IA FINANCIAL CORPORATION |
|
-0,210
-0,23%
|
91,570
|
90,430
|
|
IAMGOLD CORP |
|
-0,115
-1,96%
|
5,940
|
5,680
|
|
IBI GROUP INC. |
19,480
sep '22
|
0,000
0,00%
|
19,500
|
19,480
|
|
IEMR RESOURCES INC |
|
0,000
0,00%
|
0,010
|
0,010
|
|
IFABRIC CORP |
|
+0,010
+0,83%
|
1,220
|
1,220
|
|
IGM FINANCIAL INC. |
|
-0,320
-0,85%
|
37,770
|
37,140
|
|
IMPERIAL METALS CORP |
|
-0,040
-1,53%
|
2,660
|
2,580
|
|
IMPERIAL OIL |
|
-0,310
-0,32%
|
96,100
|
94,700
|
|
IMV INC |
1,120
apr '23
|
0,000
0,00%
|
1,130
|
1,070
|
|
IMVESCOR RESTAURANT GROUP INC |
1,930
dec '16
|
0,000
0,00%
|
0,000
|
0,000
|
|
IMVESCOR RESTAURANT GROUP INC. |
4,010
mrt '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
INCOME FIN UN |
|
-0,190
-2,50%
|
7,600
|
7,410
|
|
INDEXPLUS INCOME FUND. |
11,130
jun '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
INDIGO BOOKS & MUSIC INC. |
|
+0,010
+0,40%
|
2,490
|
2,480
|
|
INFOR ACQUISITION CORP CLS A |
10,020
mei '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
INFOR ACQUISITION CORP WTS |
0,005
apr '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
INFORMATION SERVICES CORPORATI |
|
+0,160
+0,63%
|
25,540
|
25,320
|
|
INNERGEX RENEWABLE ENERGY INC. |
|
+0,230
+2,75%
|
8,690
|
8,330
|
|
INNOVA GAMING GROUP INC |
2,500
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
INOVALIS REIT |
|
-0,020
-1,98%
|
1,030
|
0,990
|
|
INPLAY OIL CORP |
|
-0,040
-1,70%
|
2,360
|
2,310
|
|
INSCAPE CORP., SV |
0,050
jan '23
|
0,000
0,00%
|
0,050
|
0,050
|
|
INTACT FINANCIAL CORPORATION |
|
-1,210
-0,53%
|
229,890
|
226,870
|
|
INTEGRATED ASSET MANAGEMENT CO |
2,740
jul '19
|
0,000
0,00%
|
0,000
|
0,000
|
|
INTELLIPHARMACEUTICS INTERNATI |
0,080
05 mrt
|
0,000
0,00%
|
0,095
|
0,080
|
|
INTEMA SOLUTIONS INC |
0,255
apr '22
|
0,000
0,00%
|
0,000
|
0,000
|
|
INTER PIPELINE LTD |
19,120
nov '21
|
0,000
0,00%
|
19,200
|
18,710
|
|
INTERFOR CORPORATION |
|
-0,410
-2,27%
|
18,460
|
17,630
|
|
INTERMAP TECHNOLOGIES CORPORAT |
|
-0,010
-1,75%
|
0,570
|
0,560
|
|
INTERNATIONAL TOWER HILL MINES |
|
0,000
0,00%
|
0,910
|
0,910
|
|
INTERRENT REAL ESTATE INVESTME |
|
+0,200
+1,65%
|
12,460
|
12,200
|
|
INTERTAPE POLYMER |
40,480
jun '22
|
0,000
0,00%
|
40,500
|
40,480
|
|
INTL ROAD DYNAM |
4,250
jun '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
INTRINSYC TECHNOLOGIES CORP |
1,750
jan '20
|
0,000
0,00%
|
1,750
|
1,720
|
|
INV METALS INC. |
0,660
jul '21
|
0,000
0,00%
|
0,660
|
0,650
|
|
INVESCO 1 TO 3 YR LAD FLOAT RA |
|
0,000
0,00%
|
19,630
|
19,610
|
|
INVESCO 1 TO 5 YR LADDER INV |
|
0,000
0,00%
|
17,190
|
17,160
|
|
INVESCO CDN DIV IDX ETF |
|
+0,020
+0,06%
|
31,510
|
31,400
|
|
INVESCO CDN PREF SHARE IDX ETF |
