |
91.095 |
3 |
SYZ |
SYLOGIST ORD SHS AT XTSX |
960 |
10,705.70 |
8 |
SZLS |
STAGEZERO LIFE SCIENCES LTD AT |
243,018 |
13,060.99 |
15 |
SZLS.WT |
STAGEZERO LIFE SCIENCES LTD AT |
1,710,000 |
13,350.00 |
9 |
T |
TELUS ORD SHS AT XTSE |
26,513 |
603,607.55 |
360 |
TA |
TRANSALTA ORD SHS AT XTSE |
16,091 |
133,242.34 |
76 |
TA.PR.E |
TRANSALTA CORP AT XTSE |
100 |
819.0 |
1 |
TA.PR.H |
TRANSALTA CUMULATIVE REDEEMABL |
300 |
3,970.00 |
3 |
TAAT |
TAAT LIFESTYLE & WELLNESS LTD |
8,460 |
8,807.40 |
26 |
TAL |
PETROTAL ORD SHS AT XTSX |
896 |
165.31 |
4 |
TBP |
TETRA BIO PHARMA ORD SHS AT XT |
2,275 |
468.095 |
13 |
TBR |
TIMBERLINE RESOURCES CORP AT X |
20 |
2.125 |
2 |
TBRD |
THUNDERBIRD ENTERTAINMENT GROU |
5 |
6.95 |
1 |
TBX |
TURMALINA METALS CORP AT XTSX |
3,015 |
5,021.73 |
29 |
TC |
TUCOWS ORD SHS AT XTSE |
83 |
6,265.67 |
1 |
TCAN |
TRANSCANNA HOLDINGS INC AT XCN |
43 |
39.99 |
1 |
TCL.A |
TRANSCONTINENTAL SUB VOTING OR |
15,800 |
234,237.10 |
26 |
TCN |
TRICON CAPITAL GROUP ORD SHS A |
22,500 |
208,627.39 |
41 |
TCS |
TECSYS ORD SHS AT XTSE |
300 |
7,425.00 |
2 |
TCT.UN |
TOP 10 CANADIAN FINANCIAL TRUS |
45 |
303.3 |
1 |
TCW |
TRICAN WELL SERVICE ORD SHS AT |
1,612 |
1,360.20 |
7 |
TD |
TORONTO DOMINION ORD SHS AT XT |
67,301 |
4,077,897.93 |
757 |
TD.PF.A |
TORONTO DOMINION BANK NON CUM |
760 |
11,640.60 |
7 |
TD.PF.B |
TORONTO DOMINION BANK NON CUMU |
2,200 |
33,703.00 |
19 |
TD.PF.C |
TORONTO DOMINION BANK NON CUMU |
500 |
7,820.00 |
3 |
TD.PF.D |
TORONTO DOMINION BANK NON CUMU |
1,500 |
24,920.00 |
3 |
TD.PF.E |
TORONTO DOMINION BANK NON CUMU |
100 |
1,696.00 |
1 |
TD.PF.G |
TORONTO DOMINION BANK SERIES 1 |
2,500 |
62,939.00 |
10 |
TD.PF.H |
TORONTO DOMINION BANK NON CUMU |
2,167 |
50,236.10 |
4 |
TD.PF.J |
TORONTO DOMINION BANK NON CUM |
1,063 |
19,004.37 |
8 |
TD.PF.K |
TORONTO DOMINION BANK NON CUMU |
683 |
12,046.80 |
5 |
TD.PF.L |
TORONTO DOMINION NON CUMULATIV |
820 |
17,579.00 |
4 |
TD.PF.M |
TORONTO DOMINION BANK NON CUM |
800 |
17,869.00 |
7 |
TDB |
TD CANADIAN AGGREGATE BOND IND |
245 |
3,853.13 |
4 |
TEC |
TD GLOBAL TECHNOLOGY LEADERS I |
1,496 |
31,254.63 |
25 |
TECK.A |
TECK RESOURCES ORD SHS CLASS A |
186 |
3,043.10 |
5 |
TECK.B |
TECK RESOURCES SUBORDINATE VOT |
58,142 |
815,786.01 |
249 |
TEI |
TOSCANA ENERGY INCOME CORP AT |
99 |
0.495 |
1 |
TELO |
TELO GENOMICS ORD SHS AT XTSX |
720 |
160.9 |
2 |
TEM |
TEMBO GOLD ORD SHS AT XTSX |
969 |
65.91 |
2 |
TER |
TERRASCEND ORD SHS AT XCNQ |
4,662 |
14,096.40 |
28 |
TEST |
FLUROTECH LTD AT XTSX |
700 |
49.0 |
2 |
TETH |
TETHYAN RESOURCES ORD SHS AT X |
10,500 |
2,415.00 |
2 |
TEV |
TERVITA ORD SHS AT XTSE |
235 |
892.1 |
2 |
TF |
TIMBERCREEK FINANCIAL ORD SHS |
4,481 |
38,090.64 |
45 |
TFII |
TFI INTERNATIONAL ORD SHS AT X |
62,235 |
3,068,677.59 |
131 |
TGED |
TD ACTIVE GLOBAL ENHANCED DIVI |
59 |
935.15 |
1 |
TGIF |
1933 INDUSTRIES INC AT XCNQ |
1,875 |
140.0 |
4 |
TGL |
TRANSGLOBE ENERGY ORD SHS AT X |
500 |
415.0 |
1 |
TGM |
TRILLIUM GOLD MINES INC AT XTS |
2,771 |
3,084.02 |
5 |
TGO |
TERAGO ORD SHS AT XTSE |
165 |
1,003.85 |
2 |
TGOD |
GREEN ORGANIC DUTCHMAN HOLDING |
62,668 |
22,354.07 |
68 |
TGOD.WR |
GREEN ORGANIC DUTCHMAN HOLDING |
1,500 |
142.5 |
3 |
TGOD.WT |
GREEN ORGANIC DUTCHMAN HOLDING |
600 |
24.0 |
1 |
TGZ |
TERANGA GOLD CORP AT XTSE |
2,060 |
25,199.61 |
19 |
TH |
THERATECHNOLOGIES ORD SHS AT X |
87 |
230.19 |
3 |
TIG |
TRIUMPH GOLD ORD SHS AT XTSX |
