Name
|
FundSERV
|
Type
|
Term
|
Price
|
Issue Date
|
Maturity Date
|
NBC Canadian Market Low Volatility with Low Point Flex GIC (USD), series 6
|
NBC26765
|
GIC
|
6 years
|
US$109.91
|
21-Oct-2019
|
21-Oct-2025
|
NBC Canadian Market Low Volatility with Low Point Flex GIC, series 4
|
NBC26755
|
GIC
|
6 years
|
$123.75
|
21-Oct-2019
|
21-Oct-2025
|
NBC Canadian Market Low Volatility with Low Point Flex GIC, series 3F
|
NBC26753
|
GIC
|
5 years
|
$129.44
|
18-Oct-2019
|
18-Oct-2024
|
NBC Canadian Market Low Volatility Flex GIC, series 27F
|
NBC26767
|
GIC
|
3 years
|
$100.00
|
18-Oct-2019
|
18-Oct-2022
|
NBC Canadian Market Low Volatility Flex GIC, series 22F
|
NBC26757
|
GIC
|
2.5 years
|
$110.19
|
16-Oct-2019
|
14-Apr-2022
|
NBC Global companies Flex GIC, series 4
|
NBC26766
|
GIC
|
5 years
|
$102.91
|
16-Oct-2019
|
16-Oct-2024
|
NBC Canadian Market Low Volatility Flex GIC, series 24
|
NBC26761
|
GIC
|
4 years
|
$100.00
|
16-Oct-2019
|
16-Oct-2023
|
NBC Canadian Market Low Volatility with Low Point Flex GIC, series 5
|
NBC26762
|
GIC
|
6 years
|
$126.03
|
10-Oct-2019
|
10-Oct-2025
|
NBC Canadian Market Low Volatility Flex GIC, series 26
|
NBC26764
|
GIC
|
5 years
|
$96.42
|
10-Oct-2019
|
10-Oct-2024
|
NBC Canadian Market Low Volatility Flex GIC, series 25
|
NBC26763
|
GIC
|
4 years
|
$100.00
|
10-Oct-2019
|
10-Oct-2023
|
NBC Canadian Market Low Volatility Flex GIC, series 21F
|
NBC26756
|
GIC
|
2.5 years
|
$109.84
|
01-Oct-2019
|
01-Apr-2022
|
NBC Canadian Market Low Volatility with Low Point Flex GIC, series 2
|
NBC26749
|
GIC
|
6 years
|
$122.58
|
27-Sep-2019
|
26-Sep-2025
|
NBC Canadian Market Low Volatility with Low Point Flex GIC, series 1F
|
NBC26748
|
GIC
|
5 years
|
$128.18
|
25-Sep-2019
|
25-Sep-2024
|
NBC Canadian Market Low Volatility Flex GIC, Series 19
|
NBC26747
|
GIC
|
4 years
|
$100.00
|
25-Sep-2019
|
25-Sep-2023
|
American companies Flex GIC, series 2F
|
NBC26750
|
GIC
|
5 years
|
$120.93
|
23-Sep-2019
|
20-Sep-2024
|