Trade Data

May 31, 2019 Daily Summary

Total Share Volume 67,400,091
Total Dollar Value $804,557,172
Total Trades 139,310
Symbol Tickername Share Volume Dollar Value Trades
AA ALBA MINERALS LTD COM 597 47.76 1
AAL ADVANTAGE LITHIUM CORP COM 718 311.67 5
AAV ADVANTAGE OIL & GAS LTD COM 87,552 155,012.82 159
AAZ AZINCOURT ENERGY CORP COM 1,000 50 2
ABCS ABACUS HEALTH PRODUCTS ORD SHS 2,909 29,853.90 8
ABM ATHABASCA MINERALS INC COM 293 169.51 2
ABN ABEN RESOURCES LTD COM 26,812 5,895.83 6
ABRA ABRAPLATA RESOURCE CORP COM 100,000 4,000 1
ABS.H AMERICAN BIOFUELS INC COM 1,000 2,310 1
ABT ABSOLUTE SOFTWARE CORP COM 4,283 36,310.95 32
ABX BARRICK GOLD CORP COM 264,084 4,397,635.02 539
AC AIR CANADA NPV VTG & VAR VTG S 301,656 11,993,272.14 1,395
ACB AURORA CANNABIS INC COM 391,159 4,058,647.85 995
ACB.WT AURORA CANNABIS INC COMMON SHA 1,252 8,214.82 6
ACG ALLIANCE GROWERS ORD SHS AT XC 1,248 74.88 2
ACI ALTAGAS CANADA INC COM 8,477 179,401.24 25
ACO.X ATCO LTD CL 1 COM NON VTG 11,036 512,203.37 123
ACQ AUTOCANADA INC COM 21,336 234,623.61 76
ACRG.U ACREAGE HOLDINGS ORD SHS AT XC 45,841 831,816.88 116
AD ALARIS ROYALTY CORP COM 9,440 171,898.79 58
ADD ARCTIC STAR EXPLORATION CORP C 1,400 84 2
ADE ADEX MINING INC COM 542 5.42 1
ADN ACADIAN TIMBER CORP COM 594 9,885.31 13
ADVZ ADVANZ PHARMA CORP LTD VOTG SH 1,558 29,785.25 14
ADW.A ANDREW PELLER LTD CL A NON-VTG 5,981 79,816.13 20
AEC ANFIELD ENERGY INC COM 900 177.5 2
AEM AGNICO EAGLE MINES LTD COM 176,060 10,363,362.04 1,137
AET AETHON MINERALS CORP COM 334 36.74 1
AFCC AUTOMOTIVE FINCO CORP COM 107 143.31 2
AFN AG GROWTH INTERNATIONAL INC CO 6,847 362,232.23 55
AFN.DB.D AG GROWTH INTL INC 4.85 PCT DE 14,000 14,211.40 2
AGB ATLANTIC GOLD CORP COM 238,461 688,584.61 1,067
AGF.B AGF MANAGEMENT LTD CL B COM NO 4,062 20,769.52 9
AGI ALAMOS GOLD INC COM CL A 96,124 625,482.34 284
AGN ALGERNON PHARMACEUTICALS ORD S 500 123.75 1
AGO AURCREST GOLD INC COM 400 12 1
AGRA AGRAFLORA ORGANICS INTERNATION 32,100 11,729.42 18
AGZ ASHANTI GOLD CORP COM 500 17.5 1
AHG ALTERNATE HEALTH ORD SHS AT XC 200 118 1
AI ATRIUM MORTGAGE INVESTMENT COR 1,051 14,139.89 20
AIF ALTUS GROUP LTD COM 14,545 428,461.51 109
AII ALMONTY INDUSTRIES INC COM 64 64.06 2
AIIM ALBERT MINING INC COM 1,000 77.5 1
AIM AIMIA INC COM 28,109 97,552.85 123
AIM.PR.A AIMIA INC PFD CUM RATE RESET S 50 887.5 1
AIM.PR.B AIMIA INC PFD CUM FLTG RATE RE 2,300 41,273 2
AIM.PR.C AIMIA INC CUM RATE RESET PFD S 700 12,789 3
AIS AIS RESOURCES LTD COM 500 25 1
AKG ASANKO GOLD INC COM 1,200 974 4
AKT.A AKITA DRILLING LTD CL A NON-VT 16,839 47,984.56 11
AKU.U AKUMIN INC COM 1,400 5,169 9
ALA ALTAGAS LTD COM 113,119 2,194,739.14 360
ALA.PR.A ALTAGAS LTD PFD CUM REDEEM 5 Y 2,250 31,718.50 9
ALA.PR.B ALTAGAS LTD PFD CUM RED FLTG R 1,200 17,374 2
ALA.PR.E ALTAGAS LTD CUM RED 5-YR RATE 2,800 52,151 4
ALA.PR.G ALTAGAS LTD PFD CUM RED 5-YR R 400 6,408 1
ALA.PR.I ALTAGAS LTD PFD CUM RED 5-YR M 4,270 96,260 12
ALA.PR.K ALTAGAS LTD CUM RED 5-YR MIN R 10,190 205,974.80 20
ALA.PR.U ALTAGAS LTD PFD CUM RED 5-YR R 1,305 24,833 4
ALC ALGOMA CENTRAL CORP 200 2,634 1
ALEF ALEAFIA HEALTH INC COM 119,477 173,004.97 91
ALO ALIO GOLD INC COM 15,320 11,891.10 15
ALS ALTIUS MINERALS CORP COM 8,243 99,013.64 32
ALV ALVOPETRO ENERGY LTD COM 3,426 2,145.60 2
ALY ANALYTIXINSIGHT INC COM 11,000 4,255 2
ALYA ALITHYA GROUP INC COM CL A SUB 1,426 5,848.26 7
AMK AMERICAN CREEK RESOURCES LTD C 200 7 1
AMM ALMADEN MINERALS LTD COM 312 187.2 1
AMX AMEX EXPLORATION INC COM 464 424.14 5
ANX ANACONDA MINING INC COM 5,300 1,565 2
ANZ ALIANZA MINERALS LTD COM 500 22.5 1
AOI AFRICA OIL CORP COM 70 85.1 2
AOT ASCOT RESOURCES LTD COM 1,119 765.79 4
AP.UN ALLIED PROPERTIES REAL ESTATE 21,290 1,036,791.82 192
APHA APHRIA INC COM 176,894 1,584,782.41 553
API APPIA ENERGY ORD SHS AT XCNQ 500 177.5 1
APP GLOBAL CANNABIS APPLICATIONS O 428 32.1 1
APR.UN AUTOMOTIVE PROPERTIES REIT UNI 359 3,740.96 7
APS APTOSE BIOSCIENCES INC COM 59 160.3 2
AQN ALGONQUIN POWER & UTILITIES CO 101,986 1,606,646.94 631
AQN.PR.A ALGONQUIN POWER & UTILITIES CO 1,200 23,285 8
AQN.PR.D ALGONQUIN POWER & UTILITIES CO 350 7,401.50 3
AQS AEQUUS PHARMACEUTICALS INC COM 2,300 334.5 5
AQY.WT ALIGNVEST ACQUISITION II CORP 500 300 1
AR ARGONAUT GOLD INC COM 118,725 196,077.19 191
ARE AECON GROUP INC COM 20,560 359,131.90 141
ARG AMERIGO RESOURCES LTD COM 33,073 21,194.22 12
ARU AURANIA RESOURCES LTD ORD SHS 150 508 2
ARX ARC RESOURCES LTD COM 536,606 3,919,908.42 1,480
ASG AURORA SPINE CORP COM 3,100 1,317.25 7
ASIA ASIA CANNABIS ORD SHS AT XCNQ 30,000 2,250 1
ASM AVINO SILVER & GOLD MINES LTD 729 419.82 2
ASR ALACER GOLD CORP COM 43,379 175,009.30 279
AT ACUITYADS HOLDINGS INC COM 133 181.95 3
ATA ATS AUTOMATION TOOLING SYSTEM 30,247 611,747.97 129
ATC ATAC RESOURCES LTD COM 800 159.75 2
ATD.A ALIMENTATION COUCHE TARD INC 1,850 153,648.50 8
ATD.B ALIMENTATION COUCHE TARD INC 104,648 8,674,609.26 889
ATE ANTIBE THERAPEUTICS INC COM 25,879 8,411.56 4
ATH ATHABASCA OIL CORP COM 81,182 65,460.54 62
ATP ATLANTIC POWER CORP COM 8,134 25,522.44 21
ATZ ARITZIA INC SUB VOTG SHS 32,735 585,011.14 182
AU AURION RESOURCES LTD COM 340 316.6 3
AUG AURYN RESOURCES INC COM 2,846 6,002.03 10
AUP AURINIA PHARMACEUTICALS INC CO 442 3,904.37 9
AUSA AUSTRALIS CAPITAL ORD SHS AT X 28,261 30,658.11 54
AVL AVALON ADVANCED MATERIALS INC 2,226,849 321,602.34 204
AVM AVARONE METALS ORD SHS AT XCNQ 30,000 3,150 1
AVU AVRUPA MINERALS LTD COM 120,000 3,000 2
AW.UN A & W REVENUE ROYALTIES INCOME 14,875 644,985.23 116
AX.PR.A ARTIS REIT PFD UNIT SER A 100 2,193 1
AX.PR.E ARTIS REIT PFD UNITS SER E 2,375 48,411.50 4
AX.PR.G ARTIS REIT PFD UNITS SER G 3,100 67,721 6
AX.PR.I ARTIS REIT PFD UNITS SER I 3,400 83,024 10
AX.UN ARTIS REAL ESTATE INVESTMENT T 38,212 448,397.66 144
AXL ARROW EXPLORATION CORP COM 1,622 557.795 7
AXR ALEXCO RESOURCE CORP COM 6,260 8,684.32 64
AXV AXION VENTURES INC COM 292 248.2 1
AYR.A AYR STRATEGIES INC SUBORDINATE 5,120 113,377.30 8
AYR.WT AYR STRATEGIES INC EQUITY WARR 5,100 54,277 10
AZP.PR.B ATLANTIC POWER PREFERRED EQUIT 50 889 1
AZX ALEXANDRIA MINERALS CORP COM 200,683 6,020.49 2
AZZ AZARGA URANIUM CORP COM CL A 500 110 1
BAD BADGER DAYLIGHTING LTD COM 15,172 727,083.36 108
BAM.A BROOKFIELD ASSET MANAGEMENT IN 42,183 2,610,124.61 525
BAM.PF.A BROOKFIELD ASSET MGMT INC PREF 1,200 23,390 5
BAM.PF.B BROOKFIELD ASSET MGMT INC PREF 1,125 19,964.75 6
BAM.PF.C BROOKFIELD ASSET MGMT INC PFD 1,784 36,369.40 7
BAM.PF.D BROOKFIELD ASSET MANAGEMENT IN 500 10,475 1
BAM.PF.E BROOKFIELD ASSET MANAGEMENT IN 4,800 76,666 4
BAM.PF.F BROOKFIELD ASSET MANAGEMENT IN 3,000 51,724 16
BAM.PF.G BROOKFIELD ASSET MGMT INC PREF 4,544 78,852.84 9
BAM.PF.H BROOKFIELD ASSET MGMT INC PREF 2,706 68,169.70 7
BAM.PF.I BROOKFIELD ASSET MANAGEMENT IN 3,216 76,617.28 8
BAM.PF.J BROOKFIELD ASSET MANAGEMENT IN 5,845 132,410.25 13
BAM.PR.B BROOKFIELD ASSET MGMT INC PREF 4,494 51,114.97 11
BAM.PR.C BROOKFIELD ASSET MGMT INC 5,490 62,589.13 14
BAM.PR.E BROOKFIELD ASSET MGMT INC 3,500 57,785 2
BAM.PR.K BROOKFIELD ASSET MGMT INC 3,000 33,758 5
BAM.PR.N BROOKFIELD ASSET MGMT INC PREF 2,630 52,756.50 13
BAM.PR.R BROOKFIELD ASSET MGMT INC PREF 2,847 41,829.38 13
BAM.PR.S BROOKFIELD ASSET MANAGEMENT IN 1,800 27,210 4
BAM.PR.T BROOKFIELD ASSET MANAGEMENT IN 612 9,023.76 3
BAM.PR.X BROOKFIELD ASSET MGMT INC PREF 900 11,660 4
BAM.PR.Z BROOKFIELD ASSET MGMT INC PREF 2,315 42,543.15 10
BAMM BODY AND MIND ORD SHS AT XCNQ 710 1,696 4
BANK BMO GLOBAL BANKS HEDGED TO CAD 1,000 17,800 1
BAR BALMORAL RESOURCES LTD COM 371 43.02 2
BAY ASTON BAY HOLDINGS LTD COM 27,027 2,443.70 6
BB BLACKBERRY LTD COM 43,562 462,323.75 204
BBD.A BOMBARDIER INC CL A COM 636 1,335.62 12
BBD.B BOMBARDIER INC CL B COM 1,646,735 3,292,301.53 1,999
BBD.PR.B BOMBARDIER INC 398 4,411.60 3
BBD.PR.C BOMBARDIER INC PFD 6.25% SERIE 1,054 20,562 7
BBD.PR.D BOMBARDIER INC PFD SER 3 2,025 22,932.25 3
BBM BLUEBERRIES MEDICAL ORD SHS AT 3,050 1,344.05 10
BBT BENCHMARK BOTANICS ORD SHS AT 5,000 2,850 2
BBU.UN BROOKFIELD BUSINESS PARTNERS L 3,179 160,379.09 45
BCB COTT CORP COM 2,432 42,862.19 28
BCE BCE INC COM 232,277 14,150,999.17 1,429
BCE.PR.A BCE INC 2,210 34,107.60 6
BCE.PR.B BCE INC PFD 1ST SER AB 560 8,518.80 4
BCE.PR.C BCE INC 6,385 103,411.65 11
BCE.PR.D BCE INC PFD 1ST SER AD 13,200 202,752 11
BCE.PR.E BCE INC PFD 1ST SER AE 10,800 163,253 24
BCE.PR.F BCE INC PFD 1ST SER AF 500 7,505 2
BCE.PR.G BCE INC PFD 1ST SER AG 1,850 27,323 3
BCE.PR.H BCE INC PFD CUM RED 1ST SER AH 1,050 15,925.50 5
BCE.PR.J BCE INC SER AJ CUM RED 1ST PRE 3,138 47,682.54 12
BCE.PR.K BCE INC PFD 1ST CUM RED SER AK 8,964 117,984.77 18
BCE.PR.M BCE INC PFD CUM RED 1ST SER AM 4,600 63,645.50 9
BCE.PR.N BCE INC PFD CUM RED 1ST SER AN 3,800 55,597 4
BCE.PR.O BCE INC PFD CUM RED 1ST SER AO 3,400 66,781 3
BCE.PR.Q BCE INC PFD CUM RED 1ST SER AQ 1,800 35,052.50 5
BCE.PR.R BCE INC 2,433 37,073.65 10
BCE.PR.S BCE INC 200 3,050 2
BCE.PR.T BCE INC PFD 1ST SER T 1,500 22,303 7
BCE.PR.Y BCE INC PFD 1ST SER Y 3,759 56,821.74 12
BCE.PR.Z BCE INC 312 4,775.16 2
BCI NEW LOOK VISION GROUP INC COM 858 29,291.42 6
BCM BEAR CREEK MINING CORP COM 500 665 1
BDI BLACK DIAMOND GROUP LTD COM 335 725.25 4
BDT BIRD CONSTRUCTION INC COM 18,525 104,406.50 118
BE BELEAVE ORD SHS AT XCNQ 2,464 214.175 5
BEA BELMONT RESOURCES INC COM 500 7.5 1
BEAN PEEKABOO BEANS ORD SHS AT XCNQ 400 42 1
BEE BEE VECTORING TECHNOLOGIES INT 400 64 1
BEER HILL STREET BEVERAGE COMPANY I 618 130.28 4
BEI.UN BOARDWALK REAL ESTATE INVESTEM 10,402 423,215.79 90
BEP.PR.G BROOKFIELD RENEWABLE PARTNERS 1,100 27,102 4
BEP.PR.I BROOKFIELD RENEWABLE PARTNERS 1,700 42,856 11
BEP.PR.K BROOKFIELD RENEWABLE PARTNERS 4,170 89,366.70 9
BEP.PR.M BROOKFIELD RENEWABLE PARTNERS 4,730 97,761.55 20
BEP.PR.O BROOKFIELD RENEWABLE PARTNERS 6,000 149,377 10
BEP.UN BROOKFIELD RENEWABLE PARTNERS 9,327 404,418.49 120
BEW BEWHERE HOLDINGS INC COM 28 5.74 1
BGM BARKERVILLE GOLD MINES LTD COM 541 195.67 2
BGRD BRAINGRID ORD SHS AT XCNQ 1,808 144.64 2
BGU BRISTOL GATE CONCENTRATED US E 96 2,343.54 2
BHC BAUSCH HEALTH COMPANIES INC CO 42,635 1,191,812.99 217
BIK.PR.A BIP INVESTMENT CORP SEN PFD SR 100 2,567 1
BIP.PR.A BROOKFIELD INFRA PATNRS LP PFD 1,877 35,779.25 7
BIP.PR.B BROOKFIELD INFRASTRUCTURE PART 200 4,924 1
BIP.PR.C BROOKFIELD INFRASTRUCTURE PART 1,750 43,265.50 6
BIP.PR.D BROOKFIELD INFRA\ PARTNERS L.P 2,770 60,278.15 14
BIP.PR.E BROOKFIELD INFRASTRUCTURE PART 3,570 72,090.50 10
BIP.PR.F BROOKFIELD INFRASTRUCTURE PART 7,300 147,923.50 21
BIP.UN BROOKFIELD INFRASTRUCTURE PART 46,656 2,616,435.29 308
BIR BIRCHCLIFF ENERGY LTD COM 78,125 246,557.20 103
BIR.PR.A BIRCHCLIFF ENERGY LTD PFD CUM 100 2,552 1
BIR.PR.C BIRCHCLIFF ENERGY LTD CUM RED 1,400 35,252 3
BK CANADIAN BANC CORP CL A COM 2,790 28,446.20 7
BK.PR.A CANADIAN BANC CORP PFD FLTG RA 325 3,372 4
BKI BLACK IRON INC COM 19,500 1,665 11
BKL.F INVESCO SENIOR LOAN INDEX ETF 2 36.66 1
BKR BERKWOOD RESOURCES LTD COM 51,000 2,295 1
BL.UN GLOBAL INNOVATION DIVIDEND FUN 1,600 15,682 4
BLDP BALLARD POWER SYSTEMS INC COM 39,413 203,305.40 201
BLIS BLISSCO CANNABIS ORD SHS AT XC 400 156.5 4
BLK BLOK TECHNOLOGIES ORD SHS AT X 842 21.05 1
BLN BLACKLINE SAFETY CORP COM 1,400 8,554 3
BLO CANNABIX TECHNOLOGIES INC ORD 11,505 13,284 11
BLU BELLUS HEALTH INC COM 38,590 57,186.10 15
BLX BORALEX INC CL A COM 74,318 1,372,593.76 139
BLX.DB.A BORALEX INC 4.5 PCT DEBS 14,000 14,332.60 3
BMK MACDONALD MINES EXPLORATIONS L 51,000 1,785 1
BMO BANK OF MONTREAL QUE COM 225,728 22,090,334.27 2,075
BMO.PR.B BANK OF MONTREAL PFD NON-CUM 5 4,500 114,025.50 8
BMO.PR.C BANK OF MONTREAL PFD NON CUM 5 2,106 47,294.90 15
BMO.PR.D BANK OF MONTREAL PFD NON CUM 5 6,750 143,577.75 24
BMO.PR.E BANK OF MONTREAL NON-CUM 5-YR 4,869 101,625.20 11
BMO.PR.F BANK OF MONTREAL NON-CUM 5-YR 2,800 69,561 8
BMO.PR.Q BANK OF MONTREAL QUE PFD NON-C 900 21,175 5
BMO.PR.S BANK OF MONTREAL PFD NON-CUM 5 8,217 144,485.61 24
BMO.PR.T BANK OF MONTREAL PFD NON-CUM 5 7,651 129,592.93 17
BMO.PR.W BANK OF MONTREAL PFD NON-CUM 5 6,814 114,760.28 20
BMO.PR.Y BANK OF MONTREAL PFD NON-CUM 5 1,600 30,897 6
BNCH BENCHMARK METALS INC COM 1,815 451.925 5
BND PURPOSE GLOBAL BOND FUND ETF U 150 2,832.50 2
BNE BONTERRA ENERGY CORP COM 9,592 54,390.41 19
BNP BONAVISTA ENERGY CORP COM 25,318 16,005.66 37
BNS BANK OF NOVA SCOTIA COM 261,661 17,967,604.88 2,116
BNS.PR.D THE BANK OF NOVA SCOTIA NON-CU 700 16,998 4
BNS.PR.E THE BANK OF NOVA SCOTIA PFD NO 980 25,449.40 5
BNS.PR.F THE BANK OF NOVA SCOTIA PFD NO 1,100 26,453 4
BNS.PR.G THE BANK OF NOVA SCOTIA PFD NO 3,128 81,947.26 7
BNS.PR.H THE BANK OF NOVA SCOTIA NON-CU 1,350 34,324.50 7
BNS.PR.I THE BANK OF NOVA SCOTIA NON-CU 3,450 74,546 10
BNS.PR.Y BANK NOVA SCOTIA HALIFAX PFD 5 1,100 26,500 3
BNS.PR.Z BANK NOVA SCOTIA HALIFAX PFD 5 1,900 45,215 7
BOLT PACIFIC RIM COBALT ORD SHS AT 200 32 1
BOS AIRBOSS OF AMERICA CORP COM 19,067 174,901.92 10
