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This site/free resource is for Canadian Investors looking to list, find, compare, sort and search Dividend stocks on the Toronto Stock Exchange (TSX/TSE) stock market. This was created for personal use*, but I hope that others can find it useful as there doesn't seem to be a free resource on the net with this information arranged in this format. Please send suggestions/improvements, questions or bugs to .

Site last updated: Mon, 05 Dec 16 17:59:03 -0800

Tip: Use the compare function (checkboxes) to select specific stocks you want to compare, then click "Compare". For example, if you wanted to compare Royal Bank, CIBC, Bank of Montreal, TD, Bank of Nova Scotia, it would produce the following list: http://tsx.exdividend.ca/s/?q=BMO,TD,CM,RY,BNS
Changelog
  • Feb 1st, 2016 : Make the site responsive/mobile-friendly.
  • Jan 26th, 2015 : Added Dividend frequency and payout ratio fields for a subset of stocks.
  • Mar 15th, 2014 : Column headers are now sortable. Click on the table headers to arrange data.

  • 183 Dividend Stocks Found
Code Company Ex-Dividend Date Yield Frequency Payout Ratio Dividend Rate PE Ratio Last Price Market Cap Volume 52 Week High 52 Week Low
CCL.A CCL Industries Inc. Unlimited Class A Voting Shares Dec 7, 2016 0.826271     1.95000004 25.8 236 558.72M 0 252 181
CCL.B CCL Industries Inc. Unlimited Class B Non-Voting Shares Dec 7, 2016 0.864566 Q 23.77% 2 25.3 231 7.58B 51.13K 260 171.520004
CNR Canadian National Railway Company Dec 7, 2016 1.6741 Q 32.44% 1.5 19.6 89.92 68.97B 1.08M 90.709999 66.6200027
CNQ Canadian Natural Resources Limited Dec 7, 2016 2.207 Q 32.06% 1 N/A 45.2 49.98B 2.17M 46.7400016 21.2700004
GDC Genesis Land Development Corp. Dec 7, 2016 0     0 10.3 2.96 129.53M 11.8K 3.17000007 2.00999999
HPS.A Hammond Power Solutions Inc. Class A Subordinate Voting Shares Dec 7, 2016 4.1739     0.239999994 14 5.76 51.39M 3.78K 7.38000011 5.11999988
LNF Leon's Furniture Limited Dec 7, 2016 2.3269 Q 37.38% 0.400000005 15.9 17.4 1.25B 3.85K 17.5900001 13.0799999
MAL Magellan Aerospace Corporation Dec 7, 2016 1.3577     0.25999999 12.5 18.61 1.08B 102.13K 19.9699993 13.5
POW Power Corporation of Canada Subordinate Voting Shares Dec 7, 2016 4.5224 Q 41.88% 1.34000003 14.7 29.66 12.29B 756.72K 31.2900009 26.25
T TELUS Corporation Dec 7, 2016 4.5617 Q 69.26% 1.91999995 17.8 42.19 24.95B 988.32K 44.3899993 35.5099983
TIH Toromont Industries Ltd. Dec 7, 2016 1.6644 Q 39.31% 0.720000028 21.7 43.88 3.44B 77.18K 44.0400009 27.25
TS.B Torstar Corporation Class B Non-voting Shares Dec 7, 2016 5.6818     0.100000001 N/A 1.73 122.62M 110.63K 3.06999993 1.38999998
ET Evertz Technologies Limited Dec 8, 2016 4.1332 Q 77.42% 0.720000028 18.3 17.43 1.31B 33.39K 19.2399997 15.7200002
REK Reko International Group Inc. Dec 8, 2016 0     0 5.2 5.11 32.91M 9.48K 5.65000009 2.75