621 |
155.25 |
7 |
TIH |
TOROMONT INDUSTRIES ORD SHS AT |
7,536 |
503,612.94 |
105 |
TILT |
TILT HOLDINGS INC AT XCNQ |
10,325 |
5,277.75 |
3 |
TK |
TINKA RESOURCES ORD SHS AT XTS |
5 |
0.95 |
1 |
TKO |
TASEKO MINES ORD SHS AT XTSE |
441 |
295.47 |
1 |
TLG |
TROILUS GOLD CORP AT XTSE |
48,084 |
50,755.88 |
25 |
TLT |
THERALASE TECHNOLOGIES ORD SHS |
260 |
61.4 |
2 |
TLV |
INVESCO S&P/TSX COMPOSITE LOW |
656 |
16,699.05 |
10 |
TMD |
TITAN MEDICAL INC AT XTSE |
5,693 |
6,695.43 |
28 |
TMED |
EGF THERAMED HEALTH CORP AT XC |
200 |
95.0 |
1 |
TML |
TREASURY METALS INC AT XTSE |
6,127 |
3,402.08 |
14 |
TMQ |
TRILOGY METALS ORD SHS AT XTSE |
538 |
1,478.08 |
7 |
TMR |
TMAC RESOURCES ORD SHS AT XTSE |
5,434 |
8,396.94 |
12 |
TNT.UN |
TRUE NORTH COMMERCIAL REAL EST |
1,662 |
9,369.93 |
34 |
TNX |
TANZANIAN GOLD CORP AT XTSE |
530 |
663.6 |
3 |
TNY |
TINLEY BEVERAGE ORD SHS AT XCN |
11,127 |
5,437.69 |
6 |
TO |
TOWER ONE WIRELESS ORD SHS AT |
733 |
29.32 |
1 |
TOE |
TRI ORIGIN ORD SHS AT XTSX |
670 |
40.2 |
1 |
TOG |
TORC OIL AND GAS ORD SHS AT XT |
435 |
772.6 |
9 |
TORQ |
TORQ RESOURCES ORD SHS AT XTSX |
400 |
268.0 |
1 |
TORR |
TORRENT CAPITAL ORD SHS AT XTS |
11,240 |
7,269.80 |
9 |
TOT |
TOTAL ENERGY SERVICES ORD SHS |
2,229 |
4,849.54 |
16 |
TOU |
TOURMALINE OIL ORD SHS AT XTSE |
20,309 |
252,167.99 |
76 |
TOY |
SPIN MASTER SUBORDINATE VOTING |
18,295 |
455,132.85 |
126 |
TPE |
TD INTERNATIONAL EQUITY INDEX |
80 |
1,368.95 |
2 |
TPU |
TD U.S. EQUITY INDEX ETF AT XT |
1,217 |
29,603.44 |
5 |
TPX.B |
MOLSON COORS CANADA ORD SHS CL |
693 |
33,839.10 |
7 |
TQCD |
TD Q CANADIAN DIVIDEND ETF AT |
95 |
1,085.85 |
1 |
TR |
TROUBADOUR RESOURCES ORD SHS A |
10 |
0.4 |
1 |
TRCE |
TERRACE GLOBAL INC AT XTSX |
21,000 |
3,255.00 |
3 |
TRI |
THOMSON REUTERS ORD SHS AT XTS |
16,836 |
1,544,528.82 |
177 |
TRI.PR.B |
THOMSON REUTERS CORP PREF SHS |
300 |
3,003.00 |
1 |
TRIL |
TRILLIUM THERAPEUTICS ORD SHS |
2,969 |
31,767.74 |
53 |
TRIP |
RED LIGHT HOLLAND CORP AT XCNQ |
19,450 |
1,703.00 |
3 |
TRL |
TRILOGY INTERNATIONAL PARTNERS |
92 |
109.6 |
6 |
TRP |
TC ENERGY ORD SHS AT XTSE |
19,118 |
1,110,671.34 |
265 |
TRP.PR.A |
TC ENERGY CUMULATIVE REDEEMABL |
700 |
7,963.00 |
3 |
TRP.PR.B |
TC ENERGY CUMULATIVE REDEEMABL |
1,700 |
13,219.00 |
5 |
TRP.PR.C |
TC ENERGY CUMULATIVE REDEEMABL |
200 |
1,714.00 |
2 |
TRP.PR.D |
TC ENERGY CUMULATIVE REDEEMABL |
510 |
6,543.90 |
5 |
TRP.PR.E |
TC ENERGY CUMULATIVE REDEEMABL |
1,210 |
15,435.50 |
6 |
TRP.PR.G |
TC ENERGY CUMULATIVE REDEEMABL |
2,511 |
35,806.95 |
9 |
TRP.PR.H |
TC ENERGY CORP AT XTSE |
50 |
365.0 |
1 |
TRP.PR.J |
TC ENERGY CUMULATIVE REDEEMABL |
1,450 |
36,026.50 |
5 |
TRP.PR.K |
TC ENERGY CUMULATIVE REDEEMABL |
7,344 |
172,357.88 |
11 |
TRQ |
TURQUOISE HILL RESOURCES LTD A |
115,433 |
119,222.87 |
153 |
TRUL |
TRULIEVE CANNABIS CORP AT XCNQ |
5,550 |
97,790.00 |
19 |
TRZ |
TRANSAT A T VOTING AND VARIABL |
2,595 |
14,594.58 |
67 |
TS.B |
TORSTAR ORD SHS CLASS B AT XTS |
210 |
132.3 |
2 |
TSF |
TRACESAFE INC AT XCNQ |
23,150 |
27,835.50 |
29 |
TSK |
TALISKER RESOURCES ORD SHS AT |
2,000 |
956.25 |
3 |
TSL |
TREE ISLAND STEEL ORD SHS AT X |
10 |
20.3 |
1 |
TSU |
TRISURA GROUP ORD SHS AT XTSE |
3,830 |
258,085.21 |
33 |
TTD |
TINKERINE STUDIOS LTD AT XTSX |
500 |
40.0 |
1 |
TTP |
TD CANADIAN EQUITY INDEX ETF A |
43 |
751.64 |
2 |
TUD |
TUDOR GOLD CORP AT XTSX |
10,720 |
26,476.15 |