BOSS YIELD GROWTH ORD SHS AT XCNQ 13,558 6,253.99 24
BPF.UN BOSTON PIZZA ROYALTIES INCOME 2,051 34,828.65 23
BPO.PR.A BROOKFIELD OFFICE PROPERTIES I 1,600 26,149.50 8
BPO.PR.C BROOKFIELD OFFICE PROPERTIES I 400 10,370.50 4
BPO.PR.E BROOKFIELD OFFICE PROPERTIES I 2,300 50,370 8
BPO.PR.G BROOKFIELD OFFICE PROPERTIES I 7,742 149,079.62 19
BPO.PR.I BROOKFIELD OFFICE PROPERTIES I 4,160 79,314.10 11
BPO.PR.N BROOKFIELD OFFICE PROPERTIES I 826 12,481.29 6
BPO.PR.P BROOKFIELD OFFICE PROPERTIES I 3,100 48,096.50 6
BPO.PR.R BROOKFIELD OFFICE PROPERTIES I 1,700 28,083 10
BPO.PR.S BROOKFIELD OFFICE PROPERTIES I 100 1,755.50 1
BPO.PR.T BROOKFIELD OFFICE PROPERTIES I 5,417 99,611.30 35
BPO.PR.Y BROOKFIELD OFFICE PROPERTIES I 500 5,253 2
BPS.PR.C BROOKFIELD PROPERTY SPLIT CORP 56 1,420.16 1
BPY.UN BROOKFIELD PROPERTY PARTNERS L 114,164 2,855,644.64 580
BRAG BRAGG GAMING GROUP INC COM 4,000 1,920 1
BRC BLACKROCK GOLD CORP COM 500 47.5 1
BRE BRIDGEMARQ REAL ESTATE SERVICE 1,788 28,685.78 12
BRF.PR.A BROOKFIELD RENEWABLE POWER PRE 1,500 22,229.50 10
BRF.PR.B BROOKFIELD RENEWABLE POWER PRE 650 9,699 5
BRF.PR.C BROOKFIELD RENEWABLE POWER PRE 2,100 33,726 2
BRF.PR.E BROOKFIELD RENEWABLE POWER PFD 1,000 19,530 3
BRF.PR.F BROOKFIELD RENEWABLE POWER PRE 400 7,924 1
BRN.PR.A BROOKFIELD INVESTMENTS CORP P 530 13,497.80 5
BSC BNS SPLIT CORP II CAP SHS 1,300 26,494 5
BSO.UN BROOKFIELD SELECT OPPORTUNITIE 78 297.96 1
BSR BLUESTONE RESOURCES INC COM 50 49 1
BSX BELO SUN MINING CORP COM 1,000 245 2
BTB.DB.E BTB REIT 6.90 PCT DEBS 6,000 6,045.60 1
BTB.UN BTB REAL ESTATE INVESTMENT TRU 2,118 9,840.82 24
BTE BAYTEX ENERGY CORP COM 738,312 1,558,570.17 338
BTO B2GOLD CORP COM 605,022 2,223,040.83 808
BTR BONTERRA RESOURCES INC COM 80 132.8 1
BTU BTU METALS CORP COM 432 66.96 2
BU BURCON NUTRASCIENCE CORP COM 9,315 8,020.45 31
BUS GRANDE WEST TRANSPORTATION GRO 625 306.3 3
BXE BELLATRIX EXPLORATION LTD COM 71,820 12,269.90 22
BXF CI FIRST ASSET 1-5 YEAR LAD GO 138 1,425.54 2
BYD.UN BOYD GROUP INCOME FUND TRUST U 9,922 1,623,054.23 104
BYL BAYLIN TECHNOLOGIES INC COM 209 833.72 6
CAE CAE INC COM 218,445 7,484,167.91 777
CAGG WISDOMTREE YIELD ENHANCED CAN 3,500 176,490 2
CAGS WISDOMTREE YIELD ENHANCED CAN 37 1,829.67 2
CAL CALEDONIA MINING CORP PLC ORD 100 739 1
CANN HERITAGE CANNABIS HOLDINGS ORD 156,120 61,189.65 43
CANX CANEX METALS INC COM 1,365 88.725 2
CAR.UN CANADIAN APARTMENT PROPERTIES 11,556 566,825.08 150
CAS CASCADES INC COM 4,918 43,835.77 41
CBG CHIBOUGAMAU INDEPENDENT MINES 12,500 1,968.75 4
CBH ISHARES 1-10 YR LADDERED CORP 430 8,123.75 10
CBII CB2 INSIGHTS ORD SHS AT XCNQ 506 102.14 3
CBIS CANNABIS ONE HOLDINGS ORD SHS 11,516 16,651.07 22
CBK COPPERBANK RESOURCES ORD SHS A 498 19.92 1
CBLU CLEAR BLUE TECHNOLOGIES INTL I 200 48 1
CBO ISHARES 1-5 YR LADDERED CORP B 17,461 325,429.28 38
CCA COGECO COMMUNICATIONS INC SUB- 13,295 1,231,553.47 107
CCE COMMERCE REOURCES CORP COM 700 56 1
CCHW COLUMBIA CARE ORD SHS AT NEOE 633 5,200.30 5
CCL.A CCL INDUSTRIES INC CL A VTG 1,525 95,487.25 5
CCL.B CCL INDUSTRIES INC CL B NON VT 62,403 3,832,377.68 307
CCO CAMECO CORP COM 47,314 641,878.41 236
CCS.PR.C CO-OPERATORS GENERAL INSURANCE 550 12,687.50 3
CCW CANADA COBALT WORKS INC COM 647 192.13 4
CCX CANADIAN CRUDE OIL INDEX ETF C 3,050 24,490 7
CD CANTEX MINE DEVELOPMENT CORP C 1,453 5,086.20 6
CDAY CERIDIAN HCM HOLDING INC COM 843 56,370.12 9
CDH CORRIDOR RESOURCES INC COM 57 39.9 1
CDV CARDINAL RESOURCES LTD ORD SHS 1,000 350 3
CDZ ISHARES S&P/TSX CANADIAN DIV A 8,144 212,822.29 27
CEF SPROTT PHYSICAL GOLD AND SILVE 195 3,250.25 5
CEF.U SPROTT PHYSICAL GOLD AND SILVE 61 755.99 2
CERV CERVUS EQUIPMENT CORP COM 645 7,905.90 2
CET CATHEDRAL ENERGY SERVICES LTD 700 367 3
CEU CES ENERGY SOLUTIONS CORP COM 162,844 357,962.09 376
CEW ISHARES EQUAL WEIGHT BANC & LI 435 5,315.91 6
CF CANACCORD GENUITY GROUP INC CO 15,910 79,607.65 36
CF.PR.A CANACCORD GENUITY GROUP INC 1S 942 13,131.90 6
CF.PR.C CANACCORD GENUITY GROUP INC 1S 2,700 44,510 11
CFF CONIFEX TIMBER INC COM 573 658.85 7
CFP CANFOR CORP NEW COM 33,758 302,344.16 215
CFW CALFRAC WELL SERVICES LTD COM 5,870 12,836.45 12
CFX CANFOR PULP PRODUCTS INC COM 17,021 191,554.72 109
CG CENTERRA GOLD INC COM 95,289 735,645.26 430
CGG CHINA GOLD INTERNATIONAL RESOU 3,560 5,450.29 15
CGGZ.UN CANACCORD GENUITY GROWTH II CL 200 652 2
CGL ISHARES GOLD BULLION ETF HEDGE 5,880 64,907.16 12
CGL.C ISHARES GOLD BULLION ETF NON-H 412 6,334.08 8
CGLD CORE GOLD INC COM 639 159.75 2
CGO COGECO INC 2,975 251,806 28
CGOC CANNABIS GROWTH OPPORTUNITY OR 100 185.5 1
CGR ISHARES GLOBAL REAL ESTATE IND 121 3,815.33 7
CGT COLUMBUS GOLD CORP COM 728 133.82 2
CGX CINEPLEX INC COM 23,400 556,159.43 109
CGY CALIAN GROUP LTD COM 400 13,427 3
CHB ISHARES US HIGH YIELD FIXED IN 3,637 65,917.10 10
CHE.DB.C CHEMTRADE LOGISTICS INCOME FUN 17,000 15,748.70 4
CHE.DB.D CHEMTRADE LOGISTICS INC FD 4.7 79,000 67,117.10 8
CHE.UN CHEMTRADE LOGISTICS INCOME FUN 4,929 44,885.87 74
CHEM CANADIAN ENERGY MATERIALS CORP 30,000 3,000 1
CHM CHEMISTREE TECHNOLOGY ORD SHS 567 298.51 4
CHOO CHOOM HOLDINGS ORD SHS AT XCNQ 2,113 958.205 11
CHP.UN CHOICE PROPERTIES REIT UNITS 9,873 133,436.14 133
CHR CHORUS AVIATION INC VOTG AND V 55,811 415,684 143
CHV CANADA HOUSE WELLNESS GROUP OR 50 7 1
CHW CHESSWOOD GROUP LTD COM 5,517 54,419.08 27
CIA CHAMPION IRON LTD ORD SHS 99,225 285,872.76 222
CIC CI FIRST ASSET CANBANC INCOME 75 834.75 1
CIE ISHARES INTERNATIONAL FUNDAMEN 1,307 24,750.49 4
CIF ISHARES GLOBAL INFRASTRUCTURE 4,610 123,079 3
CIGI COLLIERS INTERNATIONAL GROUP I 20,814 1,726,942.87 116
CIQ.UN CANADIAN HIGH INCOME EQUITY FU 300 2,247 1
CIU.PR.C CU INC PFD CUM RED SER 4 25 337.25 1
CIX CI FINANCIAL CORP COM 39,224 793,899.82 397
CJ CARDINAL ENERGY LTD COM 21,421 52,847.76 202
CJ.DB CARDINAL ENERGY LTD 5.50 PCT D 7,000 6,814.90 3
CJC QUEBEC PRECIOUS METALS CORP CO 300 83.5 2
CJP ISHARES JAPAN FUNDAMENTAL IDX 110 1,476.20 2
CJR.B CORUS ENTERTAINMENT INC CL B C 52,209 332,382.59 246
CJT CARGOJET INC COM AND VAR VOTG 6,821 557,065.12 62
CJT.DB.C CARGOJET INC 4.65 PCT DEBS 53,000 74,279.60 18
CJT.DB.E CARGOJET INC 5.75 PCT DEBS 45,000 45,411 3
CKE CHINOOK ENERGY INC COM 500 65 1
CKG CHESAPEAKE GOLD CORP 5 8.95 1
CL CRESCO LABS SUBORDINATE VOTING 40,554 581,442.46 183
CLF ISHARES 1-5 YR LADDERED GOVT B 36,743 660,702.67 40
CLG ISHARES 1-10 YR LADDERED GOVT 2,665 49,693.62 17
CLIQ ALCANNA INC COM 3,412 20,096.06 40
CLIQ.DB ALCANNA INC 4.70 PCT DEBS 10,000 9,709 1
CLM CRYSTAL LAKE MINING CORP COM 1,200 441.25 3
CLR CLEARWATER SEAFOODS INC COM 133 666.81 4
CLS CELESTICA INC SUB VTG COM 10,954 93,199.19 69
CLU ISHARES US FUNDAMENTAL INDEX E 95 3,003 2
CM CANADIAN IMPERIAL BANK OF COMM 316,472 32,272,045.02 2,251
CM.PR.O CANADIAN IMPERIAL BANK OF COMM 7,400 123,682 15
CM.PR.P CANADIAN IMPERIAL BANK OF COMM 3,620 59,564.60 7
CM.PR.Q CANADIAN IMPERIAL BANK OF COMM 1,800 33,928.50 4
CM.PR.R CANADIAN IMPERIAL BANK OF COM 7,759 166,727.87 25
CM.PR.S CANADIAN IMPERIAL BANK OF COM 7,340 139,666.70 20
CM.PR.T CANADIAN IMPERIAL BK OF COM PF 3,400 83,585.50 8
CMG COMPUTER MODELLING GROUP LTD C 31,036 217,403.54 116
CMH CARMANAH TECHNOLOGIES CORP COM 104 742.18 2
CMMC COPPER MOUNTAIN MINING CORP C 35,072 28,300.82 63
CMR ISHARES PREMIUM MONEY MARKET E 20,484 1,024,324.34 19
CMX CHILEAN METALS INC COM 250 3.75 1
CNE CANACOL ENERGY LTD COM 28,128 113,744.28 63
CNL CONTINENTAL GOLD INC COM 126,827 327,621.16 99
CNNA CANNAONE TECHNOLOGIES ORD SHS 108 150.12 2
CNNX CANNEX CAPITAL HOLDINGS ORD SH 24,918 33,250.76 34
CNQ CANADIAN NATURAL RESOURCES LTD 478,736 17,462,410.81 1,789
CNR CANADIAN NATIONAL RAILWAY CO C 93,868 11,264,551.54 1,034
CNU CNOOC LTD SPONSORED ADR 79 17,364.04 2
CNVC CANNA V CELL SCIENCES ORD SHS 618 116.85 2
CNX CALLINEX MINES INC COM 870 56.55 1
COP CORO MINING CORP COM 500 48.75 1
CORV CORREVIO PHARMA CORP COM 600 1,773 4
COV COVALON TECHNOLOGIES LTD 1,100 5,275 2
COW ISHARES GLOBAL AGRICULTURE IND 517 19,881.99 3
CP CANADIAN PACIFIC RAILWAYS CO C 62,159 18,435,870.53 701
CPD ISHARES S&P/TSX CDN PREFERRED 183,699 2,213,567.44 114
CPG CRESCENT POINT ENERGY CORP COM 165,340 750,482.37 912
CPH CIPHER PHARMS INC COM 371 453.21 6
CPTR CAPTOR CAPITAL ORD SHS AT XCNQ 1,300 1,738 2
CPX CAPITAL POWER CORP COM 17,634 533,881.90 178
CPX.PR.A CAPITAL POWER CORP PREF CUM RA 443 6,037.23 2
CPX.PR.C CAPITAL POWER CORP PFD CUM RAT 200 3,970 1
CPX.PR.E CAPITAL POWER CORP CUM RATE RE 50 980.5 1
CPX.PR.G CAPITAL POWER CORP PFD CUM MIN 1,620 41,737.20 9
CPX.PR.I CAPITAL POWER CORP PFD CUM MIN 1,400 35,069 5
CPX.PR.K CAPITAL POWER CORP CUM MIN RAT 100 2,492.50 1
CPX.R CAPITAL POWER CORP SUBSCRIPTIO 200 6,042 1
CQE CEQUENCE ENERGY LTD COM 1,500 722.5 3
CR CREW ENERGY INC COM 76,295 72,391.75 25
CRDL CARDIOL THERAPEUTICS INC COM C 5,345 21,577.65 23
CRE CRITICAL ELEMENTS CORP COM 796 410.64 2
CRH CRH MEDICAL CORP COM SBI 12,172 44,449.22 105
CRON CRONOS GROUP INC COM 24,294 468,823.75 252
CROP CROP INFRASTRUCTURE ORD SHS AT 133,020 35,106.49 19
CRP CERES GLOBAL AG CORP COM 100 413 1
CRQ ISHARES CANADIAN FUNDAMENTAL I 2 30.88 1
CRR.UN CROMBIE REAL ESTATE INVESTMENT 7,907 117,152.35 73
CRT.UN CT REIT UNITS 2,900 40,218.78 30
CRU CAMEO INDUSTRIES CORP COM 1,688 143.48 4
CRWN CROWN CAPITAL PARTNERS INC COM 500 4,370 1
CS CAPSTONE MINING CORP COM 7,194 3,811.81 17
CSD ISHARES SHORT DURATION HIGH IN 150 2,613.89 4
CSE.PR.A CAPSTONE INFRASTRUCTURE CORP C 50 660.5 1
CSH.UN CHARTWELL RETIREMENT RESIDENCE 8,752 126,781.28 93
CSI CHEMESIS INTERNATIONAL ORD SHS 6,758 12,164.50 14
CSL COMSTOCK METALS LTD COM 11,000 302.5 1
CSM CLEARSTREAM ENERGY SERVICES IN 834 50.04 1
CST CO2 SOLUTIONS INC COM 751 41.305 1
CSTR CRYPTOSTAR CORP COM 500 35 1
CSU CONSTELLATION SOFTWARE INC COM 6,568 7,669,136.74 142
CSW.A CORBY SPIRIT AND WINE LTD COM 369 6,733.67 5
CSW.B CORBY SPIRIT AND WINE LTD COM 663 11,328 2
CTC CANADIAN TIRE LTD COM 26 5,719.90 2
CTC.A CANADIAN TIRE LTD CL A CUM NON 25,271 3,413,067.74 256
CTS CONVERGE TECHNOLOGY SOLUTIONS 3,651 3,203.90 7
CU CANADIAN UTILITIES LTD CL A CO 26,790 1,018,552.91 269
CU.PR.C CANADIAN UTILITIES LTD CUM RED 1,200 21,007 2
CU.PR.D CANADIAN UTILITIES LTD PFD CUM 625 14,121 3
CU.PR.E CANADIAN UTILITIES LTD PFD CUM 200 4,494 1
CU.PR.F CANADIAN UTILITIES LTD PFD CUM 1,770 37,080.70 3
CU.PR.G CANADIAN UTILITIES LTD CUM RED 2,686 55,963.75 13
CU.PR.I CANADIAN UTILITIES LTD PFD CUM 1,754 44,261.28 5
CU.X CANADIAN UTILITIES LTD CL B CO 3,854 145,587.50 6
CUBE CELLCUBE ENERGY STORAGE SYSTEM 203,800 19,372.50 14
CUD ISHARES US DIVIDEND GROWERS ID 537 21,987.04 16
CUDA CUDA OIL AND GAS INC COM 3,000 1,182.50 2
CUF.UN COMINAR REAL ESTATE INVESTMENT 14,188 173,881.38 84
CURA CURALEAF HOLDINGS ORD SHS AT X 103,644 1,162,277.56 435
CUV CUV VENTURES CORP COM 1,350 288.25 4
CUZ CRUZ COBALT CORP COM 7,000 332.5 7
CVD ISHARES CONVERTIBLE BOND INDEX 800 14,650.35 7
CVE CENOVUS ENERGY INC COM 700,224 7,783,881.63 2,140
CVV CANALASKA URANIUM LTD COM 500 122 2
CWB CANADIAN WESTERN BANK EDMONTON 65,498 1,844,608.05 299
CWB.PR.B CANADIAN WESTERN BANK NON-CUM 100 1,875 1
CWB.PR.C CANADIAN WESTERN BANK NON-CUM 4,500 114,791 11
CWB.PR.D CANADIAN WESTERN BANK PFD NON 1,800 45,554 4
CWEB CHARLOTTES WEB HLDGS INC COM 201,108 3,684,717.09 462
CWO ISHARES EMERGING MARKETS FUNDA 50 1,828 1
CWW ISHARES GLOBAL WATER INDEX ETF 581 20,579.12 5
CWX CANWEL BUILDING MATERIALS GROU 15,447 69,609.91 17
CXB CALIBRE MINING CORP COM 300 153 1
CXF CI FIRST ASSET CANADIAN CONVER 5 47.4 1
CXXI C21 INVESTMENTS ORD SHS AT XCN 494 572.4 8
CYB CYMBRIA CORP CL A NON-VTG 3,667 191,010.93 20
CYBR EVOLVE CYBER SECURITY INDEX FU 2,610 69,203.93 12
CYBR.B EVOLVE CYBER SECURITY INDEX FU 10 296.7 1
CYH ISHARES GLOBAL MONTHLY DIV IND 6,223 117,125.57 13
CYP CYPRESS DEVELOPMENT CORP COM 200 44 1
CZR CRUZSUR ENERGY CORP COM 400 120 1
D.UN DREAM OFFICE REIT UNITS SER A 21,339 502,346.48 159
DAC DATABLE TECHNOLOGY CORP COM 1,000 88 2
DAN ARIANNE PHOSPHATE INC COM 600 240 2
DASH NEPTUNE DASH TECHNOLOGIES CORP 84,810 12,833.55 9
DBO D BOX TECHNOLOGIES INC CL A CO 500 76.25 1
DC.A DUNDEE CORP CL A SUB VTG 767 717.31 5
DCM DATA COMMUNICATIONS MANAGEMENT 115 137.35 3
DE DECISIVE DIVIDEND CORP COM 700 2,786 3
DEE DELPHI ENERGY CORP COM 16,004 2,888.24 10
DEFN DEFENSE METALS CORP COM 450 85.5 1
DF DIVIDEND 15 SPLIT CORP II CL A 188 884.5 4
DF.PR.A DIVIDEND 15 SPLIT CORP II PFD 110 1,105.50 2
DFN DIVIDEND 15 SPLIT CORP CL A SH 17,940 151,096.54 49
DFN.PR.A DIVIDEND 15 SPLIT CORP PFD SHS 706 7,140.17 9
DGC DETOUR GOLD CORP COM 93,914 1,191,107.08 328
DGR WISDOMTREE U.S. QUALITY DIVIDE 96 2,376.56 2
DGRC WISDOMTREE CANADA QUALITY DIV 747 20,601.70 14
DGS DIVIDEND GROWTH SPLIT CORP CL 1,033 5,097.38 13
DGS.PR.A DIVIDEND GROWTH SPLIT CORP PFD 3,824 38,278.94 4
DHX DHX MEDIA LTD COM AND VAR VTG 3,384 6,276.42 23
DIAM STAR DIAMOND CORP COM 1,115 238.15 4
DII.B DOREL INDUSTRIES INC CL B SUB 16,635 180,631.59 48
DIR.UN DREAM INDUSTRIAL REIT UNITS 13,829 159,605.54 63