12,880
apr '23
|
0,000
0,00%
|
12,880
|
12,870
|
|
INVESCO ESG CDN CORE PLUS BOND |
|
-0,020
-0,13%
|
15,450
|
15,450
|
|
INVESCO FTSE RAFI CAD IDX ETF |
|
-0,090
-0,24%
|
38,330
|
38,170
|
|
INVESCO FTSE RAFI CDN SMALL MI |
26,040
apr '23
|
-0,400
-1,51%
|
0,000
|
0,000
|
|
INVESCO FTSE RAFI GLB SMALL MI |
|
+0,250
+0,75%
|
33,590
|
33,560
|
|
INVESCO FTSE RAFI GLB SMALL MI |
|
-0,500
-2,04%
|
24,000
|
24,000
|
|
INVESCO FTSE RAFI GLOBAL PLUS |
28,050
apr '23
|
0,000
0,00%
|
28,050
|
28,050
|
|
INVESCO FTSE RAFI GLOBAL PLUS |
21,250
feb '23
|
+0,150
+0,71%
|
0,000
|
0,000
|
|
INVESCO FTSE RAFI US IDX ETF I |
|
-0,040
-0,09%
|
45,200
|
45,070
|
|
INVESCO FTSE RAFI US IDX ETF I |
|
-1,000
-3,02%
|
32,070
|
32,070
|
|
INVESCO GLB SHAREHLDR YIELD ET |
30,820
apr '23
|
0,000
0,00%
|
30,820
|
30,820
|
|
INVESCO GLB SHAREHLDR YIELD US |
23,020
apr '23
|
0,000
0,00%
|
23,020
|
23,020
|
|
INVESCO LAD US 0 TO 5 YR CORP |
21,650
apr '23
|
0,000
0,00%
|
21,650
|
21,650
|
|
INVESCO LAD US 0 TO 5 YR CORP |
16,210
apr '23
|
0,000
0,00%
|
16,210
|
16,210
|
|
INVESCO LOW VOL PORTFOLIO ETF |
|
0,000
0,00%
|
23,290
|
23,290
|
|
INVESCO SP EMG MKTS LOW VOL ID |
19,260
apr '23
|
0,000
0,00%
|
19,380
|
19,240
|
|
INVESCO SP INTL DEV LOW VOL ID |
20,400
apr '23
|
0,000
0,00%
|
20,410
|
20,400
|
|
INVESCO SP TSX LOW VOL IDX ETF |
|
+0,010
+0,03%
|
30,070
|
29,890
|
|
INVESTMENT GRADE INFRSTRCTR BO |
8,300
sep '19
|
0,000
0,00%
|
8,320
|
8,300
|
|
INVESTMENT GRADE MANAGED DUR I |
10,130
dec '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES 1-10 YR LADDER GOVT BO |
|
0,000
0,00%
|
16,630
|
16,620
|
|
ISHARES 1-10 YR LADDERED CORP |
|
+0,010
+0,06%
|
17,230
|
17,210
|
|
ISHARES 1-5 YR LADDER GOVT BON |
|
-0,010
-0,06%
|
16,780
|
16,770
|
|
ISHARES 1-5YR LADDERED CORP BO |
|
+0,010
+0,06%
|
17,690
|
17,680
|
|
ISHARES 1-5YR LADDERED CORP BO |
18,290
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES ALTERNATIVES COMP. POR |
28,270
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES BRIC ETF |
26,060
sep '17
|
-0,060
-0,23%
|
0,000
|
0,000
|
|
ISHARES BRIC ETF AC |
26,170
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES CANADIAN GROWTH INDEX |
|
-0,300
-0,61%
|
49,330
|
49,120
|
|
iSHARES CANADIAN SELECT DIV IN |
|
+0,060
+0,22%
|
27,950
|
27,850
|
|
iSHARES CANADIAN VALUE INDEX E |
|
-0,010
-0,03%
|
35,850
|
35,710
|
|
ISHARES CDN FIN MTHLY INCOME E |
|
0,000
0,00%
|
7,230
|
7,190
|
|
ISHARES CDN FIN MTHLY INCOME E |
6,600
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES CDN HYBRID CORP BOND I |
|
+0,020
+0,11%
|
19,070
|
19,030
|
|
iSHARES CDN REAL RETURN BOND I |
|
-0,170
-0,78%
|
21,860
|
21,720