34 |
TUF |
HONEY BADGER EXPLORATION ORD S |
600 |
15.0 |
1 |
TUO |
TEUTON RESOURCES CORP AT XTSX |
24,765 |
80,330.40 |
44 |
TUSK |
BLACK TUSK RESOURCES ORD SHS A |
2,625 |
207.5 |
6 |
TVA.B |
TVA GROUP ORD SHS CLASS B AT X |
2,800 |
4,056.00 |
3 |
TVE |
TAMARACK VALLEY ENERGY LTD AT |
300 |
270.0 |
1 |
TVI |
TVI PACIFIC ORD SHS AT XTSX |
621 |
9.315 |
1 |
TVK |
TERRAVEST INDUSTRIES ORD SHS A |
666 |
10,198.40 |
6 |
TWC |
TWC ENTERPRISES ORD SHS AT XTS |
10 |
108.8 |
1 |
TWM |
TIDEWATER MIDSTREAM AND INFRAS |
3,759 |
3,187.20 |
13 |
TWM.DB |
TIDEWATER MIDSTREAM AND INFRAS |
18,000 |
14,848.20 |
1 |
TXF |
CI FIRST ASSET TECH GIANTS COV |
638 |
10,939.58 |
5 |
TXF.B |
CI FIRST ASSET TECH GIANTS COV |
200 |
3,950.00 |
1 |
TXG |
TOREX GOLD RESOURCES ORD SHS A |
465 |
9,861.80 |
5 |
TXP |
TOUCHSTONE EXPLORATION ORD SHS |
3,647 |
3,258.59 |
18 |
TZS |
TREZ CAPITAL SENIOR MORTGAGE I |
284 |
655.52 |
4 |
U |
URANIUM PARTICIPATION ORD SHS |
18,924 |
92,628.45 |
125 |
UEX |
UEX ORD SHS AT XTSE |
1,379 |
197.355 |
6 |
UFS |
DOMTAR ORD SHS AT XTSE |
715 |
19,902.20 |
10 |
UGD |
UNIGOLD ORD SHS AT XTSX |
2,296 |
1,084.87 |
10 |
UGE |
UGE INTERNATIONAL ORD SHS AT X |
19,790 |
9,472.79 |
14 |
ULV.F |
INVESCO S&P 500 LOW VOLATILITY |
587 |
21,956.34 |
4 |
UNC |
UNITED CORPORATIONS LTD AT XTS |
200 |
18,670.00 |
2 |
UNI |
UNISYNC ORD SHS AT XTSE |
100 |
230.0 |
1 |
UNS |
UNI SELECT ORD SHS AT XTSE |
21,688 |
192,004.07 |
158 |
UR |
URTHECAST CORP AT XTSE |
400 |
36.0 |
1 |
URB.A |
URBANA ORD SHS CLASS A AT XTSE |
6 |
13.68 |
1 |
URC |
URANIUM ROYALTY CORP AT XTSX |
165 |
170.77 |
4 |
URE |
UR ENERGY ORD SHS AT XTSE |
259 |
183.89 |
1 |
USA |
AMERICAS GOLD AND SILVER ORD S |
3,784 |
12,971.40 |
26 |
USB |
INVESCO LADDERRITE US 0-5 YEAR |
182 |
4,361.72 |
2 |
USB.U |
INVESCO LADDERRITE US 0-5 YEAR |
30 |
541.5 |
1 |
USGD |
AMERICAN PACIFIC MINING ORD SH |
265 |
109.975 |
1 |
UWE.H |
U3O8 CORP AT XTSX |
1,307 |
104.44 |
3 |
VA |
VANGUARD FTSE DEVELOPED ASIA P |
73 |
2,394.40 |
1 |
VAB |
VANGUARD CANADIAN AGGREGATE BO |
2,516 |
68,988.02 |
59 |
VAH |
VANGUARD FTSE DEVELOPED ASIA P |
78 |
2,180.18 |
2 |
VB |
VERSABANK ORD SHS AT XTSE |
27 |
171.99 |
1 |
VBAL |
VANGUARD BALANCED ETF PORTFOLI |
1,815 |
47,964.87 |
35 |
VBG |
VANGUARD GLOBAL EX-U.S. AGGREG |
2,153 |
59,628.92 |
14 |
VBU |
VANGUARD US AGGREGATE BOND IND |
4,462 |
119,612.27 |
21 |
VCAN |
VENTURA CANNABIS & WELLNESS CO |
855 |
69.055 |
2 |
VCB |
VANGUARD CANADIAN CORPORATE BO |
500 |
13,175.00 |
1 |
VCE |
VANGUARD FTSE CANADA INDEX ETF |
467 |
15,649.45 |
14 |
VCIP |
VANGUARD CONSERVATIVE INCOME E |
588 |
16,062.06 |
6 |
VCM |
VECIMA NETWORKS ORD SHS AT XTS |
400 |
4,124.00 |
4 |
VCN |
VANGUARD FTSE CANADA ALL CAP I |
2,889 |
90,445.51 |
71 |
VCNS |
VANGUARD CONSERVATIVE ETF PORT |
985 |
26,356.98 |
15 |
VDU |
VANGUARD FTSE DEVELOPED ALL CA |
2,533 |
84,778.82 |
19 |
VDY |
VANGUARD FTSE CANADIAN HIGH DI |
1,109 |
32,173.26 |
24 |
VE |
VANGUARD FTSE DEVELOPED EUROPE |
659 |
17,804.17 |
7 |
VEE |
VANGUARD FTSE EMERGING MARKETS |
2,086 |
70,550.46 |
37 |
VEF |
VANGUARD FTSE DEVELOPED ALL CA |
829 |
31,541.65 |
12 |
VEH |
VANGUARD FTSE DEVELOPED EUROPE |
1,600 |
43,541.00 |
3 |
VEQT |
VANGUARD ALL-EQUITY ETF PORTFO |
2,041 |
56,172.25 |
24 |
VERY |
VERY GOOD FOOD CO INC/THE AT X |
657 |
708.83 |
13 |
VET |
VERMILION ENERGY ORD SHS AT XT |
13,416 |
81,587.35 |
199 |
VFF |