DIV DIVERSIFIED ROYALTY CORP COM 5,846 18,272.73 24
DIVS EVOLVE ACTIVE CANADIAN PFD SHA 8,152 135,365.26 8
DIXI.U DIXIE BRANDS ORD SHS AT XCNQ 4,599 3,430.18 16
DLI DESERT LION ENERGY INC COM 275 28.875 1
DLR HORIZON US DOLLAR CURRENCY ETF 94,334 1,291,274.31 185
DLR.U HORIZON U.S. DOLLAR CURRENCY E 78,858 797,783.62 42
DLRY DELREY METALS ORD SHS AT XCNQ 1,951 262.66 9
DLS DEALNET CAPITAL CORP COM 428,364 25,701.84 28
DM DATAMETREX AI LTD COM 500,000 15,000 7
DML DENISON MINES CORP COM 29,975 20,924.90 14
DNG DYNACOR GOLD MINES INC COM 261 442.7 3
DOL DOLLARAMA INC COM 88,777 3,764,041.42 567
DOO BRP INC SUB VTG SHS COM 206,223 8,263,668.16 498
DPM DUNDEE PRECIOUS METALS INC COM 17,514 64,663.71 131
DQI WISDOMTREE INTL QUALITY DIV GR 76 1,723.68 2
DR MEDICAL FACILITIES CORP COM 21,769 263,673.76 196
DRA.UN DREAM HARD ASSET ALTERNATIVES 6,670 48,690.90 23
DRG.UN DREAM GLOBAL REIT UNITS 37,384 505,939.88 225
DRM DREAM UNLIMITED CORP CL A SUB 11,221 80,882.53 43
DRM.PR.A DREAM UNLIMITED CORP FIRST PRE 85 632.4 1
DRT DIRTT ENVIRONMENTAL SOLUTIONS 25,010 188,490.75 90
DSG DESCARTES SYSTEMS GROUP INC CO 24,028 1,302,809.10 148
DSV DISCOVERY METALS CORP COM 340 76.5 1
DVA DELIVRA CORP COM 300 139.5 1
DWS DIAMOND ESTATES WINES & SPIRIT 697 107.05 2
DXB DYNAMIC ISHARES ACTIVE TACTICA 224 4,634.85 4
DXG DYNAMIC ISHARES ACTIVE GLOBAL 3,906 125,741.96 28
DXO DYNAMIC ISHARES ACTIVE CROSSOV 11 221.43 1
DXP DYNAMIC ISHARES ACTIVE PREFERR 13,498 249,761.85 42
DXU DYNAMIC ISHARES ACTIVE U.S. DI 119 3,837.34 4
DYME DIONYMED BRANDS ORD SHS AT XCN 23,389 48,009.19 53
E ENTERPRISE GROUP INC COM 500 90 1
EAM EAST AFRICA METALS INC COM 500 127.5 1
EARN EVOLVE ACTIVE GLOBAL FIXED INC 3,900 196,833 1
EAS EAST ASIA MINERALS CORP COM 300 18 1
EAST EASTWEST BIOSCIENCE INC COM 1,550 134.25 2
EASY SPEAKEASY CANNABIS CLUB ORD SH 300 264 1
EAT NUTRITIONAL HIGH INTERNATIONAL 135,554 28,338.20 20
EAU ENGINEER GOLD MINES LTD COM 10 1.05 1
EBM EASTWOOD BIO-MEDICAL CANADA IN 1,090 3,589.70 2
ECA ENCANA CORP COM 735,132 5,290,453.44 1,103
ECC ETHOS GOLD CORP COM 200 40 1
ECN ECN CAPITAL CORP COM 34,687 146,399.69 115
ECN.PR.C ECN CAPITAL CORP 6.25% PFD CUM 600 12,756 2
ECO ECOSYNTHETIX INC COM 500 1,252 5
ECS ECOBALT SOLUTIONS INC COM 30 8.4 1
EDR ENDEAVOUR SILVER CORP COM 27,220 65,510.97 56
EDT SPECTRAL MEDICAL INC COM 597 219.64 2
EDV ENDEAVOUR MINING CORP COM 36,451 741,969.06 291
EF.UN EUROPEAN FOCUSED DIVIDEND FUND 1,600 12,496 3
EFH ECHELON FINANCIAL HOLDINGS INC 342 4,682.94 3
EFL ELECTROVAYA INC 200 50 1
EFN ELEMENT FLEET MANAGEMENT CORP 331,112 3,216,445.10 533
EFN.PR.A ELEMENT FLEET MANAGEMENT CORP 1,100 24,355 3
EFN.PR.C ELEMENT FLEET MANAGEMENT CORP 2,700 58,221 4
EFN.PR.E ELEMENT FLEET MANAGEMENT CORP 5,400 112,300 7
EFN.PR.G ELEMENT FLEET MANAGEMENT CORP 1,200 26,886 3
EFN.PR.I ELEMENT FLEET MANAGEMENT CORP 3,400 69,581.50 8
EFR ENERGY FUELS INC COM 10,404 36,878.14 67
EFR.WT ENERGY FUELS INC COM SH PURCH 1,500 2,370 1
EFX ENERFLEX LTD COM 24,184 394,868.70 130
EGL EAGLE ENERGY INC COM 5,138 283.4 7
EGLX ENTHUSIAST GAMING HOLDINGS INC 129,401 218,219.91 227
EGT EGUANA TECHNOLOGIES INC COM 804 113.54 3
EIF EXCHANGE INCOME CORP COM 8,791 317,711.60 61
EIL EMPIRE INDUSTRIES LTD COM 2,000 970 1
EIT.PR.A CANOE EIT INCOME FUND 4.80% PF 1,100 27,536 4
EIT.PR.B CANOE EIT INCOME FUND 4.80% CU 31 773.76 1
EIT.UN CANOE EIT INCOME FUND TRUST UN 7,018 74,639.15 51
EKG CARDIOCOMM SOLUTIONS INC COM 56,744 3,120.92 2
EL ENGAGEMENT LABS INC COM 500 30 1
ELD ELDORADO GOLD CORP COM 11,963 59,907.14 66
ELF.PR.F E-L FINL CORP LTD CANADA PFD 1 830 20,068.30 4
ELF.PR.H E-L FINANCIAL CORP LTD FIRST P 600 14,982 2
ELV INVESCO S&P EMERGING MARKETS L 851 16,679.18 3
ELY ELY GOLD ROYALTIES INC COM 33 6.105 1
EMA EMERA INC COM 104,648 5,424,110.13 651
EMA.PR.C EMERA INC 1ST PFD CUM RATE RES 2,350 45,979 11
EMA.PR.E EMERA INC CUM RED 1ST PFD SHS 50 1,019 1
EMA.PR.F EMERA INC 1ST PFD CUM RATE RES 3,500 63,007 21
EMA.PR.H EMERA INC CUM MIN RATE RESET F 733 17,182.38 6
EMH EMERALD HEALTH THERAPEUTICS IN 46,460 168,420.28 83
EML.PR.A THE EMPIRE LIFE INSURANCE CO P 4,800 123,956 9
EMM GIYANI METALS CORP COM 500 50 1
EMP.A EMPIRE LTD CL A COM 73,833 2,295,985.42 381
EMX EMX ROYALTY CORP COM 50 85 1
ENB ENBRIDGE INC COM 178,586 8,822,971.67 1,432
ENB.PF.A ENBRIDGE INC CUM RED PFD SHS S 6,850 112,138.50 13
ENB.PF.C ENBRIDGE INC CUM RED PFD SHS S 2,340 37,845.50 5
ENB.PF.E ENBRIDGE INC CUM RED PFD SHS S 605 9,807 4
ENB.PF.G ENBRIDGE INC CUM RED PFD SHS S 3,700 60,436 8
ENB.PF.I ENBRIDGE INC CUM RED MIN RATE 3,416 83,713.16 12
ENB.PF.K ENBRIDGE INC CUM RED MIN RATE 2,690 57,979.70 5
ENB.PF.U ENBRIDGE INC PFD CUM RED SER L 1,350 25,739.50 6
ENB.PF.V ENBRIDGE INC CUM RED PFD SHS S 455 8,894.50 5
ENB.PR.A ENBRIDGE INC PFD SER A 5.5% 615 14,801.25 3
ENB.PR.B ENBRIDGE INC PFD CUM RED SER B 2,370 34,787.30 9
ENB.PR.D ENBRIDGE INC PFD CUM RED SER D 7,603 122,726.11 33
ENB.PR.F ENBRIDGE INC PFD CUM RED SER F 3,654 62,674.30 23
ENB.PR.H ENBRIDGE INC PFD CUM RED SER H 3,735 58,124.10 14
ENB.PR.J ENBRIDGE INC CUM RED PFD SHS S 2,100 34,845 5
ENB.PR.N ENBRIDGE INC CUM RED PFD SHS S 6,984 126,278.76 13
ENB.PR.P ENBRIDGE INC PFD CUM RED SER P 6,325 103,609.75 18
ENB.PR.T ENBRIDGE INC CUM REDM PFD SHS 1,168 18,286.66 6
ENB.PR.U ENBRIDGE INC PFD CUM RED SER J 4,315 82,090.40 6
ENB.PR.V ENBRIDGE INC CUM RED PFD SHS S 710 15,042 4
ENB.PR.Y ENBRIDGE INC CUM RED PFD SHS S 1,013 15,102.81 6
ENGH ENGHOUSE SYSTEMS LTD COM 5,742 194,006.48 56
ENS E SPLIT CORP COM CL A 155 2,320 4
ENS.PR.A E SPLIT CORP PFD SHS 100 1,009 1
ENW ENWAVE CORP COM 8,341 19,694.26 17
ENW.WT ENWAVE CORPORATION WTS EX 11/1 800 1,048 1
EOG ECO ATLANTIC OIL & GAS LTD COM 158 242.3 4
EPIC LEVIATHAN CANNABIS GROUP ORD S 2,900 1,259.50 2
EQB EQUITABLE GROUP INC COM 9,852 662,339.41 79
EQB.PR.C EQUITABLE GROUP INC NON-CUM 5Y 400 9,944 1
EQL INVESCO S&P 500 EQUAL WEIGHT I 4,881 102,154.50 3
EQL.F INVESCO S&P 500 EQUAL WEIGHT I 152 2,947.82 3
EQX EQUINOX GOLD CORP COM CL A 84,495 96,685.13 67
ER EASTMAIN RESOURCES INC COM 53,800 5,387.75 6
ERD ERDENE RESOURCE DEVELOPMENT CO 24,500 4,900 3
ERE.UN EUROPEAN RESIDENTIAL REIT UNIT 2,791 12,005.79 13
ERF ENERPLUS CORP COM 175,524 1,741,807.77 559
ERO ERO COPPER CORP COM 59,994 982,810.71 187
ERTH EARTHRENEW ORD SHS AT XCNQ 876,000 35,140 11
ESI ENSIGN ENERGY SERVICES INC COM 39,953 204,572.11 128
ESM EURO SUN MINING INC COM 1,910 790.6 13
ESN ESSENTIAL ENERGY SERVICES LTD 950 293 3
ET EVERTZ TECHNOLOGIES LTD COM 691 11,884.35 10
ETG ENTREE RESOURCES LTD COM 26,000 10,010 1
ETHC ETHER CAPITAL ORD SHS AT NEOE 3,000 1,560 1
ETI ENVIROLEACH TECHNOLOGIES ORD S 1,758 1,547.20 3
ETMC E3 METALS CORP COM 300 126 1
EU ENCORE ENERGY CORP COM 300 40.5 1
EUR FIRST TRUST ALPHADEX EUR DIV I 73 1,542.49 1
EVE EVE & CO INC COM 2,427 971.02 10
EVX EUROPEAN ELECTRIC METALS INC C 962 43.29 1
EXE EXTENDICARE INC COM 27,325 223,526.07 146
EXF EXFO INC COM 313 1,776.62 5
EXN EXCELLON RESOURCES INC COM 1,020 741.7 3
EYC EYECARROT INNOVATIONS CORP COM 1,960 90.7 4
FAF FIRE & FLOWER HOLDINGS CORP CO 5,540 6,651.10 6
FAH.U FAIRFAX AFRICA HOLDINGS CORP S 34 287.85 2
FAI CI FIRST ASSET ACTIVE UTILITY 50 551 1
FAO CI FIRST ASSET ACTIVE CREDIT E 100 941 1
FAP ABERDEEN ASIA-PACIFIC INCOME I 933 3,373.52 10
FBU CI FIRST ASSET U.S. BUYBACK IN 40 1,076.40 1
FC FIRM CAPITAL MORTGAGE INVESTME 1,318 17,751.71 7
FC.DB.F FIRM CAPITAL MORTGAGE 5.50 PCT 12,000 12,001.20 7
FCA.U FIRM CAPITAL AMERICAN REALTY P 17 120.7 1
FCC FIRST COBALT CORP COM 110,638 17,862.77 6
FCCD FIDELITY CANADIAN HIGH DIVIDEN 300 7,701 3
FCD.UN FIRM CAPITAL PROPERTY TRUST UN 800 4,968 1
FCID FIDELITY INTERNATIONAL HIGH DI 76 1,831.60 1
FCLH FIDELITY US LOW VOLATILITY CUR 70 1,926.40 1
FCR FIRST CAPITAL REALTY INC COM 78,748 1,635,574.88 373
FCRR FIDELITY US DIVIDEND FOR RISIN 138 3,320.61 3
FCS.UN FAIRCOURT SPLIT TRUST UNITS AT 100 566 1
FCU FISSION URANIUM CORP COM 6,393 3,074.29 13
FCUD FIDELITY US HIGH DIVIDEND INDE 6,800 162,112 1
FCUQ FIDELITY U.S. HIGH QUALITY IND 74 2,008.36 1
FDM FANDOM SPORTS MEDIA ORD SHS AT 813 68.17 2
FEC FRONTERA ENERGY CORP COM 5,049 68,279.37 42
FF FIRST MINING GOLD CORP COM 83,631 21,583.31 15
FFH FAIRFAX FINANCIAL HLDGS LTD CO 11,422 7,094,198.12 126
FFH.PR.C FAIRFAX FINANCIAL HLDGS LTD PF 3,320 58,310.40 6
FFH.PR.D FAIRFAX FINANCIAL HLDGS LTD PF 1,800 31,464 2
FFH.PR.E FAIRFAX FINANCIAL HLDGS LTD PF 590 8,384.80 3
FFH.PR.G FAIRFAX FINANCIAL HLDGS LTD PF 3,760 57,132.45 7
FFH.PR.H FAIRFAX FINANCIAL HLDGS LTD PF 300 4,647 1
FFH.PR.I FAIRFAX FINANCIAL HLDGS LTD PF 4,603 74,334.40 11
FFH.PR.K FAIRFAX FINANCIAL HLDGS LTD PF 1,525 29,221.25 5
FFH.PR.M FAIRFAX FINANCIAL HLDGS LTD PF 925 20,064.25 5
FFI.UN FLAHERTY & CRUMRINE INVESTMENT 900 10,701 1
FFN NORTH AMERICAN FINANCIAL 15 SP 3,827 23,348.07 24
FFN.PR.A NORTH AMERICAN FINANCIAL 15 SP 949 9,517.47 10
FFT FUTURE FARM TECHNOLOGIES ORD S 1,230 153.015 6
FGE FORTRESS GLOBAL ENTERPRISES IN 16,847 7,922.34 3
FGO CI FIRST ASSET ENHANCED GOVERN 24,276 254,165.88 10
FGO.U CI FIRST ASSET ENHANCED GOVERN 70 735 1
FHG FIRST TRUST ALPHADEX US INDUST 33 931.26 1
FHQ FIRST TRUST ALPHADEX US TECHNO 4,154 169,107.61 4
FIE ISHARES CANADIAN FINANCIAL MON 46,151 313,044.57 83
FIG CI FIRST ASSET INVESTMENT GRAD 25,146 276,815.04 20
FIH.U FAIRFAX INDIA HOLDINGS CORP SU 4,037 55,862.37 15
FIRE THE SUPREME CANNABIS CO INC CO 56,634 91,657.65 86
FL FRONTIER LITHIUM INC COM 400 137 2
FLEM FRANKLIN LIBERTYQT EMERGING MA 110 2,014.60 3
FLGA FRANKLIN LIBERTY GLOBAL AGGREG 100 2,061 1
FLI CI FIRST ASSET U.S. & CANADA L 1,205 13,410.50 7
FLOT PURPOSE FLOATING RATE INCOME F 67 580.89 1
FLWR THE FLOWR CORP COM 8,715 60,220.50 53
FLY FLYHT AEROSPACE SOLUTIONS LTD 95 148.65 2
FM FIRST QUANTUM MINERALS LTD COM 965,173 9,530,599.38 2,280
FMN FIDELITY MINERALS CORP COM 500 25 1
FMS FOCUS GRAPHITE INC COM 1,180 38.9 3
FN FIRST NATIONAL FINANCIAL CORP 3,152 95,780.01 23
FN.PR.B FIRST NATIONAL FINANCIAL CORP 700 9,366 4
FNC FANCAMP EXPLORATION LTD COM 850 91 2
FNV FRANCO NEVADA CORP COM 61,092 6,384,583.96 575
FO FALCON OIL & GAS LTD COM 685 168.15 2
FOM FORAN MINING CORP COM 500 147.5 1
FONE FLOWER ONE HOLDINGS ORD SHS AT 78,119 210,618.38 80
FONE.DB FLOWER ONE HOLDINGS 9.5 UNSECU 1,000 1,060.10 1
FONE.WT FLOWER ONE HOLDINGS EQUITY WAR 8,000 7,080 3
FOOD GOODFOOD MARKET CORP COM 493 1,327.50 7
FORK METAVERSE CAPITAL ORD SHS AT X 1,434,865 46,715.58 39
FPC FALCO RESOURCES LTD COM 450 99 1
FPR CI FIRST ASSET PREFERRED SHARE 65 1,299.55 2
FR FIRST MAJESTIC SILVER CORP COM 22,850 186,187.54 154
FRII FRESHII INC SUB VOT SHS COM CL 29 64.4 3
FRO.UN FRONSAC REAL ESTATE INVESTMENT 436 265.96 1
FRU FREEHOLD ROYALTIES LTD COM 20,718 167,232.33 65
FSB CI FIRST ASSET ENHANCED SHORT 6,729 66,681.22 18
FSL FIRST TRUST SENIOR LOAN ETF CA 27 500.94 2
FST FIRST TRUST CANADIAN CAPITAL S 97 3,192.79 2
FSV FIRSTSERVICE CORP COM 4,845 591,002.20 74
FSZ FIERA CAPITAL CORP CL A SUB VT 27,645 320,601.90 48
FTN FINANCIAL 15 SPLIT CORP CL A C 14,504 100,714.66 92
FTN.PR.A FINANCIAL 15 SPLIT CORP PFD 5. 217 2,143.46 4
FTS FORTIS INC COM 121,168 6,168,294.83 1,065
FTS.PR.F FORTIS INC PREF 1ST CUM RED SE 2,800 62,558 2
FTS.PR.G FORTIS INC PREF 1ST CUM RED SE 8,229 148,308.98 32
FTS.PR.H FORTIS INC PREF 1ST CUM RED 5 911 11,736.61 6
FTS.PR.J FORTIS INC CUM RED FIRST PFD S 1,410 30,244.90 5
FTS.PR.K FORTIS INC CUM RED FIXED RATE 820 13,404.80 7
FTS.PR.M FORTIS INC PREF 1ST CUM RED FI 7,659 130,735.13 16
FTT FINNING INTERNATIONAL INC COM 141,129 3,040,216.68 445
FUU FISSION 3.0 CORP COM 675 54 1
FVAN FIRST VANADIUM CORP COM 500 190 1
FVI FORTUNA SILVER MINES INC COM 180,623 604,420.56 406
FW FLOW CAPITAL CORP COM 7,980 1,030.74 4
FXM CI FIRST ASSET MORNINGSTAR CAN 230 3,183.83 4
GABY GABRIELLAS KITCHEN ORD SHS AT 12,500 4,103.75 3
GAME MILLENNIAL ESPORTS CORP COM 400 20 1
GBLC GRAPH BLOCKCHAIN INC ORD SHS A 100 3 1
GBR GREAT BEAR RESOURCES LTD COM 10,592 41,309.50 16
GBU GABRIEL RESOURCES LTD COM 40,500 16,022.50 2
GC GREAT CANADIAN GAMING CORP COM 8,629 364,339.16 100
GCG.A GUARDIAN CAPITAL GROUP LTD CL 6,100 143,790 4
GCL COLABOR GROUP INC COM 2,500 1,972.50 3
GCM GRAN COLOMBIA GOLD CORP COM 195 688.64 6
GCM.WT.B GRAN COLOMBIA GOLD CORP WT EX 2,000 3,720 1
GDC GENESIS LAND DEVELOPMENT CORP 200 528 1
GDG.UN GLOBAL DIVIDEND GROWERS INCOME 98 1,225 1
GDI GDI INTEGRATED FACILITY SERVIC 606 16,799.05 9
GDV GLOBAL DIVIDEND GROWTH SPLIT C 88 902.88 1
GEC.UN GLOBAL REAL ESTATE & E-COMMERC 7,800 77,882 8
GEI GIBSON ENERGY INC COM 20,482 449,848.36 180
GEMC GLOBAL ENERGY METALS CORP COM 333 23.31 1
GEN GENENEWS LTD COM 106,100 9,036 105
GENE INVICTUS MD STRATEGIES CORP CO 15,983 6,862.53 27
GEO GEODRILL LTD ORD SHS 100 131 1
GFI GRAVITAS FINANCIAL ORD SHS AT 200,000 2,000 1
GGAM.U GLOBAL GAMING TECHNOLOGIES ORD 890 52.95 2
GGB GREEN GROWTH BRANDS ORD SHS AT 42,117 149,888.41 53
GGD GOGOLD RESOURCES INC COM 8,567 3,286.85 5