|
|
iSHARES CHINA INDEX ETF |
|
+0,390
+2,16%
|
18,500
|
18,310
|
|
ISHARES CONS ST STRAT FIX INC |
|
+0,010
+0,06%
|
0,000
|
0,000
|
|
ISHARES CONS STRAT FIX INC ETF |
|
+0,020
+0,11%
|
17,580
|
17,560
|
|
ISHARES CONSERVATIVE CORE PORT |
23,340
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES CONVERTIBLE BOND INDEX |
|
+0,060
+0,36%
|
16,620
|
16,620
|
|
iSHARES CORE CDN CORPORATE BON |
|
-0,015
-0,08%
|
19,380
|
19,340
|
|
iSHARES CORE CDN GOVT BOND IND |
|
+0,010
+0,05%
|
18,730
|
18,690
|
|
iSHARES CORE CDN LONG TERM BON |
|
+0,050
+0,27%
|
18,720
|
18,660
|
|
iSHARES CORE CDN SHORT TRM BON |
|
+0,010
+0,04%
|
26,040
|
25,990
|
|
iSHARES CORE CDN SHRT TM CORP |
|
+0,020
+0,11%
|
18,390
|
18,370
|
|
iSHARES CORE CDN UNIVERSE BOND |
|
+0,040
+0,15%
|
27,310
|
27,260
|
|
ISHARES CORE MSCI ALL CNTRY EX |
|
+0,040
+0,10%
|
40,360
|
40,230
|
|
iSHARES CORE MSCI EAFE IMI IND |
|
-0,020
-0,05%
|
38,000
|
37,900
|
|
ISHARES CORE MSCI EAFE IMI IND |
|
-0,010
-0,03%
|
32,570
|
32,570
|
|
iSHARES CORE MSCI EMERGING MKT |
|
+0,140
+0,50%
|
28,270
|
28,130
|
|
iSHARES CORE SP 500 IDX ETF CA |
|
-0,050
-0,09%
|
54,980
|
54,690
|
|
iSHARES CORE SP 500 INDEX ETF |
|
-0,060
-0,07%
|
89,130
|
88,640
|
|
iSHARES CORE SP TSX CAPPED COM |
|
-0,080
-0,22%
|
35,710
|
35,490
|
|
ISHARES CORE SP US TOTAL MARKE |
|
-0,030
-0,06%
|
53,020
|
52,800
|
|
ISHARES CORE SP US TOTAL MKT E |
|
-0,020
-0,05%
|
43,660
|
43,330
|
|
iSHARES DIVERSIFIED MONTHLY IN |
|
0,000
0,00%
|
10,715
|
10,690
|
|
ISHARES EMG MKTS FUNDAMENTAL I |
35,590
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES EMG MKTS FUNDAMENTAL I |
34,790
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES EQUAL WEIGHT BANC LIFE |
|
-0,010
-0,06%
|
17,450
|
17,370
|
|
ISHARES EQUAL WEIGHT BANC LIFE |
8,900
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES FLOATING RATE INDEX ET |
|
0,000
0,00%
|
20,140
|
20,120
|
|
ISHARES GLOBAL AGRI INDEX ETF |
|
-0,060
-0,09%
|
64,610
|
63,980
|
|
ISHARES GLOBAL COMP. PORT. FUN |
30,590
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES GLOBAL HEALTHCARE INDE |
|
-0,040
-0,06%
|
71,590
|
71,300
|
|
ISHARES GLOBAL INFRASTRUCTURE |
25,050
mrt '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES GLOBAL INFRASTRUCTURE |
|
-0,060
-0,14%
|
43,990
|
43,750
|
|
ISHARES GLOBAL MONTHLY DIVIDEN |
|
+0,050
+0,24%
|
21,020
|
20,910
|
|
ISHARES GLOBAL REAL ESTATE IDX |
|
-0,020
-0,07%
|
28,180
|
28,180
|
|
ISHARES GLOBAL REAL ESTATE IDX |
26,970
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES GOLD BULLION ETF HDG |
|
-0,170
-0,90%
|
18,750
|
18,600
|
|
ISHARES GOLD BULLION ETF NON H |
|
-0,320
-1,17%
|
27,170
|
27,010