RCI.A Rogers Communications Inc. Class A Shares Dec 8, 2016 3.6923     1.91999995 23 51.35 5.77B 3.89K 60.9799995 46.3600006
RCI.B Rogers Communications Inc. Class B Non-voting Shares Dec 8, 2016 3.7573 Q 73.85% 1.91999995 22.6 51.11 20.57B 466.62K 58.9900016 46.1500015
H Hydro One Limited Dec 12, 2016 3.6842     0.839999973 18.2 22.74 13.53B 431.27K 26.7999992 21.5300006
WJA WestJet Airlines Ltd. variable voting and common voting shares Dec 12, 2016 2.6846 Q 25.23% 0.560000002 8.3 20.75 2.47B 446.86K 24.9799995 14.67
BCE BCE Inc. Dec 13, 2016 4.7586 Q 87.25% 2.73000001 18.2 57.66 50.18B 1.07M 63.4049987 52.380001
BSC BNS Split Corp. II Class A Capital Shares Dec 13, 2016 2.8444     0.639999985 12.8 22.5 23.32M 50 22.5100002 12.8400001
BNE Bonterra Energy Corp. Dec 13, 2016 4.4231 M 66.42% 1.20000004 N/A 27 897.76M 70.36K 29.6299991 11.71
BAM.PF.A Brookfield Asset Management Inc Class A Preference Shares Series 32 Dec 13, 2016 5.5093     1.125 N/A 20.41 244.56M 13.66K 22.1599998 16.3500003
BAM.PF.B Brookfield Asset Management Inc. Class A Preference Shares Series 34 Dec 13, 2016 5.5147     1.04999995 N/A 19.05 190.08M 92.5K 20.75 14.8800001
BAM.PF.D Brookfield Asset Management Inc. Class A Preference Shares Series 37 Dec 13, 2016 5.5682     1.22500002 N/A 21.8 174.4M 34.74K 23.9400005 18.4300003
BAM.PF.E Brookfield Asset Management Inc. Class A Preference Shares Series 38 Dec 13, 2016 5.4618     1.10000002 N/A 20.23 161.84M 7.48K 21.1000003 15.6499996
BAM.PF.F Brookfield Asset Management Inc. Class A Preference Shares Series 40 Dec 13, 2016 5.2374     1.125 N/A 21.62 259.44M 41.8K 22.3999996 16.4300003
BAM.PF.G Brookfield Asset Management Inc. Class A Preference Shares Series 42 Dec 13, 2016 5.1535     1.125 N/A 21.86 262.32M 6.6K 22.5 16.3299999
BAM.PF.H Brookfield Asset Management Inc. Class A Preference Shares Series 44 Dec 13, 2016 4.7529     1.25 N/A 26.38 263.8M 3.54K 27.459999 24.1499996
BAM.PF.C Brookfield Asset Management Inc. Cumulative Class A Preference Shares Series 36 Dec 13, 2016 5.65     1.21247994 N/A 21.39 171.12M 5.4K 23.4899997 18.5100002
CAE CAE Inc. Dec 13, 2016 1.6393 Q 36.84% 0.319999992 23 19.41 5.21B 572.19K 19.9300003 13.0399999
CWB Canadian Western Bank Dec 13, 2016 3.1176 Q 30.66% 0.920000016 13.1 29.5 2.6B 3M 30.5499992 19.2600002
CVE Cenovus Energy Inc. Dec 13, 2016 0.963855 Q 108.57% 0.200000002 N/A 20.68 17.23B 1.81M 21.5 12.7399997
CJR.B Corus Entertainment Inc. Class B Non-Voting Shares Dec 13, 2016 9.3982 M 193.22% 1.13999998 7.9 12.22 2.39B 755.75K 14.1000003 8.73999977
DH DH Corporation Dec 13, 2016 6.9755 Q 96.97% 1.27999997 51 18.73 2B 562.87K 40.2200012 14.0600004
EVT Economic Investment Trust Limited Dec 13, 2016 1.3777     1.45000004 N/A 106 595.25M 700 106.010002 94.8099975
ECA Encana Corporation Dec 13, 2016 0.477061 Q 5.53% 0.080384701 N/A 16.97 16.51B 6.73M 17.4699993 4.13999986