GGG GRAPHENE 3D LAB INC COM 2,528 201.93 4
GGI GARIBALDI RESOURCE CORP COM 6,303 5,781.71 7
GGM GRANADA GOLD MINE INC COM 725 71.25 2
GGX GGX GOLD CORP COM 111 8.325 1
GH GAMEHOST INC COM 3,450 33,464.50 6
GHG GLOBAL HEMP GROUP ORD SHS AT X 2,160 124.6 4
GIB.A CGI INC COM 43,874 4,323,773.16 341
GIGA GIGA METALS CORP COM 453 86.07 2
GIL GILDAN ACTIVEWEAR INC COM 38,433 1,875,016.85 317
GIT GITENNES EXPLORATION INC COM 52,000 1,560 1
GLH GOLDEN LEAF HOLDINGS ORD SHS A 51,599 5,164.78 10
GLO GLOBAL ATOMIC CORP COM 696 316.59 3
GLXY GALAXY DIGITAL HOLDINGS LTD OR 3,654 8,003.22 27
GMA GEOMEGA RESOURCES INC COM 75,300 13,027.50 3
GMP GMP CAPITAL INC COM 11,005 22,009.92 7
GMP.PR.B GMP CAPITAL INC PFD CUM 5YR RA 400 4,210 1
GNC GAINEY CAP CORP COM 100 10 1
GOLD GOLDMINING INC COM 156 141.37 4
GOM GOLDEN DAWN MINERALS INC COM 750 33.75 1
GOOD GOOD LIFE NETWORKS INC COM 1,000 242.5 2
GOOS CANADA GOOSE HOLDINGS INC SUB 63,270 2,947,319.80 680
GPLY GOLDPLAY EXPLORATION LTD COM 778 112.81 2
GPR GREAT PANTHER MINING LTD COM 65,375 59,388.36 49
GPS BSM TECHNOLOGIES INC COM 2,005 2,796.95 3
GPY GOLDEN PREDATOR MINING CORP CO 100 19 1
GR GREAT ATLANTIC RESOURCES CORP 300,000 15,300 6
GRA NANOXPLORE INC COM 12,246 14,329.28 4
GRB GREENBRIAR CAPITAL CORP COM 300 267 1
GRG GOLDEN ARROW RESOURCES CORP CO 994 220.68 3
GROW CO2 GRO INC COM 812 347.96 4
GRT.UN GRANITE REAL ESTATE INVESTMENT 21,085 1,275,769.18 187
GRZ GOLD RESERVE INC CL A COM 5 17.25 1
GS GLUSKIN SHEFF ASSOCIATES INC C 20,725 294,967.80 107
GSC GOLDEN STAR RESOURCES LTD COM 100 465.5 1
GSI GATEKEEPER SYSTEMS INC COM 80,000 7,200 1
GSV GOLD STANDARD VENTURES CORP CO 20,010 28,528.30 6
GSY GOEASY LTD COM 15,464 753,281.74 61
GTE GRAN TIERRA ENERGY INC COM 15,283 40,356.24 61
GTEC GTEC HOLDINGS LTD COM 49,257 28,192.77 35
GTII GREEN THUMB INDUSTRIES INC ORD 114,728 1,746,622.39 328
GTMS GREENBROOK TMS INC COM 100 327 1
GTR GATLING EXPLORATION INC COM 214 72.76 1
GTT GT GOLD CORP COM 750 672 2
GUD KNIGHT THERAPEUTICS INC COM 15,180 113,643.16 65
GUG GUNGNIR RESOURCES INC COM 100 6 1
GUY GUYANA GOLDFIELDS INC COM 201,140 180,271.62 256
GWA GOWEST GOLD LTD COM 60,000 1,500 11
GWO GREAT WEST LIFECO INC COM 78,672 2,414,849.15 334
GWO.PR.F GREAT WEST LIFECO INC 12 304.32 1
GWO.PR.G GREAT WEST LIFECO INC PFD 1ST 2,100 49,191 7
GWO.PR.H GREAT WEST LIFECO INC PFD 1ST 4,060 89,934 8
GWO.PR.I GREAT WEST LIFECO INC 4.5% PFD 760 15,839.90 4
GWO.PR.L GREAT WEST LIFECO INC PFD 1ST 1,900 47,209.50 2
GWO.PR.M GREAT WEST LIFECO INC PFD 1ST 700 17,727.50 6
GWO.PR.N GREAT WEST LIFECO INC PFD 1ST 615 8,936.10 4
GWO.PR.P GREAT WEST LIFECO INC PFD 1ST 2,450 59,886.50 4
GWO.PR.Q GREAT WEST LIFECO INC PFD 1ST 1,400 32,625 3
GWO.PR.R GREAT WEST LIFECO INC PFD 1ST 2,683 59,845.17 13
GWO.PR.S GREAT WEST LIFECO INC PFD 1ST 1,600 37,952 6
GWO.PR.T GREAT WEST LIFECO INC 5.15% FS 2,125 49,530.25 6
GXE GEAR ENERGY LTD COM 580 336.73 4
GXO GRANITE OIL CORP COM 100 73 1
GXS GOLDSOURCE MINES INC COM 3,542 498.81 8
GXU GOVIEX URANIUM INC COM CL A 750 126.25 3
H HYDRO ONE LTD COM 47,607 1,089,930.68 405
HAB HORIZONS ACTIVE CORPORATE BOND 10,162 110,939.15 20
HAC HORIZONS SEASONAL ROTATION CL 258 5,543.38 6
HAD HORIZONS ACTIVE CDN BOND CL E 184 1,884.90 3
HAL HORIZONS ACTIVE CDN DIVIDEND E 7 116.48 1
HALO HALO LABS ORD SHS AT NEOE 800 517 5
HARV HARVEST HEALTH & RECREATION OR 113,676 1,037,575.96 516
HAZ HORIZONS ACTIVE GLOBAL DIVIDEN 770 16,783.20 3
HBB HORIZONS CDN SELECT UNIVERSE B 4,538 215,581.90 8
HBC HUDSONS BAY CO COM 5,506 35,803.33 58
HBF HARVEST BRAND LEADERS PLUS INC 154 1,372.12 4
HBF.U HARVEST BRAND LEADERS PLUS INC 30 278.7 1
HBG HAMILTON CAPITAL GLOBAL BANK C 90 1,757.70 1
HBLK BLOCKCHAIN TECHNOLOGIES ETF CL 150 992 2
HBM HUDBAY MINERALS INC COM 90,746 598,712.40 444
HBU BETAPRO GOLD BULLION 2X DAILY 20,300 154,797 5
HC HIGH HAMPTON HOLDINGS CORP ORD 420 113.4 1
HCG HOME CAPITAL GROUP INC COM 19,707 351,725.43 172
HCN HORIZONS CHINA HIGH DIV YIELD 117 2,868.68 4
HDI HARDWOODS DISTRIBUTION INC COM 554 6,530.74 6
HED BETAPRO S&P TSX CAPPED ENERGY 160 1,938.80 3
HEE HORIZONS ENHANCED INCOME ENERG 210 1,650.10 3
HEJ HORIZONS ENHANCED INCOME INTER 200 1,114 1
HEMP HEMPCO FOOD AND FIBER INC COM 3,370 2,962.41 14
HEP HORIZONS ENHANCED INCOME GOLD 368 8,724.32 6
HEU BETAPRO S&P TSX CAPPED ENERGY 16,200 81,061.50 7
HEXO HEXO CORP COM 94,248 823,783.17 487
HEXO.WT HEXO CORP COM WTS EX 01/30/20 2,700 10,292 7
HFA HAMILTON CAPITAL AUSTRALIAN FI 115 1,975.15 3
HFD BETAPRO S&P TSX CAPPED FINANCI 122 603.9 3
HFMU HAMILTON CAPITAL US MID CAP FI 5 101.1 1
HFMU.U HAMILTON CAPITAL U S MID CAP F 180 2,694.47 5
HFP HORIZONS ACTIVE FLTG RATE PFD 7,561 59,580.68 2
HFR HORIZONS ACTIVE FLOATING RATE 17,865 179,459.75 39
HFU BETAPRO S&P TSX CAPPED FINANCI 116 4,388.27 3
HFY HAMILTON CAPITAL GLOBAL FINANC 11,619 178,811.11 9
HGD BETAPRO CANADIAN GOLD MINERS 2 42,200 332,782.55 47
HGP HERITAGE GLOBAL ORD SHS AT XCN 1,500 1,140 1
HGU BETAPRO CANADIAN GOLD MINERS 2 57,814 605,386.41 133
HGY HORIZONS GOLD YIELD ETF UNIT C 1,025 4,735 2
HHF HORIZONS MORNINGSTAR HEDGE FUN 103 1,418.95 2
HHL HARVEST HEALTHCARE LEADERS INC 806 5,846.98 16
HHL.U HARVEST HEALTHCARE LEADERS INC 5,100 37,332 1
HITI HIGH TIDE ORD SHS AT XCNQ 878 328.66 6
HIU BETAPRO S&P 500 DAILY INVERSE 433 11,560.78 7
HIVE HIVE BLOCKCHAIN TECHNOLOGIES L 167,554 92,520.79 48
HIX BETAPRO S&P TSX 60 DAILY INVER 5,279 31,201.60 8
HLF HIGH LINER FOODS INC COM 14,945 124,061.86 78
HLS HLS THERAPEUTICS INC COM 100 1,597 1
HME HEMISPHERE ENERGY CORP COM 1,050 153.75 5
HMI HINTERLAND METALS INC COM 100 15 1
HMJR HORIZONS EMERGING MARIJUANA GR 1,050 6,932.50 2
HMMJ HORIZONS MARIJUANA LIFE SCIENC 5,175 96,827.91 100
HMP HORIZONS ACTIVE CDN MUNICIPAL 227 2,249.65 4
HMUS HORIZONS US MARIJUANA INDEX ET 235 1,924.45 3
HND BETAPRO NATURAL GAS 2X DAILY B 106,845 846,556.11 67
HNL HORIZON NORTH LOGISTICS INC CO 723 1,371.64 13
HNU BETAPRO NATURAL GAS 2X DAILY B 85,951 980,699.67 198
HOD BETAPRO CRUDE OIL 2X DAILY BEA 918,152 5,540,385.20 257
HOM.U BSR REIT UNITS 321 3,252.45 5
HOT.U AMERICAN HOTEL INCOME PROPERTI 1,400 7,419 5
HOT.UN AMERICAN HOTEL INCOME PROPERTI 24,074 162,953 153
HOU BETAPRO CRUDE OIL 2X DAILY BUL 1,189,301 6,849,443.34 535
HPF HARVEST ENERGY LEADERS PLUS IN 303 1,226.43 5
HPR HORIZONS ACTIVE PREFERRED SHAR 138,596 1,100,424.49 76
HPS.A HAMMOND POWER SOLUTIONS INC CL 759 6,066 3
HQD BETAPRO NASDAQ 100 2X DAILY BE 478,770 2,990,952.32 98
HQU BETAPRO NASDAQ 100 2X DAILY BU 4,703 289,229.40 19
HR.UN H&R REIT UNITS 51,709 1,178,583.48 337
HRA HORIZONS GLOBAL RISK PARITY ET 35 361.2 1
HRT HARTE GOLD CORP COM 151,490 42,413.93 8
HRX HEROUX-DEVTEK INC COM 15,949 269,452.52 82
HS HEALTHSPACE DATA SYSTEMS ORD S 70,000 2,800 4
HSD BETAPRO S&P 500 2X DAILY BEAR 11,883 181,557.46 30
HSE HUSKY ENERGY INC COM 211,451 2,696,327.76 906
HSE.PR.A HUSKY ENERGY INC PFD CUM RED 5 3,487 43,381.60 8
HSE.PR.B HUSKY ENERGY INC PFD CUM RED R 500 6,510 1
HSE.PR.C HUSKY ENERGY INC 4.5% PFD CUM 1,200 21,455.50 5
HSE.PR.E HUSKY ENERGY INC CUM RED PFD S 1,125 22,105.25 6
HSE.PR.G HUSKY ENERGY INC CUM RED PFD S 4,650 91,033.50 13
HSH HORIZONS S&P 500 CAD HED INDEX 65 4,310.80 1
HSM HELIUS MEDICAL TECHNOLOGIES IN 232 813.24 3
HSU BETAPRO S&P 500 2X DAILY BULL 713 36,603.34 14
HTA HARVEST TECH ACHIEVERS GROWTH 105 1,042.65 2
HTB.U HORIZONS US 7-10 YEAR TREASURY 900 38,883 2
HUD HUDSON RESOURCES INC COM 6,200 2,460.50 4
HUG HORIZONS GOLD ETF 20,030 230,643.50 3
HUGE FSD PHARMA SUBORDINATE VOTING 116,654 23,273.63 40
HUT HUT 8 MINING CORP COM 1,182 2,813.66 7
HUTL HARVEST EQUAL WEIGHT GLOBAL UT 58 1,209.30 1
HUV BETAPRO S&P 500 VIX SHORT TERM 17,883 95,411.73 30
HUZ HORIZONS SILVER ETF 6,710 51,734.10 2
HVT HARVEST ONE CANNABIS INC COM 6,069 4,593.57 31
HWO HIGH ARCTIC ENERGY SERVICES IN 270 925.96 5
HXD BETAPRO S&P TSX 60 2X DAILY BE 3,304 17,316.57 40
HXDM HORIZONS INTL DEVELOPED MARKET 98 3,189.29 4
HXE HORIZONS S&P/TSX CAPPED ENERGY 11 175.06 2
HXH HORIZONS CDN HIGH DIVIDEND IND 325 10,314.75 2
HXQ HORIZONS NASDAQ-100 INDEX ETF 91 4,929.80 2
HXS HORIZONS S&P 500 INDEX ETF CLA 968 69,337.22 30
HXS.U HORIZONS S&P 500 INDEX ETF CLA 30 1,582.20 1
HXT HORIZONS S&P / TSX 60 UNIT CL 40,860 1,430,143.28 100
HXT.U HORIZONS S&P / TSX 60 UNIT CL 38 984.58 1
HXU BETAPRO S&P TSX 60 2X DAILY BU 5,356 199,890.31 11
HXX HORIZONS EURO STOXX 50 INDEX E 1,447 45,040.33 5
HYG HYDROGENICS CORP COM 1,861 29,308.07 22
HYI HORIZONS ACTIVE HIGH YIELD BON 823 7,801.96 11
HZD BETAPRO SILVER 2X DAILY BEAR E 100 801.5 1
HZU BETAPRO SILVER 2X DAILY BULL E 6,800 63,727.50 8
IAF.PR.B INDUSTRIAL ALLIANCE INSURANCE& 930 20,330.10 2
IAF.PR.G INDUSTRIAL ALNCE INS & FIN SVC 582 12,065.68 2
IAF.PR.I INDUSTRIAL ALNC INS AND FN SRV 800 16,847 2
IAG IA FINANCIAL CORP INC COM 28,229 1,428,174.04 269
IAM INTEGRATED ASSET MANAGEMENT CO 400 1,044 1
IAN IANTHUS CAPITAL ORD SHS AT XCN 83,447 442,590.57 241
IBAT INTERNATIONAL BATTERY METALS L 780 66.3 1
IBG IBI GROUP INC COM 195 1,035.35 3
IBIT INTERBIT LTD COM 1,695 922.67 8
ICAN INTEGRATED CANNABIS COMPANY OR 199 75.62 1
ICO ICO THERAPEUTICS INC COM 1,330 88.45 2
IDG INDIGO BOOKS & MUSIC INC 860 6,192 4
IDK THREED CAPITAL ORD SHS AT XCNQ 1,000 95 1
IFC INTACT FINANCIAL CORP COM 29,980 3,493,713.79 376
IFC.PR.A INTACT FINANCIAL CORP PFD NON 21 315.21 1
IFC.PR.C INTACT FINANCIAL CORP NON-CUM 561 10,114.08 4
IFC.PR.E INTACT FINANCIALCORP PFD NON C 1,190 28,666 3
IFC.PR.F INTACT FINANCIAL CORP PFD NON 1,664 40,009.18 12
IFC.PR.G INTACT FINANCIAL CORP PFD NON- 3,700 74,559.50 6
IFP INTERFOR CORP COM 16,454 190,539.71 129
IGB PURPOSE MANAGED DURATION INVES 155 3,031.80 2
IGCF PIMCO INVESTMENT GRADE CREDIT 262 5,105.98 4
IGM IGM FINANCIAL INC COM 19,346 707,365.49 106
III IMPERIAL METALS CORP COM 1,458 3,845.60 2
IIP.UN INTERRENT REAL ESTATE INVESTM 17,303 243,003.22 97
ILC INTERNATIONAL LITHIUM CORP COM 575 28.75 2
ILV INVESCO S&P INTL DEVELOPED LOW 405 9,647.85 3
IME IMAGIN MEDICAL INC ORD SHS AT 900 63 1
IMG IAMGOLD CORP COM 132,378 444,644.76 186
IMO IMPERIAL OIL LTD COM 89,797 3,244,226.20 818
IMV IMV INC COM 449 2,590.25 6
IN INMED PHARMACEUTICALS INC COM 5,242 2,222.69 20
INC.UN INCOME FINANCIAL TRUST UNIT 78 765.54 2
INDS INDUS HOLDINGS ORD SHS AT XCNQ 10,200 82,515.50 74
INE INNERGEX RENEWABLE ENERGY INC 7,876 110,771.33 62
INE.PR.C INNERGEX RENEWABLE ENERGY INC 400 9,148 2
INO.UN INOVALIS REAL ESTATE INVESTMEN 798 8,093.38 13
INP INPUT CAPITAL CORP COM 443 310.1 1
INSR BMO GLOBAL INSURANCE HEDGED TO 5 111.2 1
IOM ASSURE HOLDINGS CORP COM 1,800 3,132 4
IONC IONIC BRANDS ORD SHS AT XCNQ 2,894 1,278.27 13
IOU IOU FINANCIAL INC COM 644 132.02 2
IP IMAGINATION PARK TECHNOLOGIES 52,300 3,131.50 3
IPA IMMUNOPRECISE ANTIBODIES LTD C 16 11.2 2
IPCI INTELLIPHARMACEUTICS INTERNATI 681 242.67 2
IPCO INTERNATIONAL PETROLEUM CORP C 40,698 236,031.12 16
IPL INTER PIPELINE LTD COM 62,322 1,277,490.57 637
IPLP IPL PLASTICS INC COM 1,381 14,374.30 11
IPT IMPACT SILVER CORP COM 300 81 1
IRV IRVING RESOURCES ORD SHS AT XC 1,011 2,911.02 2
ISH INNER SPIRIT HOLDINGS ORD SHS 28,915 5,652.33 8
ISO ISOENERGY LTD COM 400 208 1
ISOL ISODIOL INTERNATIONAL ORD SHS 18,902 23,931.64 47
ISV INFORMATION SERVICES CORP CL A 300 4,935 1
ITC INTRINSYC TECHNOLOGIES CORP CO 500 570 1
ITP INTERTAPE POLYMER GROUP INC 24,132 445,905.98 144
ITX THE INTERTAIN GROUP LTD COM 66 720.72 1
IVN IVANHOE MINES LTD COM CL A 123,540 400,997.29 255
IVQ.U INVESQUE INC COM 5,520 39,003.58 17
JAG JAGUAR MINING INC COM 1,216 97.085 4
JCO JERICHO OIL CORP COM 1,000 345 1
JE JUST ENERGY GROUP INC COM 95,958 432,670.50 113
JET CANADA JETLINES LTD COM 2,169 974.385 14
JFS.UN JFT STRATEGIES FUND CL A UNIT 100 1,489 1
JG JAPAN GOLD CORP COM 250 66.25 1
JOY JOURNEY ENERGY INC COM 1,400 3,626 1
JTC JEMTEC INC COM 1,500 3,480 3
JUGR JUGGERNAUT EXPLORATION LTD COM 500 40 1
JUJU INTERNATIONAL CANNABRANDS ORD 500 40 1
JWCA JAMES E WAGNER CULTIVATION COR 625 493.75 4
JWEL JAMIESON WELLNESS INC COM 22,687 431,931.04 88
K KINROSS GOLD CORP COM 232,747 1,029,078.78 333
KAT KATANGA MINING LTD ORD SHS 5,000 1,975 6
KBEV KIOS BEVERAGE ORD SHS AT XCNQ 1,251 485.38 4
KBL K-BRO LINEN INC COM 732 28,341 7
KBLT COBALT 27 CAPITAL CORP COM 59,859 230,363.07 253
KEG.UN KEG ROYALTIES INCOME FD 1,204 20,693.48 11
KEL KELT EXPLORATION LTD COM 419,808 1,863,241.74 958
KER KERR MINES INC COM 138 22.08 1
KEW KEW MEDIA GROUP INC VAR VOTG A 1,483 9,619.82 5
KEY KEYERA CORP COM 56,934 1,834,537.98 216
KG KLONDIKE GOLD CORP COM 473 113.52 1
KHRN KHIRON LIFE SCIENCES CORP COM 29,140 72,304.31 214
KL KIRKLAND LAKE GOLD LTD COM 113,974 5,280,730.46 827
KLS KELSO TECHNOLOGIES INC COM 5 9.25 1
KLY KALYTERA THERAPEUTICS INC COM 485,200 21,960 53
KLY.WT.B KALYTERA THERAPEUTICS INC WT E 695,000 10,425 12
KML KINDER MORGAN CANADA LTD REST 40,489 476,083.33 56
KML.PR.A KINDER MORGAN CANADA LTD CUM R 4,683 106,296.39 23
KML.PR.C KINDER MORGAN CANADA LTD CUM R 2,845 63,472.90 21