VILLAGE FARMS INTERNATIONAL OR |
3,881 |
25,162.53 |
88 |
VFV |
VANGUARD S&P 500 INDEX ETF AT |
12,026 |
903,463.26 |
104 |
VG |
VOLCANIC GOLD MINES ORD SHS AT |
636 |
373.02 |
2 |
VGCX |
VICTORIA GOLD ORD SHS AT XTSE |
18,280 |
253,839.44 |
61 |
VGG |
VANGUARD US DIVIDEND APPRECIAT |
2,541 |
138,056.39 |
19 |
VGH |
VANGUARD US DIVIDEND APPRECIAT |
1,283 |
50,943.89 |
12 |
VGLD |
VANGOLD MINING CORP AT XTSX |
981 |
121.375 |
3 |
VGRO |
VANGUARD GROWTH ETF PORTFOLIO |
2,324 |
60,604.85 |
56 |
VGZ |
VISTA GOLD ORD SHS AT XTSE |
4,165 |
5,231.95 |
4 |
VI |
VANGUARD FTSE DVLP AC EX N AM |
462 |
12,437.90 |
5 |
VII |
SEVEN GENERATIONS ENERGY ORD S |
6,921 |
24,747.81 |
40 |
VIO |
SOCIETE DEXPLORATION MINIERE V |
115 |
14.375 |
1 |
VIS |
VISIONSTATE ORD SHS AT XTSX |
500 |
22.5 |
1 |
VISN |
BINOVI TECHNOLOGIES CORP AT XT |
462 |
112.26 |
2 |
VIU |
VANGUARD FTSE DEVELOPED ALL CA |
1,121 |
30,182.42 |
15 |
VIV |
AVIVAGEN ORD SHS AT XTSX |
39 |
18.135 |
1 |
VIVO |
VIVO CANNABIS ORD SHS AT XTSE |
1,402 |
325.345 |
15 |
VLB |
VANGUARD CANADIAN LONG-TERM BO |
37 |
1,124.74 |
2 |
VLE |
VALEURA ENERGY ORD SHS AT XTSE |
538 |
167.42 |
10 |
VLN |
VELAN SUB VOTING ORD SHS AT XT |
70 |
416.5 |
1 |
VLNS |
VALENS CO INC/THE AT XTSE |
1,547 |
3,725.17 |
16 |
VLQ |
VANGUARD GLOBAL LIQUIDITY FACT |
125 |
3,923.20 |
2 |
VMD |
VIEMED HEALTHCARE ORD SHS AT X |
24,264 |
319,236.38 |
133 |
VMO |
VANGUARD GLOBAL MOMENTUM FACTO |
1,022 |
36,539.32 |
9 |
VNP |
5N PLUS ORD SHS AT XTSE |
1,400 |
2,350.00 |
3 |
VO |
VALORE METALS CORP AT XTSX |
7,308 |
2,369.72 |
7 |
VPH |
VALEO PHARMA ORD SHS CLASS A A |
700 |
609.0 |
2 |
VRB |
VANADIUMCORP RESOURCES ORD SHS |
538 |
34.97 |
1 |
VRE |
VANGUARD FTSE CANADIAN CAPPED |
1,819 |
48,566.53 |
33 |
VREO |
VIREO HEALTH INTERNATIONAL ORD |
313 |
276.16 |
2 |
VRR |
VR RESOURCES ORD SHS AT XTSX |
55 |
20.45 |
2 |
VSB |
VANGUARD CANADIAN SHORT-TERM B |
12,283 |
300,155.13 |
29 |
VSC |
VANGUARD CANADIAN SHORT-TERM C |
128 |
3,181.22 |
6 |
VSP |
VANGUARD S&P 500 INDEX ETF CAD |
810 |
42,841.54 |
30 |
VSR |
VANSTAR MINING RESOURCES ORD S |
292 |
433.22 |
6 |
VTT |
VENDETTA MINING ORD SHS AT XTS |
60 |
3.6 |
1 |
VUN |
VANGUARD US TOTAL MARKET INDEX |
1,519 |
88,531.14 |
26 |
VUS |
VANGUARD US TOTAL MARKET INDEX |
2,086 |
121,527.85 |
20 |
VVL |
VANGUARD GLOBAL VALUE FACTOR E |
757 |
19,896.10 |
8 |
VVO |
VANGUARD GLOBAL MINIMUM VOLATI |
1,831 |
54,456.36 |
8 |
VXC |
VANGUARD FTSE GLOBAL ALL CAP E |
371 |
14,580.07 |
13 |
VXL |
VAXIL BIO LTD AT XTSX |
200 |
17.0 |
1 |
VYGR |
VOYAGER DIGITAL CANADA ORD SHS |
750 |
368.5 |
3 |
VZLA |
VIZSLA RESOURCES CORP AT XTSX |
946 |
867.3 |
7 |
VZZ |
VAL-DOR MINING CORP AT XTSX |
1,000 |
155.0 |
1 |
W.PR.M |
WESTCOAST ENERGY CUMULATIVE FI |
400 |
9,752.00 |
3 |
WBIO |
WPD PHARMACEUTICALS INC AT XCN |
99 |
40.59 |
1 |
WBR |
WATERLOO BREWING ORD SHS AT XT |
15 |
46.8 |
1 |
WCC |
CONSOLIDATED WOODJAM COPPER CO |
977 |
68.39 |
2 |
WCN |
WASTE CONNECTIONS ORD SHS AT X |
5,295 |
663,681.47 |
100 |
WCP |
WHITECAP RESOURCES ORD SHS AT |
38,701 |
88,935.12 |
79 |
WDO |
WESDOME GOLD MINES ORD SHS AT |
8,558 |
97,416.46 |
51 |
WED |
WESTAIM ORD SHS AT XTSX |
200 |
406.0 |
1 |
WEED |
CANOPY GROWTH ORD SHS AT XTSE |
17,463 |
386,464.13 |
148 |
WEF |
WESTERN FOREST PRODUCTS ORD SH |
48,716 |
44,089.25 |
48 |
WELL |
WELL HEALTH TECHNOLOGIES ORD S |
2,940 |
8,559.87 |
126 |
WFC |
WALL FINANCIAL ORD SHS AT XTSE |