EQB Equitable Group Inc. Dec 13, 2016 1.4662     0.879999995 7.6 60.25 940.26M 18.47K 63.0499992 44.7299995
WN George Weston Limited Dec 13, 2016 1.5755 Q 262.5% 1.75999999 25.4 110.45 14.13B 144.4K 120.099998 99.25
GWR Global Water Resources Inc. Dec 13, 2016 3.3511     0.365604311 N/A 11.25 220.29M 5K 11.75 6.90000009
G Goldcorp Inc. Dec 13, 2016 0.595891 M   0.107260398 N/A 17.89 15.27B 3.82M 26.5599994 13.5500001
HR.UN H&R Real Estate Investment Trust Dec 13, 2016 6.3071 M   1.37999999 29.8 21.89 6.22B 311.48K 23.8299999 18.0300006
IFC Intact Financial Corporation Dec 13, 2016 2.4821 Q 36.61% 2.31999993 22.5 92.84 12.17B 220.51K 97.1999969 77.4899978
ITP Intertape Polymer Group Inc. Dec 13, 2016 3.022     0.754280805 22.7 25.23 1.48B 177.95K 25.7399997 15.46
JE Just Energy Group Inc. Dec 13, 2016 6.7295 Q 60.98% 0.5 3.2 7.42 1.1B 185.29K 10.2200002 6.40999984
L Loblaw Companies Limited Dec 13, 2016 1.4949 Q 700% 1.03999996 31.5 69.39 28B 654.31K 74.5899963 61.25
MKP MCAN Mortgage Corporation Dec 13, 2016 8.1911 Q 91.06% 1.20000004 8.2 14.7 339.21M 14.08K 14.9300003 11.0600004
MDA MacDonald Dettwiler and Associates Ltd. Dec 13, 2016 2.236 Q 112.98% 1.48000001 21.2 67.18 2.44B 135.56K 92.9199981 65.0199966
MRD Melcor Developments Ltd. Dec 13, 2016 3.5982     0.479999989 10.3 13.95 463.73M 7.11K 15.4799995 11.3000001
MRC Morguard Corporation Dec 13, 2016 0.344828 Q 3.5% 0.600000023 13.8 174 2.08B 1.36K 188.5 122.510002
MRT.UN Morguard Real Estate Investment Trust Dec 13, 2016 6.8037 M 52.46% 0.959999978 12.4 14.16 857.66M 40.29K 16.25 11.8100004
PUR Pure Technologies Ltd. Dec 13, 2016 2.449     0.119999997 653.7 4.85 263.74M 36.01K 6.48999977 3.79999995
SJR.B Shaw Communications Inc. Class B Non-voting Shares Dec 13, 2016 4.5402 M 73.79% 1.18499994 10.5 26 12.09B 771.04K 27.8299999 22.5499992
THO Tahoe Resources Inc. Dec 13, 2016 24.3195 M 39.34% 3.22477197 N/A 13.17 4.1B 1.5M 22.1299991 9.4499998
TCK.A Teck Resources Limited Class A Multiple Voting Shares Dec 13, 2016 0.292056     0.100000001 N/A 34.24 320.26M 15.49K 36.4900016 5.69000005
TCK.B Teck Resources Limited Class B Subordinate Voting Shares Dec 13, 2016 0.297089 S 142.86% 0.100000001 N/A 33.66 19.09B 3M 35.6699981 3.65000009
VLN Velan Inc. Subordinate Voting Shares Dec 13, 2016 2.3188     0.400000005 N/A 17.24 106.06M 800 19.2000007 13.5699996
WJX Wajax Corporation Dec 13, 2016 4.0568 Q 40.65% 1 N/A 25.46 509M 49.73K 25 13.3400001
WIN Wi-LAN Inc. Dec 13, 2016 2.7473 Q 235.56% 0.05 31.9 1.86 220.49M 208.91K 3.8499999 1.37
AIM Aimia Inc. Dec 14, 2016 9.4451 Q   0.800000011 N/A 8.31 1.27B 217.61K 10.1199998 6.90000009
AKT.A Akita Drilling Ltd. Class A Non-Voting Shares Dec 14, 2016 4.1975     0.340000003 N/A 8.3 135.22M 14.3K 9.1999998 5.88000011
AKT.B Akita Drilling Ltd. Class B Common Shares Dec 14, 2016 4.3093     0.340000003 N/A 7.89 13.05M 0 11 6.86999988
