Name
|
FundSERV
|
Type
|
Term
|
Price
|
Issue Date
|
Maturity Date
|
NBC S&P/TSX Composite Low Volatility Index with Low Point Deposit Notes, Series 6F
|
NBC3109
|
PPN
|
6.5 years
|
$107.18
|
06-Dec-2016
|
06-Jun-2023
|
NBC S&P/TSX Composite Low Volatility Index with Low Point Deposit Notes, Series 5
|
NBC3126
|
PPN
|
8.1 years
|
$108.06
|
30-Nov-2016
|
02-Dec-2024
|
NBC Global companies Deposit Notes, Series 26
|
NBC3106
|
PPN
|
8 years
|
$132.30
|
29-Nov-2016
|
29-Nov-2024
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 7
|
NBC3108
|
PPN
|
6 years
|
$109.79
|
28-Nov-2016
|
28-Nov-2022
|
NBC Canadian Blue Chip III Deposit Notes, Series 79
|
NBC1718
|
PPN
|
8.5 years
|
$145.88
|
25-Nov-2016
|
26-May-2025
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 6F
|
NBC3107
|
PPN
|
5 years
|
$128.65
|
21-Nov-2016
|
22-Nov-2021
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 10F
|
|
PPN
|
4.5 years
|
$97.83
|
18-Nov-2016
|
18-May-2021
|
NBC S&P/TSX Composite Low Volatility Index Deposit Notes, Series 9F
|
NBC3110
|
PPN
|
2 years
|
$101.39
|
18-Nov-2016
|
19-Nov-2018
|
NBC Canadian banks Deposit Notes, Series 30
|
NBC3104
|
PPN
|
7 years
|
$114.95
|
14-Nov-2016
|
14-Nov-2023
|
NBC Canadian banks Deposit Notes, Series 32
|
|
PPN
|
5 years
|
$128.64
|
14-Nov-2016
|
15-Nov-2021
|
NBC S&P/TSX Composite Low Volatility Index with Low Point Deposit Notes, Series 3
|
NBC3123
|
PPN
|
8 years
|
$108.89
|
31-Oct-2016
|
31-Oct-2024
|
NBC Canadian Blue Chip III Deposit Notes, Series 78
|
NBC1717
|
PPN
|
8.5 years
|
$153.04
|
31-Oct-2016
|
30-Apr-2025
|
NBC Global companies Deposit Notes, Series 25
|
NBC3099
|
PPN
|
8 years
|
$129.08
|
31-Oct-2016
|
31-Oct-2024
|
NBC S&P/TSX Composite Low Volatility Index with Low Point Deposit Notes, Series 4
|
NBC3125
|
PPN
|
6 years
|
$103.78
|
31-Oct-2016
|
31-Oct-2022
|
NBC Canadian banks Deposit Notes, Series 31
|
|
PPN
|
3 years
|
$108.42
|
28-Oct-2016
|
28-Oct-2019
|