2 |
41.46 |
1 |
WFT |
WEST FRASER TIMBER ORD SHS AT |
12,857 |
626,848.63 |
69 |
WGO |
WHITE GOLD CORP AT XTSX |
841 |
995.74 |
18 |
WHN |
WESTHAVEN VENTURES INC AT XTSX |
1,536 |
1,528.31 |
9 |
WHY |
WEST HIGH YIELD WHY RESOURCES |
13,000 |
1,605.00 |
2 |
WIFI |
AMERICAN AIRES ORD SHS AT XCNQ |
210 |
59.85 |
1 |
WIL |
WILTON RESOURCES ORD SHS AT XT |
1,000 |
415.0 |
1 |
WILD |
WILDBRAIN ORD SHS AT XTSE |
601 |
763.62 |
14 |
WIR.U |
WPT INDUSTRIAL REAL ESTATE INV |
3,306 |
43,360.22 |
29 |
WIR.UN |
WPT INDUSTRIAL REAL ESTATE INV |
3,500 |
62,254.45 |
21 |
WJX |
WAJAX ORD SHS AT XTSE |
1,801 |
15,749.48 |
15 |
WKG |
WESTKAM GOLD CORP AT XTSX |
10 |
1.1 |
2 |
WLLW |
WILLOW BIOSCIENCES ORD SHS AT |
809 |
428.14 |
6 |
WM |
WALLBRIDGE MINING CO LTD AT XT |
24,010 |
25,795.57 |
31 |
WMD |
WEEDMD ORD SHS AT XTSX |
2,076 |
991.32 |
27 |
WMG |
WESTERN MAGNESIUM ORD SHS AT X |
490 |
56.35 |
1 |
WML |
WEALTH MINERALS LTD AT XTSX |
844 |
71.74 |
1 |
WN |
GEORGE WESTON ORD SHS AT XTSE |
6,129 |
607,655.99 |
72 |
WN.PR.A |
GEORGE WESTON PREF SHS AT XTSE |
830 |
21,011.50 |
5 |
WN.PR.C |
GEORGE WESTON PREF SHS SERIES |
40 |
963.2 |
1 |
WN.PR.D |
GEORGE WESTON 5.20% PREF SHS S |
129 |
3,100.61 |
2 |
WN.PR.E |
GEORGE WESTON 4.75% PREF SHS S |
285 |
6,485.75 |
3 |
WPK |
WINPAK ORD SHS AT XTSE |
3,237 |
130,538.17 |
28 |
WPM |
WHEATON PRECIOUS METALS ORD SH |
30,379 |
1,781,973.05 |
185 |
WPRT |
WESTPORT FUEL SYSTEMS ORD SHS |
197 |
331.08 |
11 |
WRN |
WESTERN COPPER & GOLD CORP AT |
1,513 |
2,043.73 |
3 |
WRR |
WALKER RIVER RESOURCES ORD SHS |
200 |
20.0 |
1 |
WRX |
WESTERN RESOURCES ORD SHS AT X |
138 |
26.22 |
1 |
WSP |
WSP GLOBAL ORD SHS AT XTSE |
9,812 |
811,928.70 |
110 |
WSRI |
WEALTHSIMPLE NORTH AMERICA SOC |
93 |
2,340.38 |
4 |
WTE |
WESTSHORE TERMINALS INVESTMENT |
25,866 |
452,052.98 |
121 |
WTER |
ALKALINE WATER CO INC/THE AT X |
70 |
155.4 |
1 |
WUC |
WESTERN URANIUM VANADIUM ORD S |
7,500 |
3,340.00 |
3 |
WXM |
CI FIRST ASSET MORNINGSTAR CAN |
107 |
2,065.30 |
3 |
X |
TMX GROUP ORD SHS AT XTSE |
2,577 |
340,291.98 |
48 |
XAU |
GOLDMONEY ORD SHS AT XTSE |
1,200 |
2,757.48 |
35 |
XAW |
ISHARES CORE MSCI AC WORLD EX |
2,909 |
78,812.81 |
39 |
XBAL |
ISHARES CORE BALANCED ETF AT X |
1,342 |
31,692.34 |
19 |
XBB |
ISHARES CORE CANADIAN UNIVERSE |
2,950 |
99,050.38 |
47 |
XBC |
XEBEC ADSORPTION ORD SHS AT XT |
18,657 |
81,315.31 |
117 |
XBC.WT |
XEBEC ADSORPTION WARRANTS EXP |
2,700 |
6,527.00 |
5 |
XBLK |
EXEBLOCK TECHNOLOGY ORD SHS AT |
900 |
54.0 |
1 |
XBM |
ISHARES S&P/TSX GLOBAL BASE ME |
48 |
463.2 |
1 |
XCB |
ISHARES CANADIAN CORPORATE BON |
3,276 |
73,540.07 |
22 |
XCG |
ISHARES CANADIAN GROWTH INDEX |
9 |
335.52 |
1 |
XCH |
ISHARES CHINA INDEX ETF AT XTS |
1,930 |
52,655.10 |
11 |
XCNS |
ISHARES CORE CONSERVATIVE BALA |
140 |
2,940.00 |
3 |
XCS |
ISHARES S&P/TSX SMALL CAP INDE |
19 |
247.4 |
2 |
XCX |
AMP GERMAN CANNABIS GROUP INC |
11,500 |
4,485.00 |
1 |
XDG |
ISHARES CORE MSCI GLOBAL QUALI |
1,190 |
23,336.44 |
4 |
XDGH |
ISHARES CORE MSCI GLOBAL QUALI |
1,800 |
35,175.00 |
4 |
XDIV |
ISHARES CORE MSCI CANADIAN QUA |
17,093 |
301,692.81 |
15 |
XDU |
ISHARES CORE MSCI US QUALITY D |
768 |
16,406.27 |
5 |
XDV |
ISHARES CANADIAN SELECT DIVIDE |
887 |
18,557.69 |
23 |
XEB |
ISHARES JP MORGAN USD EM MKTS |
2,713 |
53,953.58 |
9 |
XEC |
ISHARES CORE MSCI EMERGING MAR |
2,602 |
67,653.83 |
42 |
XEF |
ISHARES CORE MSCI EAFE IMI IND |
