Skip navigation



Funds 51 to 100 from 165 found Reports Help
Sort by : Name (Click on a column heading to sort up or down)
Name Ticker Net Asset Value Price Discount/Premium
Canadian Wireless Trust
(NAV as of June 13, 2013,Price as of June 17, 2013)
CDW.UN-T 12.64 12.60 -0.32
Canadian World Fund Limited
(NAV as of June 19, 2013,Price as of June 19, 2013)
CWF-T 5.60 3.52 -37.14
Central Fund of Canada Ltd.
(NAV as of June 19, 2013,Price as of June 19, 2013)
CEF.A-T 16.13 15.48 -4.03
Central Gold-Trust
(NAV as of June 19, 2013,Price as of June 19, 2013)
GTU.UN-T 51.87 49.99 -3.62
Convertible & Yield Advantage Trust
(NAV as of June 19, 2013,Price as of June 18, 2013)
CNV.UN-T 23.09 22.49 -2.60
Copernican British Banks
(NAV as of June 19, 2013,Price as of June 19, 2013)
CBB.UN-T 2.04 1.90 -7.00
Copernican Intl Fin Split Corp
(NAV as of June 19, 2013,Price as of June 18, 2013)
CIR-T 0.00 0.04 10000.00
Copernican Intl Fin Split Corp Pfd
(NAV as of June 19, 2013,Price as of June 17, 2013)
CIR.PR.A-T 5.78 5.36 -7.21
Copernican Intl Prem Div
(NAV as of June 19, 2013,Price as of June 13, 2013)
CPM.UN-T 5.56 5.26 -5.41
Copernican World Banks Split Inc
(NAV as of June 19, 2013,Price as of June 11, 2013)
CBW-T 0.00 0.01 10000.00
Copernican World Banks Split Pref
(NAV as of June 19, 2013,Price as of June 19, 2013)
CBW.PR.A-T 4.36 4.11 -5.74
Copernican World Fin Infrastructure
(NAV as of June 19, 2013,Price as of June 13, 2013)
CIW.UN-T 7.50 7.20 -4.03
Cymbria Corp Class A
(NAV as of June 19, 2013,Price as of June 19, 2013)
CYB-T 18.02 16.90 -6.22
DDJ High Yield
(NAV as of June 19, 2013,Price as of June 19, 2013)
HYB.UN-T 11.63 10.46 -10.06
DPF India Opportunities Fund
(NAV as of June 14, 2013,Price as of June 19, 2013)
DPF.UN-T 3.83 3.49 -8.88
Diversified Alpha Fund II
(NAV as of June 19, 2013,Price as of June 19, 2013)
AFT.UN-T 9.17 9.10 -0.76
ENERGY INDEXPLUS DIVIDEND FUND
(NAV as of June 13, 2013,Price as of June 19, 2013)
IDE.UN-T 7.98 7.86 -1.52
Economic Investment Trust
(NAV as of June 13, 2013,Price as of June 19, 2013)
EVT-T 103.05 76.80 -25.47
EnerVest Diversified Income Trust
(NAV as of June 19, 2013,Price as of June 19, 2013)
EIT.UN-T 13.21 11.36 -14.03
EnerVest Energy and Oil Sands Trust
(NAV as of June 19, 2013,Price as of June 19, 2013)
EOS.UN-T 9.55 9.07 -5.07
Energy Leaders Income Fund
(NAV as of June 13, 2013,Price as of June 19, 2013)
HEN.UN-T 11.39 11.07 -2.78
Excel Latin America Bond
(NAV as of June 19, 2013,Price as of June 19, 2013)
ELA.UN-T 9.17 10.40 13.43
Faircourt Gold Income Corp-dl
(NAV as of June 18, 2013,Price as of June 19, 2013)
FGX-T 4.83 5.25 8.67
Faircourt Metals Plus Income Corp
(NAV as of June 18, 2013,Price as of June 19, 2013)
MPI-T 4.61 4.50 -2.33
Faircourt Split Trust
