Name
|
FundSERV
|
Type
|
Term
|
Price
|
Issue Date
|
Maturity Date
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 37
|
NBC3385
|
PPN
|
5 years
|
$100.00
|
27-Oct-2017
|
27-Oct-2022
|
NBC S&P/TSX Composite Low Volatility with Low Point Deposit Notes, Series 29F
|
NBC3374
|
PPN
|
5.3 years
|
$109.62
|
19-Oct-2017
|
19-Jan-2023
|
NBC Canadian banks with Low Point Deposit Notes, Series 3F
|
NBC3372
|
PPN
|
6 years
|
$104.89
|
17-Oct-2017
|
17-Oct-2023
|
NBC European Market with Low Point Deposit Notes, Series 1F
|
NBC3373
|
PPN
|
7 years
|
$146.08
|
17-Oct-2017
|
17-Oct-2024
|
NBC Canadian banks Deposit Notes, Series 47F
|
NBC3367
|
PPN
|
4.5 years
|
$132.03
|
17-Oct-2017
|
18-Apr-2022
|
NBC S&P/TSX Composite Low Volatility with Low Point Deposit Notes, Series 28
|
NBC3370
|
PPN
|
7 years
|
$107.78
|
16-Oct-2017
|
16-Oct-2024
|
NBC Canadian banks with Low Point Deposit Notes, Series 2
|
NBC3371
|
PPN
|
7 years
|
$115.21
|
16-Oct-2017
|
16-Oct-2024
|
NBC Canadian banks Deposit Notes, Series 48
|
NBC3368
|
PPN
|
7 years
|
$119.62
|
16-Oct-2017
|
16-Oct-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 35
|
NBC3366
|
PPN
|
5.5 years
|
$101.12
|
13-Oct-2017
|
13-Apr-2023
|
European Market Deposit Notes, Series 2
|
NBC3365
|
PPN
|
7 years
|
$136.23
|
12-Oct-2017
|
15-Oct-2024
|
NBC Canadian Blue Chip III Deposit Notes, Series 89
|
NBC2176
|
PPN
|
8 years
|
$138.24
|
06-Oct-2017
|
06-Oct-2025
|
NBC S&P/TSX Composite Low Volatility with Low Point Deposit Notes, Series 27
|
NBC3363
|
PPN
|
8 years
|
$103.05
|
29-Sep-2017
|
29-Sep-2025
|
NBC Global companies Deposit Notes, Series 30F
|
NBC3617
|
PPN
|
7 years
|
|
28-Sep-2017
|
30-Sep-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 34
|
NBC3358
|
PPN
|
5 years
|
$107.64
|
21-Sep-2017
|
21-Sep-2022
|
NBC Canadian banks Deposit Notes, Series 46
|
NBC3362
|
PPN
|
7 years
|
$123.69
|
19-Sep-2017
|
19-Sep-2024
|