5,346 |
156,221.75 |
76 |
XEG |
ISHARES S&P/TSX CAPPED ENERGY |
430 |
2,145.25 |
12 |
XEH |
ISHARES MSCI EUROPE IMI INDEX |
1,000 |
23,243.00 |
5 |
XEI |
ISHARES S&P TSX COMPOSITE HIGH |
1,050 |
17,993.54 |
22 |
XEM |
ISHARES MSCI EMERGING MARKETS |
218 |
6,831.56 |
6 |
XEN |
ISHARES JANTZI SOCIAL INDEX ET |
40 |
891.6 |
1 |
XEQT |
ISHARES CORE EQUITY ETF PORTFO |
373 |
7,701.27 |
5 |
XESG |
ISHARES ESG AWARE MSCI CANADA |
68 |
1,284.49 |
2 |
XEU |
ISHARES MSCI EUROPE IMI INDEX |
1,431 |
32,313.48 |
5 |
XFA |
ISHARES MSCI MULTIFACTOR USA I |
200 |
5,222.00 |
1 |
XFF |
ISHARES MSCI MULTIFACTOR EAFE |
300 |
6,591.00 |
1 |
XFH |
ISHARES CORE MSCI EAFE IMI IND |
1,489 |
32,016.28 |
12 |
XFN |
ISHARES S&P/TSX CAPPED FINANCI |
11,149 |
361,721.83 |
22 |
XFR |
ISHARES FLOATING RATE INDEX ET |
281 |
5,647.33 |
8 |
XGB |
ISHARES CANADIAN GOVERNMENT BO |
635 |
14,955.77 |
13 |
XGD |
ISHARES S&P/TSX GLOBAL GOLD IN |
13,226 |
281,211.17 |
61 |
XGGB |
ISHARES GLOBAL GOVERNMENT BOND |
596 |
12,997.80 |
4 |
XGI |
ISHARES S&P GLOBAL INDUSTRIALS |
300 |
8,871.00 |
1 |
XGRO |
ISHARES CORE GROWTH ETF AT XTS |
1,710 |
35,882.57 |
31 |
XHB |
ISHARES CANADIAN HYBRID CORPOR |
108 |
2,261.72 |
3 |
XHC |
ISHARES GLOBAL HEALTHCARE INDE |
466 |
25,301.12 |
10 |
XHD |
ISHARES US HIGH DIV EQ IDX ETF |
515 |
13,006.50 |
6 |
XHU |
ISHARES US HIGH DIVIDEND EQUIT |
200 |
4,588.00 |
1 |
XHY |
ISHARES US HIGH YIELD BD IDX E |
1,595 |
28,411.63 |
11 |
XIC |
ISHARES CORE S&P/TSX CAPPED CO |
12,787 |
316,404.52 |
78 |
XID |
ISHARES INDIA INDEX ETF AT XTS |
99 |
3,291.97 |
2 |
XIG |
ISHARES US IG CORPORATE BD IDX |
2,065 |
52,790.84 |
8 |
XIM |
XIMEN MINING ORD SHS AT XTSX |
650 |
339.5 |
3 |
XIN |
ISHARES MSCI EAFE INDEX ETF (C |
1,102 |
26,783.38 |
19 |
XIT |
ISHARES S&P/TSX CAPPED INFORMA |
3,003 |
121,897.05 |
45 |
XIU |
ISHARES S&P/TSX 60 INDEX ETF A |
671,363 |
15,881,570.84 |
1223 |
XLB |
ISHARES CORE CANADIAN LONG TER |
2,818 |
78,377.28 |
16 |
XLY |
AUXLY CANNABIS GROUP ORD SHS A |
4,288 |
1,232.38 |
30 |
XMA |
ISHARES S&P/TSX CAPPED MATERIA |
99 |
1,654.29 |
1 |
XMC |
ISHARES S&P US MID-CAP INDEX E |
1,257 |
23,123.30 |
5 |
XMD |
ISHARES S&P/TSX COMPLETION IND |
134 |
3,142.46 |
4 |
XMH |
ISHARES S&P U.S. MID-CAP INDEX |
600 |
9,929.00 |
2 |
XMI |
ISHARES MSCI MIN VOL EAFE INDE |
108 |
3,715.86 |
2 |
XML |
ISHARES MSCI MIN VOL EAFE INDE |
1,302 |
28,014.69 |
4 |
XMM |
ISHARES MSCI MIN VOL EMERGING |
1,145 |
29,971.50 |
5 |
XMS |
ISHARES MSCI MIN VOL USA INDEX |
177 |
4,680.12 |
3 |
XMU |
ISHARES MSCI MIN VOL USA INDEX |
1,100 |
61,769.50 |
9 |
XMV |
ISHARES MSCI MIN VOL CANADA IN |
67 |
1,881.43 |
2 |
XMW |
ISHARES MSCI MIN VOL GLOBAL IN |
359 |
15,329.07 |
3 |
XMY |
ISHARES MSCI MIN VOL GLOBAL IN |
200 |
4,746.00 |
2 |
XPF |
ISHARES S&P/TSX NTHAM PREF STK |
403 |
6,104.44 |
4 |
XPHY |
XPHYTO THERAPEUTICS ORD SHS AT |
150 |
437.06 |
5 |
XQB |
ISHARES HIGH QUALITY CANADIAN |
2,057 |
45,538.69 |
14 |
XQQ |
ISHARES NASDAQ 100 INDEX ETF ( |
1,429 |
116,874.02 |
40 |
XRB |
ISHARES CANADIAN REAL RETURN B |
359 |
9,436.87 |
13 |
XRE |
ISHARES S&P/TSX CAPPED REIT IN |
1,118 |
16,930.17 |
21 |
XRO |
EXRO TECHNOLOGIES INC AT XCNQ |
2,602 |
2,217.30 |
12 |
XSAB |
ISHARES ESG CANADIAN AGGREGATE |
200 |
4,298.00 |
1 |
XSB |
ISHARES CORE CANADIAN SHORT TE |
8,923 |
251,725.22 |
37 |
XSC |
ISHARES CONSERVATIVE SHORT TER |
911 |
17,911.01 |
4 |
XSE |