PNT CPI Card Group Inc. Dec 14, 2016 5.1851     0.241625696 12.7 4.61 254.6M 5K 15.6000003 4.44000005
CAM Canam Group Inc. Dec 14, 2016 1.6032     0.159999996 62.4 10 467.07M 58.8K 14 8.40999984
CUF.UN Cominar Real Estate Investment Trust Dec 14, 2016 10.4255 M 100.41% 1.47000002 8.9 14.14 2.56B 287.31K 18.3299999 13.5299997
CSU Constellation Software Inc. Dec 14, 2016 0.883009 Q 74.35% 5.35447978 45.8 599 12.69B 34.82K 650 427.98999
GDS Gendis Inc. Dec 14, 2016 3.7736     0.100000001 N/A 2.75 35.2M 1,000 3.24 2.20000004
MX Methanex Corporation Dec 14, 2016 2.5644 Q 18.9% 1.48758494 N/A 58.66 5.27B 262.75K 60.2599983 31.6299991
PSI Pason Systems Inc. Dec 14, 2016 3.942 Q 50% 0.680000007 N/A 17.76 1.5B 225.44K 20.7399997 14.46
CJT Cargojet Inc. Dec 16, 2016 1.415     0.699999988 247.4 49.25 519.57M 13.78K 52.5600013 22.1100006
CJT.A Cargojet Inc. Variable Voting Shares Dec 16, 2016 1.4141     0.699999988 247.5 49.4 4.62M 200 51.4000015 23.5
GBT BMTC Group Inc. Dec 19, 2016 1.8377     0.239999994 11.8 13.1 484.7M 3.9K 14.5 12.5
DCI DirectCash Payments Inc. Dec 19, 2016 7.567 M 2057.14% 1.44000005 N/A 19.04 333.85M 29.24K 19.1100006 10.0600004
BCI New Look Vision Group Inc. Dec 20, 2016 2.1375 Q 98.36% 0.600000023 32.3 28.4 385.24M 106 33.2400016 24.17
TCS TECSYS Inc. Dec 20, 2016 1.7561 Q 54.12% 0.180000007 26.3 10.47 128.94M 4.75K 12 6.3499999
CM Canadian Imperial Bank Of Commerce Dec 23, 2016 4.5718 Q 58.32% 4.96000003 10.1 108.76 43.18B 1.19M 109.099998 82.1900024
NA National Bank of Canada Dec 23, 2016 4.3478 Q 45.87% 2.24 14.8 52.28 17.67B 2.24M 51.5200004 34.8600006
AEU.UN ACTIVEnergy Income Fund Dec 28, 2016 4.8682     0.239999994 14 4.95 47.56M 13.42K 4.98000001 3.40000009
ADN Acadian Timber Corp. Dec 28, 2016 5.7143 Q 34.88% 1 10.9 17.68 295.81M 6.58K 20.5900001 15.6999998
AFN Ag Growth International Inc. Dec 28, 2016 4.3988 M 134.83% 2.40000009 545.6 54.67 805.91M 24.63K 55.8100013 24.6800003
BOS AirBoss of America Corp. Dec 28, 2016 2.3636 Q 51.06% 0.25999999 11.6 11.13 256.82M 67.41K 19.5200004 9.61999988
AQN Algonquin Power & Utilities Corp. Dec 28, 2016 5.1728 Q 113.55% 0.570559561 26.3 11.04 3.03B 831.01K 12.4499998 10.1099996
AIF Altus Group Limited Dec 28, 2016 1.9815 Q 117.65% 0.600000023 89.1 29.93 1.12B 111.13K 31.0900001 16.8999996
ACZ.UN American Core Sectors Dividend Fund Dec 28, 2016 5.1159     0.549960017 N/A 10.75 18.99M 3.3K 11.5900001 9.60999965
ADW.A Andrew Peller Limited/Andrew Peller Limitee Class A Non-voting Shares Dec 28, 2016 1.4442     0.163200005 28.5 11.15 374.43M 10.51K 13 6.33332681
ADW.B Andrew Peller Limited/Andrew Peller Limitee Class B Voting Shares Dec 28, 2016 1.2348     0.142000004 29 11.5 103.64M 1.25K 13 7.983325
APY Anglo Pacific Group PLC Ordinary Shares Dec 28, 2016 9.9048     0.104000002 N/A 1.1 186.94M 500 1.5 0.75
