Name
|
FundSERV
|
Type
|
Term
|
Price
|
Issue Date
|
Maturity Date
|
Diversified GIC - Balanced, Series 79
|
NBC11056
|
GIC
|
5 years
|
$117.72
|
18-Sep-2019
|
17-Sep-2024
|
NBC American Market GIC, Series 5, Advisors Category
|
NBC11764
|
GIC
|
5 years
|
$118.00
|
18-Sep-2019
|
17-Sep-2024
|
Canadian Banks GIC, Series 40
|
NBC11623
|
GIC
|
5 years
|
$124.03
|
18-Sep-2019
|
17-Sep-2024
|
Low volatility Canadian market GIC (5-year), Series 20
|
NBC11523
|
GIC
|
5 years
|
$100.00
|
18-Sep-2019
|
17-Sep-2024
|
NBC Canadian Market Low Volatility GIC, Series 16F
|
NBC26741
|
GIC
|
5 years
|
$100.00
|
06-Sep-2019
|
05-Sep-2024
|
NBC American companies GIC, Series 1F
|
NBC26742
|
GIC
|
5 years
|
$125.00
|
29-Aug-2019
|
28-Aug-2024
|
NBC S&P/TSX Composite Low Volatility Index with Low Point Deposit Notes, Series 68F
|
NBC26735
|
PPN
|
5 years
|
$119.64
|
27-Aug-2019
|
27-Aug-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 104F
|
NBC26740
|
PPN
|
5 years
|
$118.18
|
22-Aug-2019
|
22-Aug-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 101F
|
NBC26731
|
PPN
|
5 years
|
$100.33
|
07-Aug-2019
|
07-Aug-2024
|
Global Equity Markets GIC, Series 13F
|
NBC26734
|
GIC
|
4.9 years
|
$127.07
|
01-Aug-2019
|
31-Jul-2024
|
Diversified GIC - Balanced, Series 78
|
NBC11055
|
GIC
|
5 years
|
$118.60
|
31-Jul-2019
|
30-Jul-2024
|
American Market GIC, Series 4
|
NBC11763
|
GIC
|
5 years
|
$120.00
|
31-Jul-2019
|
30-Jul-2024
|
Canadian Banks GIC, Series 39
|
NBC11622
|
GIC
|
5 years
|
$126.27
|
31-Jul-2019
|
30-Jul-2024
|
Low volatility Canadian market GIC (5-year), Series 19
|
NBC11522
|
GIC
|
5 years
|
$100.91
|
31-Jul-2019
|
30-Jul-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 99F
|
NBC26727
|
PPN
|
5 years
|
$99.40
|
15-Jul-2019
|
15-Jul-2024
|