ISHARES CONSERVATIVE STRATEGIC |
114 |
2,438.54 |
3 |
XSEM |
ISHARES ESG AWARE MSCI EMERGIN |
106 |
2,077.92 |
3 |
XSH |
ISHARES CORE CANADIAN SHORT TE |
830 |
16,329.17 |
12 |
XSI |
ISHARES SHORT TERM STRATEGIC F |
5 |
92.8 |
1 |
XSP |
ISHARES CORE S&P 500 INDEX ETF |
6,800 |
230,566.06 |
84 |
XSQ |
ISHARES SHORT TERM HIGH QUALIT |
63 |
1,261.26 |
3 |
XSU |
ISHARES US SMALL CAP INDEX ETF |
103 |
2,980.72 |
6 |
XTC |
EXCO TECHNOLOGIES ORD SHS AT X |
750 |
5,091.00 |
5 |
XTR |
ISHARES DIVERSIFIED MONTHLY IN |
6,298 |
64,432.04 |
8 |
XTRX |
ADASTRA LABS HOLDINGS ORD SHS |
475 |
313.25 |
2 |
XUH |
ISHARES CORE S&P US TOTAL MARK |
1,617 |
44,158.18 |
8 |
XUS |
ISHARES CORE S&P 500 INDEX ETF |
1,207 |
63,450.92 |
28 |
XUT |
ISHARES S&P/TSX CAPPED UTILITI |
470 |
12,140.20 |
6 |
XUU |
ISHARES CORE S&P US TOTAL MARK |
4,239 |
134,967.30 |
34 |
XWD |
ISHARES MSCI WORLD INDEX ETF A |
286 |
15,571.94 |
6 |
Y |
YELLOW PAGES LTD/CANADA AT XTS |
301 |
2,714.30 |
3 |
YAK |
MONGOLIA GROWTH GROUP REIT AT |
1,000 |
210.0 |
1 |
YCM |
COMMERCE SPLIT CORP AT XTSE |
82 |
82.0 |
1 |
YFI |
EDGEWATER WIRELESS SYSTEMS ORD |
49 |
1.715 |
1 |
YGR |
YANGARRA RESOURCES ORD SHS AT |
416 |
272.6 |
3 |
YGT |
GOLD TERRA RESOURCE CORP AT XT |
417 |
137.61 |
1 |
YNV |
YNVISIBLE INTERACTIVE ORD SHS |
500 |
160.0 |
1 |
YRB |
YORBEAU RESOURCES ORD SHS CLAS |
500 |
27.5 |
1 |
YRI |
YAMANA GOLD INC AT XTSE |
40,557 |
293,094.45 |
140 |
YXM.B |
CI FIRST ASSET MORNINGSTAR USM |
49 |
953.05 |
1 |
ZAG |
BMO AGGREGATE BOND INDEX ETF A |
14,580 |
244,441.94 |
86 |
ZAIR |
ZINC8 ENERGY SOLUTIONS ORD SHS |
705 |
137.31 |
2 |
ZBK |
BMO EQUAL WEIGHT U.S. BANKS IN |
6 |
118.56 |
1 |
ZC |
ZIMTU CAPITAL CORP AT XTSX |
5 |
0.75 |
1 |
ZCH |
BMO CHINA EQUITY INDEX ETF AT |
1,794 |
51,945.62 |
9 |
ZCM |
BMO MID CORPORATE BOND INDEX E |
256 |
4,403.70 |
5 |
ZCN |
BMO S&P/TSX CAPPED COMPOSITE I |
586 |
12,296.60 |
18 |
ZCON |
BMO CONSERVATIVE ETF AT XTSE |
300 |
9,754.00 |
2 |
ZCS |
BMO SHORT CORPORATE BOND INDEX |
272 |
3,927.10 |
7 |
ZDB |
BMO DISCOUNT BOND INDEX ETF AT |
450 |
7,847.62 |
14 |
ZDH |
BMO INTERNATIONAL DIVIDEND HED |
100 |
1,844.00 |
1 |
ZDI |
BMO INTERNATIONAL DIVIDEND CAD |
1,347 |
24,137.66 |
8 |
ZDJ |
BMO DOW JONES INDUSTRIAL AVE H |
751 |
31,499.98 |
5 |
ZDM |
BMO MSCI EAFE HEDGED TO CAD IN |
2,120 |
42,646.82 |
9 |
ZDV |
BMO CANADIAN DIVIDEND ETF AT X |
675 |
9,509.52 |
14 |
ZDY |
BMO US DIVIDEND ETF AT XTSE |
474 |
13,320.06 |
5 |
ZEA |
BMO MSCI EAFE INDEX ETF AT XTS |
2,238 |
40,007.20 |
7 |
ZEB |
BMO EQUAL WEIGHT BANKS INDEX E |
5,814 |
139,014.42 |
24 |
ZEF |
BMO EMERGING MARKETS BOND HEDG |
1,905 |
29,241.00 |
10 |
ZEM |
BMO MSCI EMERGING MARKETS INDE |
2,258 |
45,868.70 |
9 |
ZEN |
ZEN GRAPHENE SOLUTIONS ORD SHS |
643 |
392.07 |
4 |
ZENA |
ZENABIS GLOBAL INC AT XTSE |
250,232 |
19,413.72 |
65 |
ZEO |
BMO EQUAL WEIGHT OIL & GAS IND |
140 |
3,918.86 |
4 |
ZEQ |
BMO MSCI EUROPE HIGH QUALITY H |
5,855 |
133,533.85 |
14 |
ZEU |
ZEU CRYPTO NETWORKS ORD SHS AT |
405 |
76.95 |
1 |
ZFH |
BMO FLOATING RATE HIGH YIELD E |
113 |
1,546.18 |
3 |
ZFL |
BMO LONG FEDERAL BOND INDEX ET |
618 |
12,876.07 |
7 |
ZFM |
BMO MID FEDERAL BOND INDEX ETF |
56 |
984.44 |
3 |
ZFN |
BMO SIA FOCUSED NORTH AMERICAN |
50 |
1,534.50 |
1 |
ZFR |
ZEPHYR MINERALS ORD SHS AT XTS |
362 |
150.23 |
1 |
ZFS |
BMO SHORT FEDERAL BOND INDEX E |
5,900 |
86,376.00 |
2 |
ZGD |
BMO EQUAL WEIGHT GLOBAL GOLD I |