BDT Bird Construction Inc. Dec 28, 2016 4.2716 M 88.94% 0.389999985 12.5 9.09 386.48M 111.84K 14.1999998 7.26000022
BLB.UN Bloom Select Income Fund Dec 28, 2016 5.1186     0.500087976 N/A 9.81 23.53M 1.7K 10.2399997 7.65999984
BUA.UN Bloom U.S. Income & Growth Fund Dec 28, 2016 7.3801     0.600000023 N/A 8.06 14.45M 1.1K 8.64000034 6.92999982
RBN.UN Blue Ribbon Income Fund Dec 28, 2016 6.3762     0.600000023 39.2 9.45 211.25M 17.02K 9.78999996 7.1999998
BEI.UN Boardwalk Real Estate Investment Trust Dec 28, 2016 6.9757 M 39.53% 3.25 15.6 46.57 2.15B 95.48K 59.7599983 38.4700012
BOX.UN Brookfield Canada Office Properties Dec 28, 2016 5.0595 M 99.68% 1.3104 12.7 26.06 687.94M 4.15K 29.7299995 23.459999
CIX CI Financial Corp. Dec 28, 2016 5.1111 M 68.11% 1.37999999 14.4 26.97 7.24B 517.26K 31.42 23.5200004
CMZ.UN COMPASS Income Fund Dec 28, 2016 5.2585     0.600000023 N/A 11.45 61.22M 1.54K 12 9.30000019
UDA.UN Caldwell U.S. Dividend Advantage Fund Dec 28, 2016 6.2435     0.600000023 34.3 9.7 50.29M 191K 9.6999998 7.7800002
CCO Cameco Corporation Dec 28, 2016 3.1974 Q 85.11% 0.400000005 69.5 12.95 5.13B 1.21M 17.67 9.88000011
CIQ.UN Canadian High Income Equity Fund Dec 28, 2016 6.5217     0.600000023 30.7 9.23 29.71M 4.6K 9.60999965 7.21999979
ICE Canlan Ice Sports Corp. Dec 28, 2016 2.381     0.079999998 N/A 3.4 45.35M 800 4 3.15000009
CPX Capital Power Corporation Dec 28, 2016 6.762 Q 485.71% 1.55999994 22.8 23.12 2.22B 378.42K 23.7900009 15.4049997
CJ Cardinal Energy Ltd. Dec 28, 2016 4.3704     0.419999986 N/A 9.87 724.98M 840.18K 10.92 5.59000015
CTF.UN Citadel Income Fund Dec 28, 2016 3.5191     0.119999997 N/A 3.43 70.7M 10K 3.5 2.5999999
KWH.UN Crius Energy Trust Dec 28, 2016 9.3514     0.758400022 2.9 8.45 338.73M 172.3K 9.48999977 7.0999999
ECF.UN East Coast Investment Grade Income Fund Dec 28, 2016 6.3358     0.600000023 N/A 9.47 46.04M 1.8K 9.6800003 8.10000038
ERM Eclipse Residential Mortgage Investment Corporation Class A Shares Dec 28, 2016 6.9153     0.65003997 11.6 9.4 23.46M 0 9.97999954 8.5
EFN Element Fleet Management Corp. Dec 28, 2016 0.8726     0.100000001 13.5 11.78 4.56B 908.76K 17.0799999 11
ENI.UN Energy Income Fund Dec 28, 2016 5.53     0.119999997 N/A 2.17 10.95M 11.68K 2.28999996 1.5
EBC.UN Europe Blue-Chip Dividend & Growth Fund Dec 28, 2016 8.1967     0.600000023 19.1 7.3 39.28M 5.17K 7.90000009 6.40000009
FCR First Capital Realty Inc. Dec 28, 2016 4.1791 Q 92.47% 0.839999973 12.8 20.14 4.9B 405.51K 23.3099994 17.5599994
FFI.UN Flaherty & Crumrine Investment Grade Fixed Income Fund Dec 28, 2016 8.074     0.959999978 24.8 11.81 96.81M 12.9K 12.8699998 11.1099996
GEI Gibson Energy Inc. Dec 28, 2016 7.0892 Q 172.97% 1.32000005 N/A 18.59 2.63B 192.08K 19.0400009 11.46
GDP.UN Global Dividend Fund Dec 28, 2016 3.0303     0.119999997 N/A 0 N/A 0 4.71999979 3.71000003