KMP.UN KILLAM APARTMENT REIT UNITS 28,759 545,411.40 181
KNR KONTROL ENERGY ORD SHS AT XCNQ 3,400 2,860 3
KNT K92 MINING INC COM 83,699 144,363.18 93
KOPR KOPR POINT VENTURES ORD SHS AT 8,000 680 1
KOR CORVUS GOLD INC COM 10,438 20,201.14 6
KPT KP TISSUE INC COM 367 2,979.51 4
KS KLONDIKE SILVER CORP COM 250 8.75 1
KSI KNEAT.COM INC COM 4,700 6,883 4
KWG KWG RESOURCES ORD SHS AT XCNQ 30,000 225 1
KWH.UN CRIUS ENERGY TRUST UNITS 18,869 161,477.27 54
KXS KINAXIS INC COM 13,200 1,033,725.39 126
L LOBLAWS COS LTD COM 29,197 2,023,007.62 339
L.PR.B LOBLAW COS LTD 2ND PFD SER B 300 7,464 2
LABS MEDIPHARM LABS CORP COM 112,747 612,825.82 262
LAC LITHIUM AMERICAS CORP COM 3,096 16,961.58 22
LAM LARAMIDE RESOURCES LTD COM 52 17.42 2
LAS.A LASSONDE INDUSTRIES INC CL A S 795 152,743.00 13
LB LAURENTIAN BANK OF CANADA COM 16,581 701,983.23 182
LB.PR.H LAURENTIAN BANK OF CANADA NON 570 9,364.60 5
LB.PR.J LAURENTIAN BANK OF CANADA NON- 4,650 118,769.50 13
LBS LIFE & BANC SPLIT CORP CL A CO 2,769 19,894.50 17
LBS.PR.A LIFE & BANC SPLIT CORP PFD 5.2 135 1,375.15 2
LBY LIBERTY ONE LITHIUM CORP COM 299 30.4 2
LCS BROMPTON LIFECO SPLIT CORP CL 3,009 12,517.62 4
LCS.PR.A BROMPTON LIFECO SPLIT CORP PFD 2,500 25,225 4
LDS LIFESTYLE DELIVERY SYSTEMS ORD 6,844 2,672.76 10
LEM LEADING EDGE MATERIALS CORP CO 6,484 2,026.20 27
LFE CANADIAN LIFE COS SPLIT CORP C 300 881.5 2
LFE.PR.B CANADIAN LIFE COS SPLIT CORP 6 100 1,018 1
LG LGC CAPITAL LTD COM 580 58 2
LGD LIBERTY GOLD CORP COM 673 238.55 2
LGO LARGO RESOURCES LTD COM 34,996 57,608.05 104
LGT.B LOGISTEC CORP 338 14,219.48 3
LHS LIBERTY HEALTH SCIENCES ORD SH 112,894 84,271.39 108
LIB LIBERTY LEAF HOLDINGS ORD SHS 499 61.74 3
LIF LABRADOR IRON ORE ROYALTY CORP 23,648 740,164.52 234
LIO LION ONE METALS LTD COM 13 9.1 1
LION GLOBAL LI-ION GRAPHITE ORD SHS 325 42.25 1
LIT ARGENTINA LITHIUM & ENERGY COR 500 25 1
LL CANADA RARE EARTH CORP COM 1,108 105.26 2
LLG MASON GRAPHITE INC COM 36,370 13,664.25 9
LLT LITELINK TECHNOLOGIES ORD SHS 190 36.1 1
LM LINGO MEDIA CORP COM 500 76.25 1
LMC LEAGOLD MINING CORP COM 10,687 16,890.83 17
LNB LEXINGTON BIOSCIENCES ORD SHS 2,000 460 4
LNC LITHION ENERGY CORP COM 585 172.5 2
LND INSPIRA FINANCIAL INC COM 500 61.25 1
LNF LEONS FURNITURE LTD COM 1,011 15,567.11 8
LNR LINAMAR CORP COM 20,561 896,362.45 165
LOVE CANNARA BIOTECH ORD SHS AT XCN 34,480 5,537.20 4
LS MIDDLEFIELD HEALTHCARE & LIFE 30 297.6 1
LSPD LIGHTSPEED POS INC SUB VTG SHS 166,876 4,458,628.56 746
LTV LEONOVUS INC COM 102,681 6,682.18 6
LUC LUCARA DIAMOND CORP COM 29,904 45,753.12 93
LUG LUNDIN GOLD INC COM 1,935 10,996.05 11
LUM LUMINA GOLD CORP COM 300 171 1
LUN LUNDIN MINING CORP COM 442,895 2,644,392.91 1,794
LXE LEUCROTTA EXPLORATION INC COM 32,261 27,635.70 10
LYD LYDIAN INTERNATIONAL LTD ORD S 54,325 9,489.38 69
M MOSAIC CAPITAL CORP COM 159 988.45 5
MAG MAG SILVER CORP COM 8,931 117,880.27 73
MAH MARKSMEN ENERGY INC CL A COM 556 25.02 1
MAI MINERA ALAMOS INC COM 3,000 307.5 1
MAL MAGELLAN AEROSPACE CORP COM 3,394 57,533.48 16
MAV MAV BEAUTY BRANDS INC COM 381 2,912.55 2
MAX MIDAS GOLD CORP COM 9,071 5,687.43 14
MAXR MAXAR TECHNOLOGIES INC COM 27,575 252,180.24 168
MBK.UN MANULIFE US REGIONAL BANK TRUS 1,320 14,024.80 3
MBX MICROBIX BIOSYSTEMS INC 400 136 1
MCB MCCOY GLOBAL INC COM 4,400 2,952 2
MCLD UNIVERSAL MCLOUD CORP COM 1,341 529.36 5
MCR MACRO ENTERPRISES INC COM 80 331.2 1
MD MIDLAND EXPLORATION INC COM 5,900 5,352 6
MDF MEDIAGRIF INTERACTIVE TECHNOLO 100 957 1
MDI MAJOR DRILLING GROUP INTL INC 807 3,388.04 9
MDP MEDEXUS PHARMACEUTICALS INC CO 1,360 6,746.39 6
MDX MEDX HEALTH CORP COM 25,541 3,448.04 2
ME MONETA PORCUPINE MINES INC COM 51,500 6,567.50 2
MEE MACKENZIE MAXIMUM DIV EMERG MA 225 5,247.66 3
MEG MEG ENERGY CORP COM 156,549 676,719.89 253
MEK METALS CREEK RESOURCES CORP CO 857 29.995 1
MENE MENE INC COM 50,405 27,222.65 8
MEQ MAINSTREET EQUITY CORP 420 23,916.60 3
META NATIONAL ACCESS CANNABIS CORP 2,300 1,438.42 14
MFC MANULIFE FINANCIAL CORP COM 403,379 9,172,906.61 2,399
MFC.PR.B MANULIFE FINANCIAL CORP PFD CL 2,402 51,378.69 10
MFC.PR.C MANULIFE FINANCIAL CORP PFD CL 300 6,135 2
MFC.PR.F MANULIFE FINANCIAL CORP PFD NO 1,000 13,213 6
MFC.PR.G MANULIFE FINANCIAL CORP PFD NO 2,700 52,381 8
MFC.PR.H MANULIFE FINANCIAL CORP PFD NO 2,800 56,446 9
MFC.PR.I MANULIFE FINANCIAL CORP PFD NO 4,300 83,147 13
MFC.PR.J MANULIFE FINANCIAL CORP NON-CU 3,900 76,365 5
MFC.PR.K MANULIFE FINANCIAL CORP NON CU 1,550 28,799.50 6
MFC.PR.L MANULIFE FINANCIAL CORP PFD NO 7,780 131,704 15
MFC.PR.M MANULIFE FINANCIAL CORP PFD NO 1,620 28,919.40 8
MFC.PR.N MANULIFE FINANCIAL CORP NON-CU 900 15,463.50 8
MFC.PR.O MANULIFE FINANCIAL CORP PFD NO 787 20,227.66 3
MFC.PR.Q MANULIFE FINANCIAL CORP NONCUM 3,250 63,860.75 14
MFC.PR.R MANULIFE FINANCIAL CORP PFD NO 4,302 104,635.24 17
MFI MAPLE LEAF FOODS INC COM 16,208 495,433.88 113
MFT MACKENZIE FLOATING RATE INCOME 20,260 426,148.76 39
MG MAGNA INTERNATIONAL INC COM 26,845 1,563,823.09 356
MGB MACKENZIE CORE PLUS GLOBAL PXD 99 1,924.41 2
MGM MAPLE GOLD MINES LTD COM 136,000 11,155 6
MGW MAPLE LEAF GREEN WORLD ORD SHS 800 116.5 3
MI.UN MINTO APARTMENT REIT UNITS 2,807 55,185.37 17
MIC GENWORTH MI CANADA INC COM 18,049 745,456.49 113
MID.UN MINT INCOME FUND TRUST UNIT 134 841.36 4
MIMI MIMIS ROCK CORP COM 2,500 2,862.50 1
MIN EXCELSIOR MINING CORP COM 144 136.8 2
MINT MANULIFE MULTIFACTOR DEV INTL 400 10,396 1
MIT THE MINT CORP COM 1,370 67.65 2
MJ TRUE LEAF BRANDS INC ORD SHS A 1,762 760.79 8
MJAR MJARDIN GROUP ORD SHS AT XCNQ 2,433 2,944.94 9
MJJ PURPOSE MARIJUANA OPPORTUNITIE 942 29,446.69 5
MJRX GLOBAL HEALTH CLINICS ORD SHS 40,000 1,625 2
MKB MACKENZIE CORE PLUS CAN FXD IN 1,906 39,666.40 20
MKC MACKENZIE MAXIMUM DIVERSIFICAT 121 2,831.42 3
MKP MCAN MORTGAGE CORP COM 234 3,736.75 4
MKR MELKIOR RESOURCES INC COM 70,000 2,450 2
ML MILLENNIAL LITHIUM CORP COM 913 1,489.67 7
MLG ML GOLD CORP COM 4,500 3,285 2
MMEN MEDMEN ENTERPRISES SUB VOTING 196,628 559,280.64 205
MMJ MATICA ENTERPRISES ORD SHS AT 53,450 4,553 5
MMS MACARTHUR MINERALS LTD ORD SHS 1 0.075 1
MMX MAVERIX METALS INC COM 300 1,615 2
MN MANGANESE X ENERGY CORP COM 280 44.8 1
MND MANDALAY RESOURCES CORP COM 1,307 107.06 3
MNT ROYAL CANADIAN MINT CANADIAN G 697 12,936.42 3
MOGO MOGO FINANCE TECHNOLOGY INC CO 2,723 12,655.60 20
MOGO.DB MOGO FINANCE TECH INC 10.0 PCT 20,000 19,342 2
MONT MIRAMONT REOSURCES ORD SHS AT 865 151.68 3
MOX MORIEN RESOURCES CORP COM 460 225.4 1
MOZ MARATHON GOLD CORP COM 42 47.46 1
MPH MEDICURE INC COM 3,110 16,691 8
MPVD MOUNTAIN PROVINCE DIAMONDS INC 198 262.49 4
MPXI MPX INTERNATIONAL ORD SHS AT X 1,826 987.73 9
MQR MONARCH GOLD CORP COM 400 86 1
MR.UN MELCOR REAL ESTATE INVESTMENT 280 2,171 3
MRC MORGUARD CORP 129 24,305.31 3
MRD MELCOR DEVELOPMENTS LTD COM 3,258 43,586.26 8
MRE MARTINREA INTERNATIONAL INC CO 15,799 154,928.35 84
MRG.UN MORGUARD NORTH AMERICAN RESIDE 3,096 55,791.29 18
MRO MILLROCK RESOURCES INC COM 200 21 1
MRS MISSION READY SOLUTIONS INC CO 400 108 1
MRT.UN MORGUARD REAL ESTATE INVESTMEN 11,287 134,836.50 30
MRU METRO INC CL A COM SUB VTG 73,197 3,617,122.19 604
MRZ MIRASOL RESOURCES LTD COM 200 112 1
MSI MORNEAU SHEPHELL INC COM 60,443 1,804,071.60 112
MTA METALLA ROYALTY AND STREAMING 14,391 14,954.54 28
MTL MULLEN GROUP LTD COM 64,898 629,065.41 171
MTLO MARTELLO TECHNOLOGIES GROUP IN 320 75.1 2
MTY MTY FOOD GROUP INC COM 2,308 138,420.98 31
MUB MACKENZIE UNCONSTRAINED BOND E 966 19,937.86 11
MUS MACKENZIE MAXIMUM DIVERSIFICAT 194 5,100.94 3
MUX MCEWEN MINING INC COM 41,520 77,398.90 42
MVN MADALENA ENERGY INC COM 217,500 29,145 7
MWD MACKENZIE MAXIMUM DIV ALL WORL 400 9,443.09 10
MWM MICRON WASTE TECHNOLOGIES ORD 70 22.05 1
MX METHANEX CORP COM 9,564 547,264.14 140
MXF CI FIRST ASSET CAN-MATERIALS C 50 541.5 1
MXR MAX RESOURCES CORP COM 30,100 3,613 2
MXU MACKENZIE MAX DIV ALL WRLD DEV 1,645 35,202.10 4
MXX MATRRIX ENERGY TECHNOLOGIES IN 506 127.25 2
MYA MAYA GOLD & SILVER INC COM 78 167.7 1
MYM MYM NUTRACEUTICALS INC ORD SHS 1,743 706.015 7
N NAMASTE TECHNOLOGIES INC COM 225,418 195,738.42 108
N.WT NAMASTE TECHNOLOGIES INC WTS E 650 90.6 2
N.WT.A NAMASTE TECHNOLOGIES INC WTS E 500 167.5 1
NA NATIONAL BANK OF CANADA MONTRE 76,774 4,655,151.95 700
NA.PR.A NATIONAL BANK OF CAN NON-CUM 5 1,960 50,087.70 8
NA.PR.C NATIONAL BANK OF CANADA 5 YR R 3,623 76,404.21 12
NA.PR.E NATIONAL BANK OF CANADA NON-CU 1,500 28,552.50 5
NA.PR.G NATIONAL BANK OF CANADA NON-CU 1,400 28,632.50 6
NA.PR.S NATIONAL BANK OF CANADA NON-CU 6,772 116,478.20 15
NA.PR.W NATIONAL BANK OF CANADA NON-CU 4,100 67,125 12
NA.PR.X NATIONAL BANK OF CANADA NON-CU 3,300 84,599.50 15
NAB INNOVATIVE PROPERTIES ORD SHS 945 598.2 3
NB NIOCORP DEVELOPMENTS LTD COM 4,120 2,363.60 11
NBUD NORTH BUD FARMS ORD SHS AT XCN 143 38.61 2
NC NETCENTS TECHNOLOGY ORD SHS AT 2,580 1,576.40 3
NCU NEVADA COPPER CORP COM 2,814 1,035.45 5
NDM NORTHERN DYNASTY MINERALS LTD 37,050 22,933.50 8
NDVA INDIVA LTD COM 600 254.5 2
NEO NEO PERFORMANCE MATERIALS INC 5,517 67,946.60 39
NEPT NEPTUNE WELLNESS SOLUTIONS INC 10,789 59,719.44 32
NEXT NEXTSOURCE MATERIALS INC COM 53,381 5,332.20 4
NFI NFI GROUP INC COM 53,716 1,805,178.59 132
NG NOVAGOLD RESOURCES INC COM 9,128 49,077.86 49
NGD NEW GOLD INC COM 264,188 229,859.80 334
NGE NEVADA EXPLORATION INC COM 499 124.75 1
NGT NEWMONT GOLDCORP CORP COM 21,060 940,074.83 181
NGW NEXT GREEN WAVE HOLDINGS ORD S 152,000 57,588 46
NGZ NRG METALS INC COM 25 7.25 1
NHK NIGHTHAWK GOLD CORP COM 2,880 1,160.26 12
NIC PURE NICKEL INC COM 800 24 1
NIF.UN NORANDA INCOME FUND PRI UNIT A 7,341 20,681.78 41
NIM NICOLA MINING INC COM 500 47.5 1
NINE DELTA 9 CANNABIS INC COM 394 572.85 11
NIP NIPPON DRAGON RESOURCES INC CO 650 16.25 1
NITE CRYPTANITE BLOCKCHAIN TECHNOLO 600 33 1
NLB NEWLEAF BRANDS ORD SHS AT XCNQ 917 568.64 9
NLC NEO LITHIUM CORP COM 96,771 66,504.49 98
NMI NAMIBIA CRITICAL METALS INC CO 712 149.52 2
NMX NEMASKA LITHIUM INC COM 32,729 9,170.35 21
NOA NORTH AMERICAN CONSTRUCTION GR 29,716 444,032.08 46
NOT NORONT RESOURCES LTD COM 100 24 1
NOU NOUVEAU MONDE GRAPHITE INC COM 250 62.5 1
NPI NORTHLAND POWER INC COM 45,440 1,133,022.46 181
NPI.DB.C NORTHLAND POWER INC 4.75 PCT D 1,000 1,089.55 1
NPI.PR.A NORTHLAND POWER INC PFD CUM RA 260 4,067 2
NPI.PR.C NORTHLAND POWER INC PFD CUM RA 375 7,170.75 2
NRG NEWRANGE GOLD CORP COM 455 63.7 1
NRI NUVO PHARMACEUTICALS INC COM 850 566.5 3
NRN NORTHERN SHIELD RESOURCES INC 1,306 123.01 2
NRTH 48NORTH CANNABIS CORP COM 48,340 47,622.92 39
NRTH.WT 48NORTH CANNABIS CORP WTS EX 0 2,000 840 1
NSP NATURALLY SPLENDID ENTERPRISES 690 81.85 3
NTAR NEXTECH AR SOLUTIONS ORD SHS A 1,612 1,021.93 9
NTR NUTRIEN LTD COM 50,784 3,352,343.12 610
NTY 92 RESOURCES CORP COM 500 20 1
NU NEUTRISCI INTERNATIONAL INC CO 844 63.3 1
NUAG NEW PACIFIC METALS CORP COM 3,200 6,274 7
NUR NURAN WIRELESS ORD SHS AT XCNQ 1,300 84.5 2
NVA NUVISTA ENERGY LTD COM 290,635 841,484.03 740
NVCN NEOVASC INC COM 640 426.8 3
NVO NOVO RESOURCES CORP COM 6,235 12,028.31 51
NVT NORTEC MINERALS CORP COM 500 12.5 1
NVU.UN NORTHVIEW APARTMENT REIT UNITS 33,063 881,119.11 135
NWC NORTH WEST CO INC VAR VOTG AND 8,724 258,988.55 76
NWH.DB NORTHWEST HEALTHCARE PROP REIT 2,000 2,022.60 2
NWH.DB.C NORTHWEST HEALTHCARE PROP 7.25 16,000 16,081.60 4
NWH.DB.D NORTHWEST HEALTHCARE PROP 5.50 5,000 5,350.50 5
NWH.DB.G NORTHWEST HEALTHCARE PROP REIT 12,000 12,181.20 2
NWH.UN NORTHWEST HEALTHCARE PROPERTIE 3,133 37,613.23 40
NWI NUINSCO RESOURCES ORD SHS AT X 100,000 1,000 2
NXE NEXGEN ENERGY LTD COM 30,954 61,371.59 89
NXF CI FIRST ASSET ENERGY GIANTS C 65 445.25 2
NXJ NEXJ SYSTEMS INC COM 200 236 2
NXO NEXOPTIC TECHNOLOGY CORP COM 1,960 973.965 11
NXR.UN NEXUS REIT UNITS 747 1,516.41 3
NXS NEXUS GOLD CORP COM 590 47.2 1
NZ NEW ZEALAND ENERGY CORP COM 200 3 1
NZC NORZINC LTD COM 929 92.9 1
OBE OBSIDIAN ENERGY LTD COM 2,734 785.74 11
OCG OUTCROP GOLD CORP COM 507 147.03 2
OCO OROCO RESOURCE CORP COM 280 151.2 1
OEE MEMEX INC COM 950 42.75 2
OGC OCEANAGOLD CORP COM 115,940 437,234.12 527
OGI ORGANIGRAM HOLDINGS INC COM 63,011 618,662.95 307
OGI.WT.A ORGANIGRAM HOLDINGS INC WTS EX 7,900 47,005 1
OH ORIGIN HOUSE ORD SHS AT XCNQ 39,418 409,795.30 229
OILS NEXTLEAF SOLUTIONS ORD SHS AT 3,225 1,542.61 15
OLY OLYMPIA FINANCIAL GROUP INC CO 80 3,931.20 1
OM OSISKO METALS INC COM 300 168 1
ONEQ ONE GLOBAL EQUITY ETF UNITS 40 975.73 2
ONEX ONEX CORP SUB VTG 19,885 1,522,786.51 231
OPT OPTIVA INC SUBORDINATE VOTING 609 24,666.95 3
OR OSISKO GOLD ROYALTIES LTD COM 18,396 258,113.33 143
ORC.B ORCA EXPLORATION GROUP INC CL 3,055 17,902.50 9
ORE OREZONE GOLD CORP COM 968 450.33 4
ORL OROCOBRE LTD ORD SHS 20 59.4 1
ORX OREFINDERS RESOURCES INC COM 500 20 1
OS OSPREY GOLD DEVELOPMENT LTD CO 500 27.5 1
OSB NORBORD INC COM 21,875 584,626.51 126
OSK OSISKO MINING INC COM 115,962 381,760.54 155
OSL.UN OCP SENIOR CREDIT FUND TRUST U 100 986 1
OSS ONESOFT SOLUTIONS INC COM 458 370.43 3