|
|
ISHARES GROWTH CORE PORT. FUND |
28,040
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES HIGH QLTY CANADIAN BON |
|
+0,030
+0,16%
|
18,360
|
18,360
|
|
iSHARES INDIA INDEX ETF |
|
+0,350
+0,68%
|
52,020
|
51,950
|
|
iSHARES JANTZI SOCIAL INDEX ET |
|
-0,070
-0,21%
|
33,710
|
33,640
|
|
ISHARES JAPAN FUND IDX ETF CAD |
14,390
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES JAPAN FUND IDX ETF CAD |
13,860
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES JP MORGAN USD EMERG MK |
|
+0,010
+0,06%
|
15,680
|
15,660
|
|
iSHARES MSCI BRAZIL INDEX ETF |
14,650
sep '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES MSCI EAFE INDEX ETF |
|
0,000
0,00%
|
36,990
|
36,900
|
|
iSHARES MSCI EMERGING MARKETS |
|
+0,280
+0,87%
|
32,380
|
32,280
|
|
ISHARES MSCI EUROPE IMI INDEX |
|
0,000
0,00%
|
30,920
|
30,830
|
|
ISHARES MSCI EUROPE IMI INDEX |
|
-0,060
-0,18%
|
33,770
|
33,710
|
|
iSHARES MSCI MIN VOL CANADA IN |
|
-0,080
-0,19%
|
42,090
|
41,940
|
|
iSHARES MSCI MIN VOL EAFE IDX |
|
-0,030
-0,11%
|
27,060
|
27,060
|
|
iSHARES MSCI MIN VOL EAFE INDE |
|
-0,020
-0,05%
|
37,280
|
37,210
|
|
iSHARES MSCI MIN VOL EMRG MKTS |
|
+0,020
+0,07%
|
0,000
|
0,000
|
|
iSHARES MSCI MIN VOL GLB INDEX |
|
+0,340
+1,15%
|
29,920
|
29,920
|
|
ISHARES MSCI MIN VOL GLOBAL IN |
|
+0,090
+0,18%
|
50,910
|
50,620
|
|
iSHARES MSCI MIN VOL USA INDEX |
|
-0,030
-0,09%
|
34,680
|
34,530
|
|
iSHARES MSCI MIN VOL USA INDEX |
|
+0,240
+0,32%
|
76,350
|
76,040
|
|
iSHARES MSCI MULTIFAC EAFE IDX |
26,940
17 okt
|
0,000
0,00%
|
26,940
|
26,940
|
|
iSHARES MSCI MULTIFACT US IDX |
33,130
13 okt
|
0,000
0,00%
|
33,130
|
33,130
|
|
iSHARES MSCI MULTIFACTOR CANAD |
27,100
17 okt
|
+0,070
+0,26%
|
27,100
|
26,910
|
|
iSHARES MSCI MULTIFACTOR EAFE |
22,600
17 okt
|
0,000
0,00%
|
22,790
|
22,600
|
|
iSHARES MSCI MULTIFACTOR USA I |
37,120
17 okt
|
0,000
0,00%
|
37,120
|
37,120
|
|
iSHARES MSCI WORLD INDEX ETF |
|
-0,070
-0,08%
|
85,300
|
85,110
|
|
iSHARES NASDAQ 100 INDEX ETF |
|
+0,260
+0,19%
|
138,380
|
137,750
|
|
ISHARES PREMIUM MONEY MARKET E |
|
+0,020
+0,04%
|
50,130
|
50,120
|
|
iSHARES S&P/TSX GLOBAL GOLD IN |
|
-0,180
-0,88%
|
20,530
|
20,170
|
|
ISHARES SHORT DUR HI INC ETF A |
17,790
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES SHORT DUR HI INC ETF C |
15,220
jan '23
|
0,000
0,00%
|
15,250
|
15,180
|
|
ISHARES SHORT TERM STRATEGIC F |
|
+0,020
+0,12%
|
0,000
|
0,000
|
|
ISHARES SILVER BULLION ETF HDG |
|
-0,010
-0,07%
|
13,740
|
13,600
|
|
ISHARES SILVER BULLION ETF NON |
|
+0,150
+1,02%
|
14,830
|
14,830
|
|
ISHARES SP GLOBAL CONS DISC ID |
|
+0,190
+0,36%
|
52,430
|
52,160
|
|
ISHARES SP GLOBAL INDUSTRIALS |