(NAV as of June 18, 2013,Price as of June 19, 2013)
FCS.UN-T 4.74 4.12 -12.99
First Asset CanBanc Split Corp
(NAV as of June 19, 2013,Price as of June 19, 2013)
CBU-T 27.29 24.94 -8.61
First Asset CanBanc Split Corp Pref
(NAV as of June 19, 2013,Price as of June 13, 2013)
CBU.PR.A-T 10.00 10.91 9.10
First Asset Diversified Convertible
(NAV as of June 19, 2013,Price as of June 19, 2013)
DCD.UN-T 16.05 15.60 -2.80
First Asset Energy & Resource
(NAV as of June 19, 2013,Price as of June 18, 2013)
TRF.UN-T 19.99 18.71 -6.40
First Asset Pipes & Power Income
(NAV as of June 13, 2013,Price as of June 19, 2013)
EWP.UN-T 8.38 8.29 -1.07
First Asset REIT Income
(NAV as of June 13, 2013,Price as of June 19, 2013)
RIT.UN-T 12.53 12.26 -2.15
First Asset Tech Giants CvdCall ETF
(NAV as of June 19, 2013,Price as of June 19, 2013)
TXF-T 10.27 10.36 0.88
First Asset TechGiants CvdCallETF-A
(NAV as of June 19, 2013,Price as of June 10, 2013)
TXF.A-T 10.24 10.30 0.59
First Asset Yld Opportunity Tr-A
(NAV as of June 19, 2013,Price as of June 19, 2013)
FAY.UN-T 13.79 14.00 1.52
First Asset Yld Opprty Tr-B (US$)
(NAV as of June 19, 2013,Price as of June 14, 2013)
FAY.U-T 5.08 5.11 0.59
First Trust Adv Short Dur High Yld
(NAV as of June 12, 2013,Price as of June 19, 2013)
FSD.UN-T 11.15 10.80 -3.18
First Trust Adv Sht Dur High Yld-F
(NAV as of June 12, 2013,Price as of )
- 11.82 -  
Focused Global Trends-Class F
(NAV as of June 7, 2013,Price as of )
- 5.74 -  
Front Street Strategic Yield Fund
(NAV as of May 31, 2013,Price as of June 19, 2013)
FSS-T 5.25 5.08 -3.20
Global Advantaged Telecom&Util Inc
(NAV as of June 13, 2013,Price as of June 19, 2013)
HGI.UN-T 8.98 8.81 -1.93
Global Banks Premium Income Trusts
(NAV as of June 19, 2013,Price as of June 19, 2013)
GBP.UN-T 3.41 3.18 -6.68
Global Diversif Inv Grade Inc Tr I
(NAV as of July 15, 2011,Price as of June 19, 2013)
DG.UN-T 5.23 7.50 43.40
Global Diversif Inv Grade Inc Tr II
(NAV as of July 29, 2011,Price as of June 19, 2013)
GII.UN-T 0.46 1.28 178.26
Global Dividend Fund
(NAV as of June 13, 2013,Price as of June 19, 2013)
GDP.UN-T 4.54 4.26 -6.15
Goodman Gold Trust
(NAV as of June 14, 2013,Price as of June 19, 2013)
CMP.UN-T 5.93 5.75 -3.04
Goodman Gold Trust (D)
(NAV as of June 14, 2013,Price as of June 19, 2013)
CMP.UN-T 5.93 5.75 -3.04
High Yield & Mtg Plus Trust
(NAV as of June 19, 2013,Price as of June 19, 2013)
HYM.UN-T 14.41 14.43 0.14
INDEXPLUS Income
(NAV as of June 13, 2013,Price as of June 19, 2013)
IDX.UN-T 12.62 12.41 -1.63
JFT Strategies Fund
(NAV as of June 19, 2013,Price as of June 19, 2013)
JFS.UN-T 10.27 9.94 -3.21
Life & Banc Split Corporation-A
(NAV as of May 31, 2013,Price as of June 19, 2013)
LBS-T 7.01 7.37 5.14
Previous Next

Back to top