OTEX OPEN TEXT CORP COM 44,420 2,384,708.21 408
OVAT OVATION SCIENCE ORD SHS AT XCN 2,500 1,350 1
OWLI ONE WORLD LITHIUM ORD SHS AT X 455 86.45 3
OYL CGX ENERGY INC COM 3,100 1,301 2
PAAS PAN AMERICAN SILVER CORP COM 9,887 144,735.14 94
PAC PACTON GOLD INC COM 230,600 28,111.50 7
PAL PARALLEL MINING CORP COM 80,000 1,600 1
PAT PATRIOT ONE TECHNOLOGIES INC C 1,641 3,158.91 28
PBD PURPOSE TOTAL RETURN BOND FUND 627 11,493.72 3
PBH PREMIUM BRANDS HOLDINGS CORP C 23,483 1,967,382.60 99
PBH.DB.E PREMIUM BRANDS HLD CORP 4.65 P 2,000 2,219.80 1
PBH.DB.F PREMIUM BRANDS HLD CORP 4.60 P 8,000 8,330.40 1
PBL POLLARD BANKNOTE LTD COM 46 1,030.01 3
PBX POWERBAND SOLUTIONS INC COM 750 52.5 2
PBY.UN CANSO CREDIT INCOME FUND CL A 65 718.9 1
PCLO PHARMACIELO LTD COM 14,870 106,455.92 78
PCY PROPHECY DEVELOPMENT CORP COM 800 128 4
PD PRECISION DRILLING CORP COM 188,310 463,277.22 183
PDC INVESCO CANADIAN DIVIDEND INDE 932 25,164.59 23
PDF PURPOSE CORE DIVIDEND FUND ETF 373 9,568.35 7
PDL NORTH AMERICAN PALLADIUM LTD C 4,236 47,900.90 36
PDV PRIME DIVIDEND CORP CL A COM 50 327.5 1
PE PURE ENERGY MINERALS LTD COM 324 30.78 1
PEA PIERIDAE ENERGY LTD COM 1,679 1,646.30 6
PEGI PATTERN ENERGY GROUP INC COM C 695 19,918.68 7
PEO PEOPLE CORP COM 963 7,744.30 9
PEY PEYTO EXPLORATION & DEVELOPMEN 40,639 192,856.15 231
PFB PFB CORP COM 1,132 12,323 3
PFL INVESCO 1-3 YEAR LADDERED FLOA 147 2,923.43 4
PG PREMIER GOLD MINES LTD COM 89,526 169,594.70 250
PGE GROUP TEN METALS INC COM 2 0.245 2
PGF PENGROWTH ENERGY CORP COM 53,999 25,522.76 12
PGI.UN PIMCO GLOBAL INCOME OPPORTUNIT 45 468.9 1
PGL INVESCO LONG TERM GOVERNMENT B 169 4,122.39 4
PGM PURE GOLD MINING INC COM 300 159 2
PGX PROSPER GOLD CORP COM 1,500 92.5 3
PHGI PREMIER HEALTH GROUP ORD SHS A 4,045 1,729.80 3
PHO PHOTON CONTROL INC 5,253 6,305.28 8
PHR PURPOSE DURATION HEDGED REAL E 83 1,729.72 2
PHX PHX ENERGY SERVICES CORP COM 200 582 1
PHYS SPROTT PHYSICAL GOLD TRUST 14,705 206,036.65 9
PIC.A PREMIUM INCOME CORP COM CL A 400 2,633 2
PIC.PR.A PREMIUM INCOME CORP PFD SHS 4,994 74,179.86 14
PID PURPOSE INTL DIVIDEND FUND ETF 96 2,001.16 3
PIF POLARIS INFRASTRUCTURE INC COM 7,567 99,296.48 35
PILL CANNTAB THERAPEUTICS ORD SHS A 723 506.1 2
PIPE PIPESTONE ENERGY CORP COM 175 286 3
PKG PARCELPAL TECHNOLOGY INC ORD S 200 44 1
PKI PARKLAND FUEL CORP COM 50,552 2,079,393.04 387
PL PINNACLE RENEWABLE ENERGY INC 1,531 16,441.65 12
PLAN PROGRESSIVE PLANET SOLUTIONS I 100,000 4,000 7
PLC PARK LAWN CORP COM 55,301 1,644,258.06 143
PLI PROMETIC LIFE SCIENCES INC COM 673,473 26,713.74 59
PLTH PLANET 13 HOLDINGS ORD SHS AT 55,305 150,904.65 136
PLUS PLUS PRODS ORD SHS AT XCNQ 1,912 8,774.47 11
PLV INVESCO LOW VOLATILITY PORTFOL 500 11,470 1
PLX POINT LOMA RESOURCES LTD COM 2,000 360 1
PLZ.UN PLAZA RETAIL REIT UNITS 1,491 6,202.47 17
PME SENTRY SELECT PRIMARY METALS C 308 540.16 3
PMIF PIMCO MONTHLY INCOME FUND ETF 39,872 796,985.61 54
PMIF.U PIMCO MONTHLY INCOME FUND ETF 1,200 24,918 3
PML PANORO MINERALS LTD COM 100 17 1
PMM PURPOSE MULTI-STRATEGY MARKET 100 2,216 1
PMN PROMIS NEUROSCIENCES INC COM 310 83.7 1
PMNT PIMCO GLOBAL SHORT MATURITY FU 226 4,544.26 3
PMT PERPETUAL ENERGY INC COM 135 30.375 3
PNG KRAKEN ROBOTICS INC COM 1,345 804.57 6
POM POLYMET MINING CORP COM 400 220 1
POND POND TECHNOLOGIES HOLDINGS INC 250 170 1
PONY PAINTED PONY ENERGY LTD COM 99,371 114,919.59 24
POT WEEKEND UNLIMITED ORD SHS AT X 260,887 16,016.67 29
POU PARAMOUNT RESOURCES LTD CL A C 8,011 59,594.02 35
POW POWER CORP OF CANADA SUB VTG C 44,326 1,257,497.25 376
POW.PR.A POWER CORP OF CANADA PFD 1ST S 23 569.25 1
POW.PR.B POWER CORP OF CANADA PFD 1ST B 1,325 31,332.50 8
POW.PR.C POWER CORP OF CANADA PFD 1ST C 600 15,281 3
POW.PR.D POWER CORP OF CANADA PFD 1ST S 2,070 46,082.87 12
POW.PR.G POWER CORP OF CANADA PFD 1ST S 1,900 47,513 7
PPL PEMBINA PIPELINE CORP COM 53,034 2,541,068.71 484
PPL.PF.A PEMBINA PIPELINE CORP CUM RED 1,031 22,440.90 7
PPL.PR.A PEMBINA PIPELINE CORP CUM RED 1,025 17,013.25 11
PPL.PR.C PEMBINA PIPELINE CORP CUM RED 1,600 25,976 4
PPL.PR.E PEMBINA PIPELINE CORP CUM RED 8,450 146,205 33
PPL.PR.G PEMBINA PIPELINE CORP CUM RED 2,900 49,349 7
PPL.PR.I PEMBINA PIPELINE CORP PFD CUM 3,000 61,731 6
PPL.PR.K PEMBINA PIPELINE CORP PFD CUM 400 10,096 1
PPL.PR.M PEMBINA PIPELINE CORP PFD CUM 5,100 128,763 11
PPL.PR.O PEMBINA PIPELINE CORP CUM RED 300 5,151 1
PPL.PR.Q PEMBINA PIPELINE CORP CUM RED 900 16,658 2
PPL.PR.S PEMBINA PIPELINE CORP CUM RED 4,400 98,870 8
PPR PRAIRIE PROVIDENT RESOURCES IN 1,185 121 5
PPS INVESCO CANADIAN PFD SHARE IND 1,514 20,965.09 9
PQE PETROTEQ ENERGY INC COM 560 221 2
PREV PREVECEUTICAL MEDICAL ORD SHS 131,500 6,577.50 3
PRN PROFOUND MEDICAL CORP COM 178 149.52 1
PRQ PETRUS RESOURCES LTD COM 427 145.18 2
PRU PERSEUS MINING LTD ORD SHS 233 102.52 1
PSA PURPOSE HIGH INTEREST SAVINGS 52,423 2,621,506.32 113
PSB INVESCO 1-5 YEAR LADDERED INVE 4,400 79,828.18 15
PSD PULSE SEISMIC INC CL A COM 6 13.86 1
PSH PETROSHALE INC COM 4,900 4,684 2
PSI PASON SYSTEM INC COM 28,530 548,784.90 219
PSK PRAIRIESKY ROYALTY LTD COM 39,549 703,059.83 196
PSLV SPROTT PHYSICAL SILVER TRUST 5 35.35 1
PST PISTOL BAY MINING INC COM 30 1.35 1
PSU.U PURPOSE US CASH ETF UNITS 10,854 1,085,508.66 23
PTB INVESCO TACTICAL BOND ETF 1,258 23,902.64 9
PTF PENDER GROWTH FUND INC COM 2,068 8,018.40 3
PTG PIVOT TECHNOLOGY SOLUTIONS INC 1,141 1,422.77 8
PTK POET TECHNOLOGIES INC COM 600 222 2
PTM PLATINUM GROUP METALS LTD COM 30 54 1
PTQ PROTECH HOME MEDICAL CORP COM 3,083 2,312.65 14
PTS POINTS INTERNATIONAL LTD COM 100 1,623 1
PTU PUREPOINT URANIUM GROUP INC CO 299,500 20,662.50 6
PUMA PUMA EXPLORATION INC COM 284,000 6,600 14
PUMP WORLD CLASS EXTRACTIONS ORD SH 1,028,046 153,572.11 52
PURE PURE GLOBAL CANNABIS INC COM 100 13 1
PVG PRETIUM RESOURCES INC COM 9,537 109,224.65 73
PVOT PIVOT PHARMACEUTICALS ORD SHS 15,150 6,925.50 19
PVS.PR.D PARTNERS VALUE SPLIT CORP PFD 2,550 64,076 5
PVS.PR.E PARTNERS VALUE SPLIT CORP PFD 852 21,696.60 2
PVS.PR.F PARTNERS VALUE SPLIT CORP CLS 1,300 32,737 3
PVS.PR.G PARTNERS VALUE SPLIT CORP PFD 50 1,236 1
PWF POWER FINANCIAL CORP COM 73,688 2,203,144.26 459
PWF.PR.A POWER FINANCIAL CORP PFD 1 A F 100 1,320 1
PWF.PR.F POWER FINANCIAL CORP PFD 1ST E 2,709 64,317.63 10
PWF.PR.G POWER FINANCIAL CORP PFD 1ST F 300 7,617 1
PWF.PR.H POWER FINANCIAL CORP PFD 1ST H 1,090 27,638.80 4
PWF.PR.I POWER FINANCIAL CORP PFD I IST 2,800 71,941 6
PWF.PR.K POWER FINANCIAL CORP PFD 1ST K 1,683 37,387.55 8
PWF.PR.L POWER FINANCIAL CORP PFD 1ST 745 16,995.50 7
PWF.PR.O POWER FINANCIAL CORP PFD 1ST S 300 7,638 2
PWF.PR.P POWER FINANCIAL CORP PFD 1ST S 2,410 31,850.30 6
PWF.PR.R POWER FINANCIAL CORP PFD 1ST S 4,977 124,659.31 11
PWF.PR.S POWER FINANCIAL CORP 4.80% NON 4,194 92,563.56 18
PWF.PR.T POWER FINANCIAL CORP 4.20% NON 5,109 93,310.80 10
PWF.PR.Z POWER FINANCIAL CORP 5.15% NON 275 6,427.50 3
PWM POWER METALS CORP COM 2,219 203.735 5
PX PELANGIO EXPLORATION INC COM 400 82 1
PXC INVESCO FTSE RAFI CANADIAN IND 211 5,537.45 4
PXG INVESCO FTSE RAFI GLOBAL+ INDE 70 1,577.80 1
PXI PLANET VENTURES INC COM 400 32 1
PXS INVESCO FTSE RAFI US INDEX ETF 242 6,231.70 4
PXT PAREX RESOURCES INC COM 57,494 1,165,798.50 274
PYF PURPOSE PREMIUM YIELD FUND ETF 130 2,408.25 2
PYR PYROGENESIS CANADA INC COM 29,424 16,463.18 11
PZA PIZZA PIZZA ROYALTY CORP COM 675 6,609.90 19
PZC INVESCO FTSE RAFI CANADIAN SMA 12 223.92 1
QBR.A QUEBECOR INC 1,000 31,780 2
QBR.B QUEBECOR INC CL B COM 59,079 1,876,446.41 404
QCA QUINSAM CAPITAL ORD SHS AT XCN 300 60.75 2
QCC QUADRON CANNATECH ORD SHS AT X 940 245.4 5
QCD AGFIQ ENHANCED CORE CANADIAN E 40 1,064.80 1
QEM AGFIQ ENHANCED CORE EMERGING M 325 8,882.83 4
QIE AGFIQ ENHANCED CORE INTERNATIO 89 2,431 2
QMX QMX GOLD CORP COM 125,000 6,250 5
QQC.F INVESCO QQQ INDEX ETF CAD HED 404 24,583.73 15
QSR RESTAURANT BRANDS INTERNATIONA 22,797 2,006,309.28 322
QST QUESTOR TECHNOLOGY INC COM 1,496 7,257.08 15
QTRH QUARTERHILL INC COM 18,927 28,061.73 12
QYOU QYOU MEDIA INC COM 288,782 15,883.01 6
RAY.A STINGRAY GROUP INC SUB VTG SHS 792 4,742.09 10
RBA RITCHIE BROTHERS AUCTIONEERS I 12,859 576,314.42 104
RBDI RBC BLUEBAY GLOBAL DIVERSIFIED 50 953 1
RBN.UN BLUE RIBBON INCOME FUND TRUST 1,650 13,292.50 7
RBNK RBC CANADIAN BANK YIELD INDEX 308 5,874.30 10
RBO RBC 1-5 YEAR LADDERED CORPORAT 146 2,804.28 3
RBOT HORIZONS ROBOTICS AND AUTOMATI 452 9,014.48 5
RCD RBC QUANT CANADIAN DIVIDEND LE 260 5,196.85 7
RCE RBC QUANT CANADIAN EQUITY LEAD 93 1,985.55 2
RCH RICHELIEU HARDWARE LTD COM 16,170 344,727.08 102
RCI.A ROGERS COMMUNICATIONS INC 1,160 82,083.50 4
RCI.B ROGERS COMMUNICATIONS INC CL B 185,346 13,176,496.38 1,138
RCO.UN MIDDLEFIELD CAN-GLOBAL REIT IN 1,900 22,800 2
RDU RADIUS GOLD INC COM 463 112 2
REAL REAL MATTERS INC COM 3,207 20,547.30 24
RECP RECIPE UNLIMITED CORP SUB VTG 3,570 94,961.02 19
REG REGULUS RESOURCES INC COM 10,370 14,549.50 5
REI.UN RIOCAN REAL ESTATE INVESTMENT 77,407 2,024,023.23 500
RET REITMANS CANADA LTD 1,000 3,080 1
RET.A REITMANS CANADA LTD CL A COM 7,827 24,030.45 12
RFC RIFCO INC 1,000 840 1
RGRE RBC QUANT GLOBAL REAL ESTATE L 130 2,447.60 2
RHT RELIQ HEALTH TECHNOLOGIES INC 27,018 5,007.17 8
RID RBC QUANT EAFE DIVIDEND LEADER 2,562 57,345.20 15
RID.U RBC QUANT EAFE DIVIDEND LEADER 10 164.8 1
RIDH RBC QUANT EAFE DIVIDEND LEADER 991 21,580.65 7
RIG RBC QUANT GLOBAL INFRASTRUCTUR 450 9,363 3
RIN RESINCO CAPITAL PARTNERS ORD S 300 15 1
RIT CI FIRST ASSET CANADIAN REIT E 1,124 19,793.53 21
RIV CANOPY RIVERS INC COM 33,228 133,856.71 83
RKS ROCKSHIELD CAPITAL ORD SHS AT 500 37.5 1
RLB RBC 1-5 YEAR LADDERED CANADIAN 169 3,272.35 4
RLD RBC STRATEGIC GLOBAL DIVIDEND 157 3,750.78 4
RLV RELEVIUM TECHNOLOGIES INC COM 500 47.5 1
RME ROCKY MOUNTAIN DEALERSHIPS INC 379 3,268.91 5
RMX RUBICON MINERALS CORP COM 237 215.67 1
RNW TRANSALTA RENEWABLES INC COM 17,424 234,258.03 104
RNX ROYAL NICKEL CORP COM 106,529 46,348.80 53
ROE RENAISSANCE OIL CORP COM 26,052 3,908.89 3
ROOT ROOTS CORP COM 842 2,966.53 13
ROXG ROXGOLD INC COM 124,266 133,643.14 129
RP REPLICEL LIFE SCIENCES INC COM 748 246.3 3
RPD RBC QUANT EUROPEAN DIVIDEND LE 13 276.46 2
RPF RBC CANADIAN PFD ETF CAD UNITS 4,005 79,339.18 37
RPI.UN RICHARDS PACKAGING INCOME FD T 1,323 53,197.59 10
RPS PURPOSE CANADIAN PREFERRED CAD 1,089 21,222.41 2
RPSB RBC PH&N SHORT TERM CANADIAN B 250 5,033.52 3
RQB RAVENQUEST BIOMED ORD SHS AT X 1,048 657.24 4
RQG RBC TARGET 2019 CORPORATE BOND 500 9,287.50 1
RQH RBC TARGET 2020 CORPORATE BOND 52 1,038.42 3
RQJ RBC TARGET 2022 CORP BOND INDE 142 2,794.06 2
RRI RIVERSIDE RESOURCES INC COM 300 51 1
RSI ROGERS SUGAR INC COM 18,351 106,373.19 49
RTI RADIENT TECHNOLOGIES INC COM 82,063 75,461.96 26
RUD RBC QUANT US DIVIDEND LEADERS 676 23,026.74 11
RUD.U RBC QUANT US DIVIDEND LEADERS 30 755.1 1
RUDH RBC QUANT US DIVIDEND LEADERS 210 5,369.94 4
RUE RBC QUANT US EQTY LEADERS ETF 10 282.6 1
RUF.U PURE MULTI-FAMILY REIT LP UNIT 6,050 39,817 9
RUF.UN PURE MULTI-FAMILY REIT LP UNIT 70,644 642,334.08 99
RUP RUPERT RESOURCES LTD COM 100 89 1
RUS RUSSEL METALS INC COM 8,479 180,427.65 45
RVG REVIVAL GOLD INC COM 11,000 5,580 4
RVL REVELO RESOURCES CORP COM 549 13.725 2
RVX RESVERLOGIX CORP COM 46,146 159,604.56 31
RWE CI FIRST ASSET MSCI EUROPE LOW 260 7,167.40 2
RWW CI FIRST ASSET MSCI WORLD LOW 2,574 79,205.21 10
RWW.B CI FIRST ASSET MSCI WORLD LOW 1,200 41,436 1
RWX CI FIRST ASSET MSCI INTERNATIO 2,100 45,116 2
RWX.B CI FIRST ASSET MSCI INTL LOW R 1,000 21,760 1
RX BIOSYENT INC COM 700 5,334 1
RXD RBC QUANT EMERGING MARKETS DIV 890 18,192.05 12
RXE RBC QUANT EMERGING MARKETS EQU 50 1,179.50 1
RY ROYAL BANK OF CANADA MONTREAL 209,690 21,305,887.67 1,901
RY.PR.A ROYAL BANK OF CANADA MONTREAL 1,050 26,434.50 3
RY.PR.C ROYAL BANK OF CANADA MONTREAL 400 10,076 1
RY.PR.E ROYAL BANK OF CANADA MONTREAL 500 12,580 1
RY.PR.F ROYAL BANK OF CANADA MONTREAL 1,741 43,769.12 5
RY.PR.G ROYAL BANK OF CANADA MONTREAL 1,095 27,595.90 6
RY.PR.H ROYAL BANK OF CANADA 1ST PFD N 9,597 169,721.45 37
RY.PR.J ROYAL BANK OF CANADA 1ST PFD N 13,300 252,012 46
RY.PR.M ROYAL BANK OF CAN NON-CUM 5-YR 4,380 82,429 22
RY.PR.P ROYAL BANK OF CANADA 1ST PFD N 1,850 46,743 4
RY.PR.Q ROYAL BANK OF CANADA 1ST PFD N 1,488 38,489.80 5
RY.PR.R ROYAL BANK OF CANADA 1ST PFD N 750 19,509 4
RY.PR.S ROYAL BANK OF CANADA NON-CUM 5 2,095 43,780.20 9
RY.PR.W ROYAL BANK OF CANADA MONTREAL 539 13,299.62 3
RY.PR.Z ROYAL BANK OF CANADA NON-CUM 5 13,082 231,899.48 37
RYU RYU APPAREL INC COM 127,831 7,044.79 16
RZE RAZOR ENERGY CORP COM 800 1,750.50 3
RZZ ABITIBI ROYALTIES INC COM 40 470 1
S SHERRITT INTERNATIONAL CORP CO 2,798 540.865 11
SAFE 3 SIXTY RISK SOLUTIONS ORD SHS 5,000 1,525 1
SAP SAPUTO INC COM 89,958 4,054,986.31 574
SBB SABINA GOLD & SILVER CORP COM 10,906 12,773.12 13
SBC BROMPTON SPLIT BANC CORP CL A 3,506 42,739.20 6
SBM SIRONA BIOCHEM CORP COM 1,432 680.405 5
SCAN LIBERTY DEFENSE HOLDINGS LTD C 500 336 2
SCL SHAWCOR LTD COM 22,794 395,618.49 126