|
-0,130
-0,24%
|
53,150
|
53,010
|
|
ISHARES SP GLOBAL WATER IDX ET |
|
-0,160
-0,27%
|
59,010
|
58,450
|
|
ISHARES SP GLOBAL WATER IDX ET |
32,420
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
iSHARES SP TSX 60 INDEX ETF |
|
-0,100
-0,29%
|
34,000
|
33,800
|
|
iSHARES SP TSX CAPPED CONS STP |
|
-0,170
-0,18%
|
95,960
|
94,990
|
|
iSHARES SP TSX CAPPED ENERGY I |
|
-0,030
-0,16%
|
19,180
|
18,925
|
|
iSHARES SP TSX CAPPED FINANCIA |
|
+0,040
+0,08%
|
50,460
|
50,180
|
|
iSHARES SP TSX CAPPED INFO TEC |
|
-0,200
-0,40%
|
49,790
|
49,320
|
|
iSHARES SP TSX CAPPED MATERIAL |
|
-0,190
-0,92%
|
20,710
|
20,500
|
|
iSHARES SP TSX CAPPED REIT IND |
|
+0,040
+0,26%
|
15,310
|
15,180
|
|
iSHARES SP TSX CAPPED UTILITIE |
|
-0,130
-0,50%
|
26,080
|
25,840
|
|
ISHARES SP TSX CDN DIVIDEND ID |
|
-0,020
-0,06%
|
31,900
|
31,740
|
|
ISHARES SP TSX CDN DIVIDEND ID |
24,780
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES SP TSX CDN PREF IDX ET |
|
-0,030
-0,25%
|
11,880
|
11,830
|
|
iSHARES SP TSX COMP HIGH DIV I |
|
-0,040
-0,16%
|
25,850
|
25,710
|
|
iSHARES SP TSX COMPLETION INDE |
|
-0,080
-0,23%
|
34,570
|
34,380
|
|
iSHARES SP TSX GLOBAL BASE MTL |
|
+0,110
+0,48%
|
23,040
|
22,880
|
|
iSHARES SP TSX NA PREF STOCK I |
|
-0,020
-0,13%
|
14,860
|
14,840
|
|
iSHARES SP TSX SMALLCAP INDEX |
|
-0,110
-0,56%
|
19,600
|
19,490
|
|
ISHARES SP US DIV GROWERS ETF |
39,480
apr '18
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES SP US DIV GROWERS IDX |
|
+0,050
+0,10%
|
52,640
|
52,640
|
|
ISHARES SP US MIDCAP INDEX ETF |
|
-0,020
-0,06%
|
31,580
|
31,370
|
|
ISHARES SP US MIDCAP INDEX ETF |
|
+0,020
+0,07%
|
27,140
|
27,000
|
|
iSHARES ST HI QLTY CDN BOND ID |
18,540
mrt '23
|
0,000
0,00%
|
18,650
|
18,540
|
|
ISHARES US FUNDAMENTAL INDEX E |
38,510
jan '21
|
0,000
0,00%
|
38,510
|
38,510
|
|
ISHARES US FUNDAMENTAL INDEX E |
29,950
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES US FUNDAMENTAL INDEX E |
43,460
jan '21
|
0,000
0,00%
|
43,460
|
43,460
|
|
ISHARES US FUNDAMENTAL INDEX E |
33,050
feb '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
ISHARES US HIGH DIV EQUITY IND |
|
+0,010
+0,03%
|
30,910
|
30,730
|
|
ISHARES US HIGH DIV EQUITY IND |
|
0,000
0,00%
|
32,700
|
32,610
|
|
iSHARES US HIGH YIELD BOND IND |
|
-0,040
-0,24%
|
16,430
|
16,330
|
|
ISHARES US HY FIXED INCOME IND |
14,860
mrt '23
|
0,000
0,00%
|
14,860
|
14,830
|
|
iSHARES US IG CORPORATE BOND I |
|
+0,010
+0,05%
|
19,680
|
19,640
|
|
iSHARES US SMALL CAP INDEX ETF |
|
+0,080
+0,20%
|
40,190
|
39,850
|
|
Ithaca Energy Inc |
1,950
jun '17
|
0,000
0,00%
|
0,000
|
0,000
|
|
IVANHOE MINES LTD |
|
+0,060
+0,31%
|
20,000
|
19,305
|
|