GDG.UN Global Dividend Growers Income Fund Dec 28, 2016 5.7143     0.660000026 N/A 11.38 108.93M 15.45K 13 10.3599996
HIG.UN Global Healthcare Income & Growth Fund Dec 28, 2016 7.177     0.600000023 76 8.39 50.95M 200 9.39999961 7.84000015
GRL Global Real Estate Dividend Growers Corp. Equity Shares Dec 28, 2016 8.0429     0.600000023 N/A 7.42 80.53M 41.97K 9.25 7.30000019
GBF Globalance Dividend Growers Corp. Equity Shares Dec 28, 2016 6.204     0.500039994 N/A 8.06 46.16M 24.96K 9.4499998 7.21000003
GSB.UN Goldman Sachs U.S. Income Builder Trust Dec 28, 2016 6.6318     0.500039994 N/A 7.57 26.75M 300 7.88999986 6.65000009
HNL Horizon North Logistics Inc. Dec 28, 2016 4.3956 Q 152.38% 0.079999998 N/A 1.83 264.66M 224.18K 2.38000011 1.05999994
IGM IGM Financial Inc. Dec 28, 2016 5.9179 Q 75.32% 2.25 12.9 37.96 9.13B 142.88K 40 31.4699993
IDX.UN INDEXPLUS INCOME FUND Dec 28, 2016 5.5918     0.600000023 N/A 10.73 109.29M 17K 11.3100004 8.80000019
ISV Information Services Corporation Class A Limited Voting Shares Dec 28, 2016 4.627 Q 76.19% 0.800000011 17.5 17.43 305.03M 7.5K 18.8700008 13.2299995
INE Innergex Renewable Energy Inc. Dec 28, 2016 4.6478 Q   0.639999985 N/A 13.87 1.5B 96.79K 15.8000001 9.97999954
INO.UN Inovalis Real Estate Investment Trust Dec 28, 2016 8.9577 M   0.824999988 5.9 9.15 192.16M 18.19K 10.0299997 8.77999973
KPT KP Tissue Inc. Dec 28, 2016 4.5141     0.720000028 N/A 16.2 147.28M 15.63K 16.1650009 9.6999998
MID.UN MINT Income Fund Dec 28, 2016 6.8376     0.479999989 N/A 7.03 83.98M 8.16K 7.17999982 5.7800002
MRE Martinrea International Inc. Dec 28, 2016 1.5686     0.119999997 7.4 7.74 668.62M 456.14K 11.1899995 6.6999998
MR.UN Melcor Real Estate Investment Trust Dec 28, 2016 8.0262     0.675000011 40 8.44 94.12M 6.4K 9 6.5
RCO.UN Middlefield Can-Global REIT Income Fund Dec 28, 2016 6.1313     0.649919986 48.2 10.5 34.8M 7.57K 12.1000003 10.46
ONR.UN OneREIT Dec 28, 2016 8.5714     0.300000011 18.8 3.54 272.73M 88.39K 3.95000004 2.91000008
OR Osisko Gold Royalties Ltd Dec 28, 2016 1.203     0.159999996 36 13.29 1.42B 477.26K 18.6399993 12.3400001
PCD.UN Pathfinder Income Fund Dec 28, 2016 6.8807     0.600000023 N/A 8.8 35.57M 4.16K 9.02000045 7.96000003
PEG Pattern Energy Group Inc. Dec 28, 2016 8.4169     2.18081712 N/A 25.83 2.26B 3.75K 33 20.5
PEY Peyto Exploration & Development Corp. Dec 28, 2016 3.9111 M 77.19% 1.32000005 46.2 34.01 5.6B 429.87K 39.4099998 21.5499992
PBL Pollard Banknote Limited Dec 28, 2016 1.4563     0.119999997 19.6 8.33 196.11M 5.29K 8.9499998 6.1999998
PWF Power Financial Corporation Dec 28, 2016 4.6601 Q 49.73% 1.57000005 13.1 33.73 24.06B 408.15K 34 28.8400001
PBH Premium Brands Holdings Corporation Dec 28, 2016 2.2529 Q 265.38% 1.51999998 32.9 65.68 1.96B 225.93K 71.9800033 35.7799987
IDR.UN REIT INDEXPLUS Income Fund Dec 28, 2016 6.6724     0.779999971 N/A 11.8 75.73M 5.39K 13.8900003 10.8599996