285 |
22,303.15 |
6 |
ZGI |
BMO GLOBAL INFRASTRUCTURE INDE |
1,281 |
47,620.73 |
8 |
ZGQ |
BMO MSCI ALL COUNTRY WORLD HIG |
1,842 |
72,744.24 |
8 |
ZGSB |
BMO GLOBAL STRATEGIC BOND FUND |
400 |
12,100.00 |
1 |
ZHY |
BMO HIGH YIELD US CORP BOND HE |
1,185 |
14,743.38 |
9 |
ZIC |
BMO MID-TERM US IG CORPORATE B |
2,635 |
56,014.75 |
8 |
ZIC.U |
BMO MID-TERM US IG CORPORATE B |
55 |
873.4 |
1 |
ZID |
BMO INDIA EQUITY INDEX ETF AT |
909 |
21,050.86 |
4 |
ZJG |
BMO JUNIOR GOLD INDEX ETF AT X |
265 |
20,576.90 |
2 |
ZLB |
BMO LOW VOLATILITY CANADIAN EQ |
3,327 |
101,566.58 |
52 |
ZLC |
BMO LONG CORPORATE BOND INDEX |
2,505 |
50,960.40 |
8 |
ZLD |
BMO LOW VOLATILITY INTERNATION |
550 |
12,601.50 |
2 |
ZLE |
BMO LOW VOLATILITY EMERGING MA |
100 |
2,040.00 |
1 |
ZLH |
BMO LOW VOLATILITY US EQUITY H |
1,678 |
42,466.74 |
4 |
ZLI |
BMO LOW VOLATILITY INTERNATION |
418 |
9,789.38 |
5 |
ZLU |
BMO LOW VOLATILITY US EQUITY E |
4,125 |
154,184.87 |
17 |
ZMI |
BMO MONTHLY INCOME ETF AT XTSE |
700 |
10,688.00 |
3 |
ZMP |
BMO MID PROVINCIAL BOND INDEX |
4,479 |
72,297.94 |
9 |
ZMSB |
BMO GLOBAL MULTI-SECTOR BOND F |
50 |
1,540.00 |
1 |
ZMT |
BMO EW GLBL BASE METALS HGD TO |
50 |
1,688.00 |
1 |
ZMU |
BMO MID-TERM US IG CORP BOND H |
4,443 |
70,068.43 |
12 |
ZNG |
GROUP ELEVEN RESOURCES CORP AT |
500 |
32.5 |
2 |
ZNX |
ZINCX RESOURCES CORP AT XTSX |
5 |
0.45 |
1 |
ZOMD |
ZOOMD TECHNOLOGIES ORD SHS AT |
6,030 |
2,598.50 |
6 |
ZONE |
ZONETAIL ORD SHS AT XTSX |
109 |
6.54 |
1 |
ZPAY |
BMO PREMIUM YIELD ETF AT XTSE |
77 |
2,355.45 |
3 |
ZPR |
BMO LADDERED PREFERRED SHARE I |
15,813 |
131,282.91 |
42 |
ZPS |
BMO SHORT PROVINCIAL BOND INDE |
5,100 |
69,156.00 |
1 |
ZQQ |
BMO NASDAQ 100 EQUITY HEDGED T |
2,442 |
185,493.53 |
41 |
ZRE |
BMO EQUAL WEIGHT REITS INDEX E |
691 |
13,861.36 |
16 |
ZRR |
BMO REAL RETURN BOND INDEX ETF |
80 |
1,502.32 |
3 |
ZSB |
BMO SHORT-TERM BOND INDEX ETF |
200 |
10,260.00 |
1 |
ZSP |
BMO S&P 500 INDEX ETF AT XTSE |
364 |
16,964.37 |
13 |
ZST |
BMO ULTRA SHORT-TERM BOND ETF |
7,913 |
401,504.05 |
10 |
ZST.L |
BMO ULTRA SHORT-TERM BOND ETF |
234 |
12,512.68 |
7 |
ZSU |
BMO SHORT-TERM US IG CORP BOND |
1,297 |
19,246.98 |
6 |
ZUB |
BMO EQUAL WEIGHT U.S. BANKS HE |
1,410 |
27,023.70 |
15 |
ZUD |
BMO US DIVIDEND HEDGED TO CAD |
2,250 |
45,688.00 |
5 |
ZUE |
BMO S&P 500 HEDGED TO CAD INDE |
402 |
18,134.78 |
2 |
ZUH |
BMO EQUAL WEIGHT US HEALTH CAR |
298 |
18,734.13 |
9 |
ZUP |
BMO US PREFERRED SHARE INDEX E |
118 |
2,897.44 |
3 |
ZUQ |
BMO MSCI USA HIGH QUALITY INDE |
2,784 |
124,874.48 |
17 |
ZUT |
BMO EQUAL WEIGHT UTILITIES IND |
81 |
1,671.64 |
3 |
ZVU |
BMO MSCI USA VALUE INDEX ETF A |
3 |
59.91 |
1 |
ZWA |
BMO COVERED CALL DJIA HEDGED T |
460 |
9,605.84 |
4 |
ZWB |
BMO COVERED CALL CANADIAN BANK |
621 |
9,302.65 |
14 |
ZWC |
BMO CANADIAN HIGH DIVIDEND COV |
464 |
6,885.32 |
14 |
ZWE |
BMO EUROPE HIGH DIVIDEND COV C |
2,653 |
46,811.14 |
14 |
ZWG |
BMO GLOBAL HIGH DIVIDEND COVER |
200 |
5,700.00 |
1 |
ZWH |
BMO US HIGH DIVIDEND COVERED C |
127 |
2,286.00 |
2 |
ZWK |
BMO COVERED CALL US BANKS ETF |
427 |
8,783.89 |
3 |
ZWP |
BMO EUROPE HIGH DIVIDEND COVER |
165 |
2,683.70 |
3 |
ZWS |
BMO US HIGH DIVIDEND COVERED C |
700 |
11,511.00 |
4 |
ZWU |
BMO COVERED CALL UTILITIES ETF |
508 |
5,951.66 |
12 |
ZZZ |
SLEEP COUNTRY CANADA HOLDINGS |
8,457 |
143,642.46 |
107 |
ZZZD |
BMO TACTICAL DIVIDEND ETF SERI |
400 |
11,800.00 |
1 |