SCR THESCORE INC CL A COM SUB VTG 837 313.875 5
SCU SECOND CUP LTD COM 110 189.3 2
SEA SEABRIDGE GOLD INC COM 20,298 329,840.14 90
SEED EVOLVE MARIJUANA FUND UNHEDGED 387 9,715.83 11
SEI SINTANA ENERGY INC COM 412 83.52 2
SEK SECOVA METALS CORP COM 300,000 9,000 4
SES SECURE ENERGY SERVICES INC COM 50,378 349,991.40 152
SEV SPECTRA7 MICROSYSTEMS INC COM 500 25 1
SFX SPHINX RESOURCES LTD COM 111,000 3,330 2
SGY SURGE ENERGY INC COM 158,519 200,840.79 107
SHLE SOURCE ENERGY SERVICES LTD COM 3,603 3,601.97 4
SHOP SHOPIFY INC SUB VTG CL A 18,688 6,954,869.68 349
SHRC SHARC INTERNATIONAL SYSTEMS OR 290 58 1
SIA SIENNA SENIOR LIVING INC COM 8,115 153,824.07 57
SIC SOKOMAN MINERALS CORP COM 1,469 122.07 3
SIE SIENNA RESOURCES INC COM 100 4.5 1
SII SPROTT INC COM 22,531 68,377.75 58
SIL SILVERCREST METALS INC COM 2,689 12,458.18 21
SIM SIYATA MOBILE INC COM 178,445 82,086.48 9
SIS SAVARIA CORP 32,856 426,282.98 69
SIX HYDRO66 HOLDINGS ORD SHS AT XC 500 240 1
SJ STELLA JONES INC COM 13,791 621,642.76 74
SJR.B SHAW COMMUNICATION INC CL B CN 64,586 1,770,750.43 526
SJR.PR.B SHAW COMMUNICATIONS INC PFD CU 900 13,014 1
SLF SUN LIFE FINANCIAL INC COM 47,495 2,488,936.87 457
SLF.PR.A SUN LIFE FINANCIAL INC PFD CL 8,088 176,538.84 13
SLF.PR.B SUN LIFE FINANCIAL INC PFD CL 1,800 39,444 4
SLF.PR.C SUN LIFE FINANCIAL INC PFD CL 1,400 28,682 3
SLF.PR.D SUN LIFE FINANCIAL INC PFD CL 1,664 33,996.57 14
SLF.PR.E SUN LIFE FINANCIAL INC PFD CL 730 14,893.40 4
SLF.PR.G SUN LIFE FINANCIAL INC PFD NON 2,500 34,154.50 6
SLF.PR.H SUN LIFE FINANCIAL INC PFD NON 3,179 51,330.45 13
SLF.PR.I SUN LIFE FINANCIAL INC PFD NON 4,191 80,853.73 13
SLF.PR.J SUN LIFE FINANCIAL INC PFD NON 67 935.2 2
SLL STANDARD LITHIUM LTD COM 2,729 2,190.02 5
SLNG SLANG WORLDWIDE ORD SHS AT XCN 5,507 10,762.24 35
SMC SULLIDEN MINING CAPITAL INC CO 306 22.95 1
SMD STRATEGIC METALS LTD COM 300 87 1
SMF SEMAFO INC COM 243,207 993,158.27 608
SMT SIERRA METALS INC COM 48 84.48 1
SMU.UN SUMMIT INDUSTRIAL INCOME REIT 23,544 299,386.49 176
SNA STAR NAVIGATION SYSTEMS GROUP 500 30 1
SNC SNC-LAVALIN GROUP INC COM 231,620 5,557,694.61 299
SNM SHAMARAN PETROLEUM CORP COM 400 32 1
SNN SUNNIVA ORD SHS AT XCNQ 1,473 5,989.43 11
SOI SIRIOS RESOURCES INC COM 7,346 1,233.05 2
SOIL SATURN OIL & GAS INC COM 150 20.25 1
SOL SOL GLOBAL INVESTMENTS ORD SHS 27,761 63,584.92 115
SOLG SOLGOLD PLC ORD SHS 300 159 1
SOLO SOLO GROWTH CORP COM 2,532,635 153,378.78 33
SOLR SOLAR ALLIANCE ENERGY INC COM 674 43.81 1
SOT.UN SLATE OFFICE REIT UNITS 3,555 21,094.24 33
SOU SOUTHERN ENERGY CORP COM 500 50 1
SOW ORGANIC FLOWER INVESTMENTS GRO 1,525 546.5 4
SOX STUART OLSON INC COM 151 562.35 4
SOY SUNOPTA INC COM 20,256 104,833.99 54
SPB SUPERIOR PLUS CORP COM 50,919 624,349.14 149
SPG SPARK POWER GROUP INC COM 200 332 1
SPN SNIPP INTERACTIVE INC COM 156,000 7,800 5
SPOT GOLDSPOT DISCOVERIES CORP COM 370 92.5 1
SPR SPROUTLY CANADA ORD SHS AT XCN 3,784 3,016.79 19
SRHI SPROTT RESOURCE HOLDINGS INC C 167 217.87 3
SRT.UN SLATE RETAIL CL U REIT UNITS 154 1,919.65 5
SRU.UN SMARTCENTRES REIT VARIABLE VOT 73,660 2,408,730.40 465
SRV.UN SIR ROYALTY INCOME FUND UNIT 1,597 26,558.51 8
SRX STORM RESOURCES LTD COM 970 1,730.20 6
SSL SANDSTORM GOLD LTD COM 46,693 336,041.42 105
SSL.WT SANDSTORM GOLD LTD COM SHS PUR 2,400 5,224 5
SSP SANDSPRING RESOURCES LTD COM 400 60.5 2
SSRM SSR MINING INC COM 8,793 136,857.57 81
SSV SOUTHERN SILVER EXPLORATION CO 250 37.5 1
STC SANGOMA TECHNOLOGIES CORP COM 31,100 48,680.50 7
STEP STEP ENERGY SERVICES LTD COM 296 573.2 5
STIL STILLCANNA ORD SHS AT XCNQ 350 424.35 6
STLC STELCO HOLDINGS INC COM 7,057 108,546.07 48
STN STANTEC INC COM 63,752 1,995,030.83 160
STPL BMO GLOBAL CONSUMER STAPLES HE 90 1,809.90 1
STUS.A STARLIGHT US MULTI-FAMILY NO 5 300 2,646 2
SU SUNCOR ENERGY INC COM 670,113 27,844,990.62 4,942
SUGR SUGARBUD CRAFT GROWERS CORP CO 334,450 56,665.38 18
SUN WILDFLOWER BRANDS ORD SHS AT X 14,750 9,960 5
SUNM SUN METALS CORP COM 400 212 1
SUR SURGE EXPLORATION INC COM 670 26.8 1
SVB SILVER BULL RESOURCES INC COM 500 50 1
SVE SILVER ONE RESOURCES INC COM 181 28.96 1
SVI STORAGEVAULT CANADA INC COM 6,528 18,533 38
SVM SILVERCORP METALS INC COM 26,257 76,495.89 73
SVR.C ISHARES SILVER BULLION ETF NON 9 70.2 1
SW SIERRA WIRELESS INC COM 8,582 140,096.08 34
SWP SWISS WATER DECAFFEINATED COFF 976 5,572.08 3
SWY STORNOWAY DIAMOND CORP COM 3,774,299 122,900.30 235
SX ST-GEORGES ECO-MINING ORD SHS 630 50.4 2
SXP SUPREMEX INC COM 28 72.8 1
SYZ SYLOGIST LTD 925 10,441.65 8
T TELUS CORPORATION COM 214,411 10,687,107.98 1,879
TA TRANSALTA CORP COM 25,700 225,615.11 114
TA.PR.E TRANSALTA CORP 1ST PFD CUM RED 40 518 1
TA.PR.F TRANSALTA CORP CUM RED RATE RE 2,800 41,564 6
TA.PR.H TRANSALTA CORP CUM REDM FST PF 3,300 57,504.50 7
TA.PR.J TRANSALTA CORP CUM RED RATE RE 4,700 86,556 10
TBP TETRA BIO-PHARMA INC COM 2,485 1,559.20 10
TBRD THUNDERBIRD ENTERTAINMENT GROU 4,000 6,260 2
TC TUCOWS INC COM CL A 270 21,739.80 5
TCAN TRANSCANNA HOLDINGS ORD SHS AT 3,607 20,633.27 7
TCL.A TRANSCONTINENTAL INC 16,795 238,743.99 60
TCN TRICON CAPITAL GROUP INC COM 63,995 661,467.54 143
TCS TECSYS INC COM 100 1,358 1
TCT.UN TOP 10 CANADIAN FINANCIAL TRUS 952 8,211.56 3
TCW TRICAN WELL SERVICE LTD COM 146,557 187,464.53 155
TD TORONTO-DOMINION BANK COM 308,430 22,822,956.13 1,967
TD.PF.A TORONTO DOMINION BANK NON CUM 11,955 205,588.80 30
TD.PF.B TORONTO DOMINION BANK NON CUM 13,204 227,254.68 36
TD.PF.C TORONTO-DOMINION BANK NON-CUM 10,055 172,184.75 29
TD.PF.D TORONTO-DOMINION BANK NON-CUM 1,617 32,086.66 5
TD.PF.E TORONTO-DOMINION BANK NON-CUM 300 6,097.50 3
TD.PF.F TORONTO-DOMINION BANK NON-CUM 1,200 28,942 7
TD.PF.G TORONTO-DOMINION BANK NON-CUM 780 20,212 4
TD.PF.H THE TORONTO-DOMINION BK NON-CU 3,445 87,513 10
TD.PF.I THE TORONTO-DOMINION BK NON-CU 8,325 179,480.25 24
TD.PF.J THE TORONTO-DOMINION BANK NON- 9,710 195,890 41
TD.PF.K THE TORONTO-DOMINION BANK NON- 9,385 188,286.70 27
TD.PF.L THE TORONTO-DOMINION BANK NON- 5,200 128,971 19
TDB TD CANADIAN AGGREGATE BOND IND 78 1,152.05 3
TECK.A TECK RESOURCES LTD CL A COM 730 20,072.20 6
TECK.B TECK RESOURCES LTD CL B COM SU 181,250 4,975,250.12 992
TEI TOSCANA ENERGY INCOME CORP COM 350,000 8,750 6
TEQ TERRANUEVA ORD SHS AT XCNQ 338 293.72 3
TER TERRASCEND ORD SHS AT XCNQ 600 4,664 2
TETH TETHYAN RESOURCES PLC ORD SHS 490 263.7 2
TEV TERVITA CORP COM 248 1,610.04 6
TF TIMBERCREEK FINANCIAL CORP COM 15,770 146,001.69 39
TF.DB.B TIMBERCREEK FINANCIAL CORP 5.4 17,000 17,171.70 1
TFII TFI INTERNATIONAL INC COM 39,625 1,627,262.54 175
TGC TAIGA GOLD ORD SHS AT XCNQ 10 0.75 1
TGIF 1933 INDUSTRIES ORD SHS AT XCN 48,493 23,050.90 27
TGL TRANSGLOBE ENERGY CORP COM 3,000 5,970 1
TGO TERAGO INC COM 379 4,154.66 8
TGOD THE GREEN ORGANIC DUTCHMAN HOL 128,952 460,663.07 402
TGOD.WT THE GREEN ORGANIC DUTCHMAN HOL 10,710 16,445.90 10
TGZ TERANGA GOLD CORP COM 113,878 366,008.08 278
TH THERATECHNOLOGIES INC COM 3,896 25,487.24 22
THC THC BIOMED INTL ORD SHS AT XCN 595 169.575 2
TI TITAN MINING CORPORATION COM 220 97.9 1
TIH TOROMONT INDUSTRIES LTD COM 8,448 498,163.43 111
TILT TILT HOLDINGS ORD SHS AT XCNQ 89,949 163,512.52 42
TIUM.U CANSORTIUM ORD SHS AT XCNQ 37,004 63,885.57 245
TKO TASEKO MINES LTD COM 1,635 1,027.35 6
TKX TRACKX HOLDINGS INC COM 614 162.71 2
TLF BROMPTON TECH LEADERS INCOME E 135 1,630.45 2
TLG TROILUS GOLD CORP COM 30 18.4 3
TLK FRANKLY INC COM 472 1,765.50 4
TLT THERALASE TECH INC COM 2,115 958.27 11
TLV INVESCO S&P/TSX COMPOSITE LOW 11,784 338,233.37 8
TMD TITAN MEDICAL INC COM 55 194.05 2
TMED THERAMED HEALTH ORD SHS AT XCN 1,286 141.46 4
TMG THERMAL ENERGY INTERNATIONAL L 150 10.5 1
TML TREASURY METALS INC COM 565 125.8 2
TMQ TRILOGY METALS INC COM 67 241.87 1
TMR TMAC RESOURCES INC COM 70,679 429,069.05 123
TNP TRANSATLANTIC PETROLEUM LTD CO 205 232.25 20
TNT.UN TRUE NORTH COMMERCIAL REIT UNI 773 5,013.28 21
TNY TINLEY BEVERAGE CO ORD SHS AT 2,194 1,369.63 8
TOG TORC OIL & GAS LTD COM 33,893 139,619.38 160
TOKI TREE OF KNOWLEDGE INTERNATIONA 127 17.145 1
TOOL TRACKLOOP ANALYTICS ORD SHS AT 233 11.65 1
TOS TSO3 INC 10,055 3,066.50 2
TOT TOTAL ENERGY SERVICES INC COM 3,861 35,677.50 8
TOU TOURMALINE OIL CORP COM 138,742 2,393,524.11 514
TOY SPIN MASTER CORP SUB VOTG SHS 22,285 912,003.16 122
TPH TEMPLE HOTELS INC COM 10,400 17,318 3
TPRF TD ACTIVE PREFERRED SHARE ETF 90 777.6 1
TPU TD US EQUITY INDEX ETF UNITS 282 5,910.36 4
TPX.B MOLSON COORS CANADA INC CL B E 1,770 134,571.54 20
TRI THOMSON REUTERS CORP COM 25,742 2,212,624.68 299
TRI.PR.B THOMSON REUTERS CORP PREF II F 200 2,484 2
TRIL TRILLIUM THERAPEUTICS INC COM 300 162 1
TRL TRILOGY INTERNATIONAL PARTNERS 569 1,673.20 5
TRP TC ENERGY CORP COM 225,997 14,725,983.80 1,609
TRP.PR.A TC ENERGY CORP 1ST PFD CUM RED 1,300 17,782 5
TRP.PR.B TC ENERGY CORP 1ST PFD CUM RED 1,247 14,070.39 5
TRP.PR.C TC ENERGY CORP 1ST PFD CUM RED 2,284 28,332.31 10
TRP.PR.D TC ENERGY CORP 1ST PFD CUM RED 5,705 93,703.33 16
TRP.PR.E TC ENERGY CORP 1ST PFD CUM RED 535 8,716.90 2
TRP.PR.F TC ENERGY CORP 1ST PFD CUM RED 4,618 63,005 10
TRP.PR.G TC ENERGY CORP 1ST PFD CUM RED 1,102 20,049.64 5
TRP.PR.H TC ENERGY CORP 1ST PFD CUM RED 500 5,740 2
TRP.PR.J TC ENERGY CORP 1ST PFD CUM RED 2,655 68,094.80 14
TRP.PR.K TC ENERGY CORP 1ST PFD CUM RED 5,500 135,953 18
TRQ TURQUOISE HILL RESOURCES LTD C 790,306 1,254,735.16 624
TRST CANNTRUST HOLDINGS INC COM 27,220 193,460.12 209
TRUL TRULIEVE CANNABIS ORD SHS AT X 16,221 245,773.56 69
TRZ TRANSAT AT INC COM 27,366 327,512.38 142
TS.B TORSTAR CORP CL B COM NON VTG 3,230 2,604.64 5
TSGI THE STARS GROUP INC COM 12,708 281,283.74 116
TSU TRISURA GROUP LTD COM 869 26,122.24 8
TTR TITANIUM TRANSPORTATION GROUP 1,670 2,060.70 4
TTT TRUTRACE TECHNOLOGIES INC COM 1,078 286.03 7
TUT.UN TOP 20 US DIVIDEND TRUST CL A 2,000 22,399 3
TV TREVALI MINING CORP COM 147,377 42,636.52 25
TVE TAMARACK VALLEY ENERGY LTD COM 40,001 85,725.15 179
TWC TWC ENTERPRISES LTD COM 34 523.6 1
TWM TIDEWATER MIDSTREAM AND INFRAS 89,876 122,689.22 25
TXF CI FIRST ASSET TECH GIANTS COV 2,268 34,777.54 19
TXF.B CI FIRST ASSET TECH GIANTS COV 79 1,354.37 5
TXG TOREX GOLD RESOURCES INC COM 46,817 582,164.19 312
TXP TOUCHSTONE EXPLORATION INC COM 872 228.19 3
TXR TERRAX MINERALS INC COM 1 0.36 1
U URANIUM PARTICIPATION CORP COM 10,668 45,887.25 43
UBM UNITED BATTERY METALS ORD SHS 200 8 1
UCU UCORE RARE METALS INC COM 4,286 1,164.96 19
UEX UEX CORP COM 31,120 5,289.80 4
UFS DOMTAR CORP COM 866 49,143.77 12
ULV.F INVESCO S&P 500 LOW VOLATILITY 7,985 324,547.35 6
UNC UNITED CORPS LTD 100 9,421 1
UNS UNI SELECT INC COM 54,094 661,919.52 66
URE UR ENERGY INC COM 227 254.87 4
URL NAMESILO TECHNOLOGIES ORD SHS 7,203 3,353.52 5
USA AMERICAS SILVER CORP COM 687 1,594.64 7
USB INVESCO LADDERRITE U.S. 0-5 YE 4,869 113,964.37 6
USGD AMERICAN PACIFIC MINING ORD SH 379 50.275 2
UTE.UN CANADIAN UTILITIES & TELECOM I 1,000 9,200 1
UXM CI FIRST ASSET MORNINGSTAR US 103 1,415.54 2
UXM.B CI FIRST ASSET MORNINGSTAR US 20 320 1
VA VANGUARD FTSE DEVELOPED ASIA P 3,423 111,192.31 13
VAB VANGUARD CANADIAN AGGREGATE BO 25,291 655,241.17 60
VAH VANGUARD FTSE DEVELOPED ASIA P 1,116 31,179.52 4
VB VERSABANK COM 11,900 86,232 5
VBAL VANGUARD BALANCED ETF PORTFOLI 1,624 40,997.56 34
VBU VANGUARD US AGGREGATE BOND IND 135 3,364.65 5
VCAN VENTURA CANNABIS AND WELLNESS 3,276 2,221.06 4
VCE VANGUARD FTSE CANADA INDEX ETF 795 27,455.48 17
VCI VITREOUS GLASS INC COM 200 791 2
VCIP VANGUARD CONSERVATIVE INCOME E 176 4,575.10 4
VCN VANGUARD FTSE CANADA ALL CAP I 3,150 102,129.95 66
VCNS VANGUARD CONSERVATIVE ETF PORT 239 6,101.44 5
VDU VANGUARD FTSE DEVELOPED ALL CA 335 11,316.59 12
VDY VANGUARD FTSE CAN HIGH DIV YIE 6,848 228,084.82 29
VE VANGUARD FTSE DEVELOPED EUROPE 3,347 93,609.69 12
VEC VANADIAN ENERGY CORP COM 600 24 1
VEE VANGUARD FTSE EMERGING MARKETS 1,456 48,045.65 35
VEF VANGUARD FTSE DEVELOPED ALL CA 3,242 126,254.86 13
VEH VANGUARD FTSE DEVELOPED EUROPE 55 1,566.40 1
VENZ VENZEE TECHNOLOGIES INC COM 65,500 4,912.50 4
VEQT VANGUARD ALL-EQUITY ETF PORTFO 282 7,370.60 6
VET VERMILION ENERGY INC COM 47,148 1,339,220.88 431
VFF VILLAGE FARMS INTERNATIONAL IN 22,746 373,878.95 149
VFV VANGUARD S&P 500 INDEX ETF UNI 20,243 1,343,257.36 155
VGG VANGUARD US DIVIDEND APPRECIAT 381 19,059.37 11
VGH VANGUARD US DIVIDEND APPRECIAT 328 12,293.18 5
VGO VOGOGO ORD SHS AT XCNQ 960 1,929 2
VGRO VANGUARD GROWTH ETF PORTFOLIO 2,211 55,239.76 56
VGW VALENS GROWORKS ORD SHS AT XCN 46,728 185,329.94 59
VGW.WT.A VALENS GROWORKS EQUITIES WARRA 400 488 2
VI VANGUARD FTSE DEV ALL CAPEX NO 510 13,886.64 8
VIDA PHIVIDA HOLDINGS ORD SHS AT XC 3,848 1,883.21 16
VIDA.WT PHIVIDA HOLDINGS EQUITY WARRAN 4,500 412.5 2
VII SEVEN GENERATIONS ENERGY LTD C 217,841 1,594,926.68 337
VIO SOCIETE D EXPLORATION MINIERE 5 0.625 1
VIR VIRIDIUM PACIFIC GROUP LTD COM 1,688 724.34 7
VIT VICTORIA GOLD CORP COM 162,042 65,271.42 22
VIU VANGUARD FTSE DEV ALL CAPEX NO 2,503 67,942.43 25