RSI Rogers Sugar Inc. Dec 28, 2016 5.4463 Q 128.57% 0.360000014 9.4 6.63 622.23M 168.28K 6.73999977 4
STN Stantec Inc. Dec 28, 2016 1.2493 Q 23.86% 0.449999988 29.3 36.03 4.11B 263.38K 36.8499984 27.9899997
SOX Stuart Olson Inc. Dec 28, 2016 8.4063     0.479999989 N/A 5.71 153.72M 31.63K 7.13000011 4.4499998
STB Student Transportation Inc. Dec 28, 2016 7.4051 M 1840% 0.579818725 173.4 7.66 705.24M 170.04K 8.02000045 4.2800002
SXP Supremex Inc. Dec 28, 2016 4.6243 Q 52.63% 0.239999994 10.8 5.1 146.03M 17.6K 6.07000017 4.36999988
SSF.UN Symphony Floating Rate Senior Loan Fund Dec 28, 2016 6.8571     0.600000023 N/A 8.7 134.47M 9.9K 8.89999961 7.17000007
TOF.UN Taylor North American Equity Opportunities Fund Dec 28, 2016 5.3106     0.624000012 N/A 11.75 32.68M 0 11.7799997 8.61999988
TLF.UN Tech Leaders Income Fund Dec 28, 2016 7.8736     0.648000001 N/A 8.27 41.91M 500 9 7.21999979
TTY.UN Top 20 Dividend Trust Dec 28, 2016 6.0289     0.500400006 N/A 8.36 42.04M 2.6K 8.31999969 6.55999994
TTE.UN Top 20 Europe Dividend Trust Dec 28, 2016 6.6667     0.5 N/A 7.58 18.09M 2.6K 8.30000019 6.57000017
TUT.UN Top 20 U.S. Dividend Trust Dec 28, 2016 4.6376     0.500400006 N/A 10.5 43.49M 1.1K 10.9399995 9
TOT Total Energy Services Inc. Dec 28, 2016 1.7924     0.239999994 N/A 13.5 417.69M 13.06K 14.9799995 11.0699996
RNW TransAlta Renewables Inc. Dec 28, 2016 6.3858 M 182.86% 0.87996 28.1 13.86 3.11B 81.4K 15.0900001 8.98999977
TRP TransCanada Corporation Dec 28, 2016 3.8527 Q 84.55% 2.25999999 N/A 58.62 50.63B 1.62M 63.4099998 40.5750007
TCN Tricon Capital Group Inc. Dec 28, 2016 2.7542     0.25999999 9.4 9.41 1.06B 104.55K 10.3400001 7.5300002
US U.S. Dividend Growers Income Corp. Equity Shares Dec 28, 2016 5.663     0.500039994 N/A 8.88 75.32M 14.2K 9.35000038 7.51999998
HUL.UN US Buyback Leaders Fund Dec 28, 2016 5.2701     0.400000005 N/A 7.59 37.13M 0 8.10999965 6.19000005
UNS Uni-Select Inc. Dec 28, 2016 1.1475     0.340000003 16.5 30.02 1.27B 71.81K 35.8300018 26.584999
VNR Valener Inc. Dec 28, 2016 5.4581 Q 109.47% 1.12 12.7 20.87 807.48M 48.87K 23.2700004 17.2600002
WSP WSP Global Inc. Dec 28, 2016 3.1712     1.5 30.7 47.7 4.84B 114.91K 48.5 35.1100006
YP.UN YIELDPLUS Income Fund Dec 28, 2016 5.8537     0.360000014 N/A 6.16 93.06M 12.1K 6.21999979 4.86000013
YRI Yamana Gold Inc. Dec 28, 2016 0.664328 Q   0.0267724 N/A 4.01 3.8B 10.82M 7.86999988 2
ZCL ZCL Composites Inc. Dec 28, 2016 2.6208     0.319999992 29.1 12.18 374.17M 26.63K 12.7899999 6.28999996
GSY goeasy Ltd. Dec 28, 2016 2.0704     0.5 10.8 24.33 324.12M 49.56K 27 15.3400001
BNS Bank of Nova Scotia (The) Dec 29, 2016 3.9801 Q 47.55% 2.96000003 12.8 74.29 89.75B 1.37M 74.6299972 51.1699981
UFS Domtar Corporation Dec 29, 2016 4.2993 Q 21.8% 2.22232508 17.2 52.49 3.41B 38.69K 54.8600006 41.6199989
ELF E-L Financial Corporation Limited Dec 29, 2016 0.711238     5 6.5 709.99 2.85B 225 765 630
MDF Mediagrif Interactive Technologies Inc. Dec 29, 2016 2.0997     0.400000005 18.3 19.23 288.43M 1.13K 19.5499992 14.4700002
TD Toronto-Dominion Bank (The) Jan 6, 2017 3.4744 Q 48.92% 2.20000004 13.5 63.6 118.14B 2.37M 64.5899963 48.5200004
TD.PF.G Toronto-Dominion Bank (The) 5-Year Rate Reset Class A First Shares Series 12 Jan 6, 2017 5.1595     1.375 N/A 26.61 745.08M 7.4K 27.2000007 25.0499992
TD.PF.H Toronto-Dominion Bank (The) 5-Year Rate Reset Preferred Shares Series 14 Jan 6, 2017 4.7492     1.21247994 N/A 25.55 1.02B 11.87K 25.9400005 25.2399997
TD.PF.A Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Class A First Preferred Shares Serie Jan 6, 2017 5.0994     0.975000023 N/A 19.07 381.4M 41K 19.8999996 16.0100002
TD.PF.B Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Class A First Preferred Shares Serie Jan 6, 2017 5.0398     0.949999988 N/A 18.79 375.8M 14.73K 19.7199993 16.0499992
TD.PF.D Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Class A First Preferred Shares Serie Jan 6, 2017 4.2959     0.899999976 N/A 21.03 294.42M 4.71K 21.5900001 16.67
TD.PF.E Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Class A First Preferred Shares Serie Jan 6, 2017 4.2784     0.925000011 N/A 21.62 172.96M 2.2K 22.4300003 17.5
TD.PF.C Toronto-Dominion Bank (The) Non-Cumulative 5-Year Rate Reset Preferred Shares Series 5 Jan 6, 2017 4.9578     0.937520027 N/A 18.85 377M 27K 19.7800006 16.1000003
TD.PF.F Toronto-Dominion Bank (The) Non-Cumulative Fixed Rate Class A First Preferred Shares Series 11 Jan 6, 2017 4.9716     1.22500002 N/A 24.72 148.32M 340 25.8400001 21.3999996
GCG Guardian Capital Group Limited Jan 9, 2017 1.4184     0.340000003 10.2 23.97 92.01M 40 24.7199993 16.2000007
GCG.A Guardian Capital Group Limited Class A Non-voting Shares Jan 9, 2017 1.5078     0.340000003 9.6 22.69 608.29M 2.36K 23.2299995 15.5
POT Potash Corporation of Saskatchewan Inc. Jan 10, 2017 2.241 Q 75.25% 0.537837982 29 24.58 20.64B 2.35M 25.8400001 19.9300003
RET Reitmans (Canada) Limited Jan 11, 2017 3.2787     0.200000002 N/A 6.01 80.77M 2.81K 6.90000009 3.65000009
RET.A Reitmans (Canada) Limited Class A Non-voting Shares Jan 11, 2017 3.1201 Q 200% 0.200000002 N/A 6.4 319.3M 41.46K 7.0999999 3.53999996
HWD Hardwoods Distribution Inc. Jan 18, 2017 1.4368     0.25 14.3 17.5 372.9M 13.12K 19.7199993 15.0600004
RY Royal Bank of Canada Jan 24, 2017 3.7843 Q 59.23% 3.31999993 12.9 87.92 130.6B 1.8M 90.1600036 64.5199966
CTC Canadian Tire Corporation Limited Jan 27, 2017 1.3465     2.5999999 21.9 190.01 650.47M 287 209.399993 173
CTC.A Canadian Tire Corporation Limited Class A Non-Voting Shares Jan 27, 2017 1.8595 Q 27.85% 2.5999999 15.9 139.45 9.47B 170.49K 147 101.529998
UNC United Corporations Limited Feb 2, 2017 2.219     2.13000011 8 95.13 1.16B 200 96.6999969 84