VIV AVIVAGEN INC COM 100 57 1
VIVO VIVO CANNABIS INC COM 4,480 3,002.18 23
VLB VANGUARD CANADIAN LONG-TERM BN 87 2,380.62 2
VLC VELOCITY MINERALS LTD COM 1,000 355 1
VLE VALEURA ENERGY INC COM 986 2,232.28 6
VLN VELAN INC SUB VTG SH 422 3,880.58 3
VLQ VANGUARD GLOBAL LIQUIDITY FACT 155 5,074.63 3
VMD VIEMED HEALTHCARE INC COM 3,818 36,377.31 34
VMO VANGUARD GLOBAL MOMENTUM FACTO 159 5,273.24 4
VNP 5N PLUS INC COM 73 210.02 2
VNR VALENER INC COM 4,177 108,620.49 45
VNR.PR.A VALENER INC PFD CUM RATE RESET 65 1,623.70 1
VOTI VOTI DETECTION INC COM 800 1,616 1
VP VODIS PHARMACEUTICALS ORD SHS 1,600 130.5 3
VPT VENTRIPOINT DIAGNOSTICS LTD 150 21 1
VPY VERSAPAY CORP COM 1 1.5 1
VRB VANADIUMCORP RESOURCE INC COM 144 10.08 1
VRE VANGUARD FTSE CAN CAP REIT IND 265 8,932.60 3
VREO VIREO HEALTH INTERNATIONAL ORD 49,664 215,121.80 370
VRY PETRO-VICTORY ENERGY CORP COM 2 0.03 2
VSB VANGUARD CANADIAN SHORT TERM B 23,911 573,144.36 35
VSBY VSBLTY GROUPE TECHNOLOGIES ORD 1,105 585.65 6
VSC VANGUARD CAN SHORT-TERM CORP B 10,370 253,202.72 38
VSP VANGUARD S&P 500 INDEX CAD HED 989 47,265.48 27
VUN VANGUARD US TOTAL MARKET INDEX 2,538 131,618 57
VUS VANGUARD U.S.TOTAL MARKET INDE 651 34,747.17 16
VVL VANGUARD GLOBAL VALUE FACTOR E 1,348 41,681.36 10
VVO VANGUARD GLOBAL MINIMUM VOLATI 4 125.6 2
VXC VANGUARD FTSE GLOBAL ALL CAP E 717 26,296 20
VXM CI FIRST ASSET MORNINGSTAR INT 2 44.5 1
VXM.B CI FIRST ASSET MORNINGSTAR INT 388 9,545.96 3
VYGR VOYAGER DIGITAL (CANADA) LTD C 365 98.55 1
W.PR.K WESTCOAST ENERGY INC PFD CUM 5 500 12,683 2
W.PR.M WESTCOAST ENERGY INC PFD CUM 5 2,900 73,774 7
WAR WARRIOR GOLD INC COM 46 4.83 1
WATR CURRENT WATER TECHNOLOGIES INC 51,000 1,530 1
WCN WASTE CONNECTIONS INC COM 27,126 3,446,924.52 359
WCP WHITECAP RESOURCES INC COM 844,223 3,812,149.53 856
WDO WESDOME GOLD MINES LTD COM 6,425 30,120.11 49
WED WESTAIM CORP COM 22,209 63,448.82 29
WEED CANOPY GROWTH CORP COM 170,619 9,364,227.11 1,584
WEF WESTERN FOREST PRODUCTS INC CO 88,774 135,248.56 77
WELL WELL HEALTH TECHNOLOGIES CORP 27,698 20,799.50 12
WFC WALL FINL CORP COM 701 15,733.60 3
WFT WEST FRASER TIMBER CO LTD COM 55,308 2,918,203.09 250
WGO WHITE GOLD CORP COM 2,050 2,317 3
WHN WESTHAVEN VENTURES INC COM 380 266.2 2
WIR.U WPT INDUSTRIAL REIT UNITS 6,800 92,674.28 54
WJA WESTJET AIRLINES LTD VAR VTG C 83,732 2,520,228.37 694
WJX WAJAX CORP COM 5,628 84,375.08 27
WKG WESTKAM GOLD CORP COM 600 3 1
WL WESTLEAF INC COM 6,926 3,668.53 15
WLLW WILLOW BIOSCIENCES ORD SHS AT 50 95 1
WM WALLBRIDGE MINING CO LTD COM 122,435 37,801.18 12
WMD WEEDMD INC COM 29,413 52,569.93 28
WML WEALTH MINERALS LTD COM 26,839 9,414.07 3
WN WESTON GEORGE LTD COM 25,318 2,553,038.06 175
WN.PR.A WESTON GEORGE LTD PFD 1 5.8% 290 7,414.50 4
WN.PR.C WESTON GEORGE LTD PFD III 5.20 300 7,238.50 2
WN.PR.D WESTON GEORGE LTD PFD IV 5.20% 4,730 114,776.80 7
WN.PR.E WESTON GEORGE LTD PFD 4.75% SE 1,144 25,507.65 9
WOW WOW UNLIMITED MEDIA INC COM VA 61 57.95 1
WPK WINPAK LTD 6,922 303,078.55 64
WPM WHEATON PRECIOUS METALS CORP C 202,790 6,041,277.35 968
WPRT WESTPORT FUEL SYSTEMS INC COM 12,814 49,169.31 69
WRG WESTERN ENERGY SERVICES CORP C 2,029 556.855 23
WRLD.U ICC INTERNATIONAL CANNABIS ORD 106,348 19,626.07 19
WSP WSP GLOBAL INC COM 11,377 807,018.46 184
WTE WESTSHORE TERMINALS INVESTMENT 30,703 682,862.56 165
WTER THE ALKALINE WATER CO INC COM 1,360 3,063 12
WUC WESTERN URANIUM & VANADIUM ORD 130 136 2
WWT WATER WAYS TECHNOLOGIES INC CO 350 54.25 1
WXM CI FIRST ASSET MORNINGSTAR CAN 17,009 301,926.19 14
X TMX GROUP LTD COM 2,660 239,404.11 43
XAU GOLDMONEY INC COM 1,518 2,880.53 17
XAW ISHARES CORE MSCI ALL CNTRY WO 17,247 441,653.49 62
XBAL ISHARES CORE BALANCED ETF PORT 50 1,125 1
XBB ISHARES CORE CANADIAN UNIVERSE 94,202 2,991,862.22 186
XBC XEBEC ADSORPTION INC COM 199 312.94 6
XBM ISHARES S&P/TSX GLOBAL BASE ME 343 3,815.69 5
XCB ISHARES CANADIAN CORPORATE BND 17,192 370,796.68 56
XCD ISHARES S&P GLOBAL CONSUMER DI 93 3,232.68 1
XCG ISHARES CANADIAN GROWTH IDX ET 27 939.6 1
XCH ISHARES CHINA IDX ETF UNITS 65 1,696.20 3
XCS ISHARES S&P/TSX SMALLCAP IDX E 90 1,282.58 3
XCX CHINOOK TYEE INDUSTRY LTD COM 497 104.37 2
XDG ISHARES CORE MSCI GLOBAL QUALI 1,350 27,347.50 4
XDIV ISHARES CORE MSCI CANADIAN QUA 304 6,274.27 9
XDU ISHARES CORE MSCI US QUALITY D 8,800 189,376 1
XDV ISHARES CANADIAN SELECT DIVIDE 31,250 753,741.16 28
XEB ISHARES J.P. MORGAN USD EMERGI 162 3,283.89 4
XEC ISHARES CORE MSCI EMERGING MAR 8,289 211,986.79 38
XEF ISHARES CORE MSCI EAFE IMI IND 25,315 752,346.40 139
XEG ISHARES S&P/TSX CAPPED ENERGY 151,455 1,383,134.49 600
XEH ISHARES MSCI EUROPE IMI INDEX 5,800 140,795 2
XEI ISHARES S&P/TSX COMPOSITE HIGH 995 20,770.76 23
XEM ISHARES MSCI EMERGING MARKETS 285 8,737.29 7
XEN ISHARES JANTZI SOCIAL IDX ETF 354 8,875.56 7
XEU ISHARES MSCI EUROPE IMI INDEX 326 7,595.98 6
XFA ISHARES EDGE MSCI MULTIFACTOR 179 4,531.94 3
XFC ISHARES EDGE MSCI MULTIFACTOR 132 3,072.11 3
XFF ISHARES EDGE MSCI MULTIFACTOR 351 8,340.01 4
XFH ISHARES CORE MSCI EAFE IMI IDX 583 12,880.92 11
XFI ISHARES EDGE MSCI MULTIFACTOR 132 3,001.16 2
XFN ISHARES S&P/TSX CAPPED FINANCI 7,014 259,149.03 24
XFR ISHARES FLOATING RATE IDX ETF 7,731 155,624.26 32
XFS ISHARES EDGE MSCI MULTIFACTOR 120 3,128.40 2
XGB ISHARES CAD GOVERNMENT BND IDX 593 13,144.98 14
XGD ISHARES S&P/TSX GLOBAL GOLD ID 518,821 6,168,075.52 563
XGGB ISHARES GLOBAL GOVERNMENT BOND 84 1,737.12 1
XGI ISHARES S&P GLOBAL INDUSTRIALS 75 2,340 2
XGRO ISHARES CORE GROWTH ETF PORTFO 17,326 346,725.93 22
XHB ISHARES CAD HYBRID CORPORATE B 2,367 49,034.22 11
XHC ISHARES GLOBAL HEALTHCARE IDX 269 12,407.80 6
XHD ISHARES U.S. HIGH DIVIDEND EQU 155 4,407.05 4
XHU ISHARES US HIGH DIVIDEND EQUIT 85 2,120.35 2
XHY ISHARES U.S. HIGH YIELD BND ID 682 12,770.16 14
XIC ISHARES CORE S&P/TSX CAPPED CO 110,975 2,842,066.64 105
XID ISHARES INDIA IDX ETF UNITS 171 6,890.42 7
XIG ISHARES U.S. IG CORPORATE BND 127 2,935.97 2
XIM XIMEN MINING CORP COM 440 217.8 1
XIN ISHARES MSCI EAFE IDX ETF (CAD 7,433 187,397.08 17
XIT ISHARES S&P/TSX CAPPED INFORMA 3,524 87,456.76 14
XIU ISHARES S&P/TSX 60 IDX ETF UNI 910,232 21,946,610.10 626
XLB ISHARES CORE CANADIAN LONG TER 10,367 261,419.10 18
XLY AUXLY CANNABIS GROUP INC COM 86,451 69,994.39 60
XMA ISHARES S&P/TSX CAPPED MATERIA 271 3,305.10 5
XMC ISHARES S&P US MID-CAP INDEX E 201 3,784.70 3
XMD ISHARES S&P/TSX COMPLETION IDX 236 5,813.52 5
XMH ISHARES S&P US MID-CAP INDEX E 75 1,314.75 1
XMI ISHARES EDGE MSCI MIN VOL EAFE 310 11,372.69 5
XML ISHARES EDGE MSCI MIN VOL EAFE 44 1,017.28 1
XMM ISHARES EDGE MSCI MIN VOL EMER 325 9,081.71 5
XMS ISHARES EDGE MSCI MIN VOL USA 14,058 367,897.46 3
XMU ISHARES EDGE MSCI MIN VOL USA 315 17,063.42 7
XMV ISHARES EDGE MSCI MIN VOL CAD 4,140 126,061.05 3
XMW ISHARES EDGE MSCI MIN VOL GLOB 844 36,185.15 8
XMY ISHARES EDGE MSCI MIN VOL GLOB 335 8,198.92 7
XPF ISHARES S&P/TSX NORTH AMERICAN 270 4,461.88 5
XQB ISHARES HIGH QUALITY CAN BND I 553 11,622.86 14
XQQ ISHARES NASDAQ 100 IDX ETF (CA 1,025 59,000.61 29
XRB ISHARES CAD REAL RETURN BND ID 1,692 42,326.82 12
XRE ISHARES S&P/TSX CAPPED REIT ID 14,845 277,589.42 85
XRO EXRO TECHNOLOGIES ORD SHS AT X 200 42.5 2
XSB ISHARES CORE CAD SHORT TERM BN 29,014 801,641.39 50
XSC ISHARES CONSERVATIVE SHORT TER 4,224 83,401.74 12
XSE ISHARES CONSERVATIVE STRATEGIC 2,604 53,145.82 11
XSH ISHARES CORE CAN SHORT TERM CO 26,749 516,654.58 18
XSI ISHARES SHORT TERM STRATEGIC F 840 15,826 2
XSP ISHARES CORE S&P 500 INDEX ETF 90,083 2,779,073.10 196
XSQ ISHARES SHORT TERM HIGH QUALIT 286 5,596.02 3
XST ISHARES S&P/TSX CAPPED CONSUME 1 63.03 1
XSU ISHARES U.S. SMALL CAP IDX ETF 17,792 543,561.27 27
XTC EXCO TECHNOLOGIES LTD COM 2,236 18,470.46 13
XTR ISHARES DIVERSIFIED MONTHLY IN 9,583 105,022.24 20
XUH ISHARES CORE S&P US TOTAL MKT 314 7,920.69 5
XUS ISHARES CORE S&P 500 INDEX ETF 1,576 73,229.91 35
XUT ISHARES S&P/TSX CAPPED UTILITI 237 5,670.23 5
XUU ISHARES CORE S&P US TOTAL MARK 6,058 172,860.68 24
XWD ISHARES MSCI WORLD IDX ETF UNI 5,284 268,523.34 16
Y YELLOW PAGES LTD COM 188 1,495.54 6
Y.WT YELLOW PAGES LTD WT EXP 12/20/ 61 24.4 2
YDX YDX INNOVATION CORP COM 250 27.5 1
YFI EDGEWATER WIRELESS SYSTEMS INC 800 80 1
YGR YANGARRA RESOURCES LTD COM 96,335 220,723.06 154
YNV YNVISIBLE INTERACTIVE INC CL A 125 53.75 1
YOO YANGAROO INC COM 300 37.5 1
YRB YORBEAU RESOURCES INC CL A COM 311,000 9,330 5
YRI YAMANA GOLD INC COM 438,413 1,170,944.29 329
YXM CI FIRST ASSET MORNINGSTAR US 28 359.8 1
YXM.B CI FIRST ASSET MORNINGSTAR US 300 5,226 1
ZAG BMO AGGREGATE BOND INDEX ETF U 82,599 1,314,190.08 109
ZAR ZARGON OIL & GAS LTD COM 558,600 15,724.18 56
ZBK BMO EQUAL WEIGHT US BANKS INDE 629 15,836.16 16
ZBR ZANZIBAR GOLD ORD SHS AT XCNQ 3,000 555 1
ZCH BMO CHINA EQUITY INDEX ETF 351 7,700 7
ZCM BMO MID CORPORATE BOND INDEX E 619 10,228.74 12
ZCN BMO S&P/TSX CAPPED COMPOSITE I 20,223 439,878.17 55
ZCS BMO SHORT CORPORATE BOND INDEX 13,571 193,004.49 28
ZDB BMO DISCOUNT BOND INDEX ETF UN 322 5,246.47 6
ZDH BMO INTERNATIONAL DIVIDEND HED 4,336 91,165.04 16
ZDI BMO INTERNATIONAL DIVIDEND CAD 5,582 113,542.43 18
ZDJ BMO DOW JONES INDUSTRIAL AVERA 3,603 149,668.89 7
ZDM BMO MSCI EAFE HEDGED TO CAD IN 579 11,976.04 15
ZDV BMO CANADIAN DIVIDEND ETF UNIT 53,626 898,296.93 32
ZDY BMO US DIVIDEND CAD UNITS ETF 1,062 32,917.59 23
ZEA BMO MSCI EAFE INDEX ETF UNITS 5,351 97,012.96 7
ZEB BMO EQUAL WEIGHT BANKS INDEX E 38,205 1,059,564.41 126
ZEE ZENITH ENERGY LTD COM 500 25 1
ZEF BMO EMERGING MARKETS BOND HEDG 409 6,355.20 9
ZEM BMO MSCI EMERGING MARKETS INDE 739 14,207.59 11
ZENA ZENABIS GLOBAL INC COM 34,727 58,148.91 60
ZEO BMO EQUAL WEIGHT OIL & GAS IND 513 21,882.41 8
ZEQ BMO MSCI EUROPE HIGH QUALITY H 1,368 28,664.19 4
ZFC BMO SIA FOCUSED CANADIAN EQUIT 3,100 102,207 1
ZFH BMO FLOATING RATE HIGH YIELD E 69 1,052.25 1
ZFL BMO LONG FEDERAL BOND INDEX ET 88 1,625.92 3
ZFM BMO MID FEDERAL BOND INDEX ETF 25 414.73 2
ZFN BMO SIA FOCUSED NORTH AMERICAN 97 3,076.66 2
ZFS BMO SHORT FEDERAL BOND INDEX E 155 2,222.25 4
ZGD BMO EQUAL WEIGHT GLOBAL GOLD I 390 16,714.90 5
ZGI BMO GLOBAL INFRASTRUCTURE INDE 37 1,442.55 4
ZGQ BMO MSCI ALL COUNTRY WORLD HIG 2,375 76,491.64 5
ZHY BMO HIGH YIELD US CORPORATE BO 1,086 14,618.03 25
ZIC BMO MID-TERM US IG CORPORATE B 148 2,874.11 6
ZIC.U BMO MID-TERM US IG CORPORATE B 9 131.22 1
ZID BMO INDIA EQUITY INDEX ETF 306 8,985.20 5
ZIN BMO EQUAL WEIGHT INDUSTRIALS I 248 6,897 5
ZJG BMO JUNIOR GOLD INDEX ETF UNIT 492 21,817.64 11
ZJK BMO HIGH YIELD US CORPORATE BO 50 1,031 1
ZJN BMO JUNIOR GAS INDEX ETF UNIT 12 486.84 1
ZJO BMO JUNIOR OIL INDEX ETF UNIT 62 2,547.10 3
ZLB BMO LOW VOLATILITY CANADIAN EQ 5,166 171,364.83 58
ZLC BMO LONG CORPORATE BOND INDEX 10,662 201,375.93 15
ZLD BMO LOW VOLATILITY INTNL EQTY 307 7,390.70 6
ZLH BMO LOW VOLATILITY US EQTY HED 159 3,955.20 5
ZLI BMO LOW VOLATILITY INTERNATION 2,354 58,304.71 8
ZLU BMO LOW VOLATILITY US EQUITY C 12,883 463,873.75 16
ZLU.U BMO LOW VOLATILITY US EQUITY U 95 2,596.75 2
ZMA ZOOMAWAY TRAVEL INC COM 500 15 1
ZMI BMO MONTHLY INCOME ETF UNIT 82 1,306.99 4
ZMP BMO MID PROVINCIAL BOND INDEX 4,991 76,370.84 13
ZMS ZECOTEK PHOTONICS INC COM 300 10.5 1
ZMU BMO MID-TERM US IG CORPORATE B 322 4,752.93 8
ZNX ZINCX RESOURCES CORP COM 400 68 1
ZON ZONTE METALS INC COM 2,100 501.5 2
ZPL BMO LONG PROVINCIAL BOND INDEX 75 1,258.50 1
ZPR BMO LADDERED PFD SHS INDEX CAD 215,572 2,086,080.02 189
ZPW BMO US PUT WRITE ETF CAD UNITS 131 2,200.61 3
ZQQ BMO NASDAQ 100 EQUITY HEDGED T 1,884 100,591.11 37
ZRE BMO EQUAL WEIGHT REITS INDEX E 1,313 30,674.21 32
ZSP BMO S&P 500 INDEX ETF 3,842 157,945.36 38
ZSP.U BMO S&P 500 INDEX ETF USD 230 7,025.80 4
ZST BMO ULTRA SHORT-TERM BOND ETF 461 23,541.66 10
ZST.L BMO ULTRA SHORT TERM BOND ETF 2,580 134,731.96 27
ZSU BMO SHORT-TERM US IG CORP BND 265 3,860.83 8
ZTL BMO LONG TERM US TREASURY BOND 135 7,495.20 3
ZUB BMO EQUAL WEIGHT US BANKS HEDG 4,758 121,243.30 15
ZUD BMO US DIVIDEND HEDGED TO CAD 378 8,672.13 9
ZUE BMO S&P 500 HEDGED TO CAD INDE 237 9,727.07 8
ZUH BMO EQUAL WEIGHT US HEALTH CAR 540 27,220.17 10
ZUM ZOOMERMEDIA LIMITED COM 1,000 50 2
ZUP BMO US PREFERRED SHARE INDEX E 70 1,772.40 1
ZUQ BMO MSCI USA HIGH QUALITY IDX 139 5,051.59 6
ZUS.V BMO ULTRA SHORT-TERM US BOND E 183 9,214.68 4
ZUT BMO EQUAL WEIGHT UTILITIES IND 171 3,107.71 5
ZWA BMO COVERED CALL DJIA HEDGED T 8,228 179,611.90 10
ZWB BMO COVERED CALL CANADIAN BANK 74,740 1,327,651.55 97
ZWC BMO CANADIAN HIGH DIV COVERED 8,781 164,920.41 33
ZWE BMO EUROPE HIGH DIV COV CL HED 993 19,518.44 23
ZWH BMO US HIGH DIVIDEND COVERED C 1,230 24,633.53 22
ZWH.U BMO US HIGH DIVIDEND COVERED C 26 527.02 1
ZWP BMO EUROPE HIGH DIV COVERED CA 105 1,883.31 4
ZWS BMO US HIGH DIV COVERED CALL H 7,058 130,578.92 8
ZWU BMO COVERED CALL UTILITIES ETF 11,045 147,587.14 35
ZYME ZYMEWORKS INC COM 300 7,518 2
ZZZ SLEEP COUNTRY CANADA HOLDINGS 16,268 296,785.51 138
ZZZD BMO TACTICAL DIVIDEND ETF UNIT 37 1,151.17 2