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Warrants Alert
Books


THE INVESTOR'S GUIDE TO WARRANTS:

Capitalize on the Fastest Growing Sector of the Stock Market, Second Edition (Hardcover)
by Andrew McHattie   Rating: ISBN-10: 027303751X










Canadian CUSIP Numbers
 
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  dlit d ' lites of america 233224 10 4  
    d ' lites of america 23322d 10 4  
    d & e communications inc com 232860 10 6  
    d & k healthcare res inc com 232861 10 4  
    d & k healthcare res inc put 232861 95 4  
    d & l industries inc y1973t 10 0 phy1973t1008
  dlndy d & l industries inc u/adr/25:1 23340x 10 8 us23340x1081
    d & n financial corporation com 232864 10 8  
    d & n financial corporation warrants exp 12/31/96 232864 12 4  
    d 7 enterprises inc 23343p 10 2 us23343p1021
    d 8 holdings corporation call  g2614k 90 0  
    d 8 holdings corporation put  g2614k 95 0  
    d 8 holdings corporation shares class a  g2614k 11 0  
    d 8 holdings corporation unit g2614k 10 2  
    d 8 holdings corporation warrants exp 08/05/202 g2614k 12 8  
    d a 32 life science tec acquisition c class a com  23312m 10 6  
    d a b industries inc 233025 10 5  
    d a b investments ltd 233026 20 2  
  daat d a c technologies group international inc 23302r 10 7 us23302r1077
  dacg d a consulting group inc com 233027 10 1  
  dlyt d a i s analytic corp 23302x 10 4 us23302x1046
  daln d a l international ltd 23302t 10 3 us23302t1034
    d a p   kr7033310004
  dlndy d and l industries inc 23340x108  
    d and z media acquisition co com class a 23305q 10 6  
    d and z media acquisition co unit exp 01/27/202 23305q 20 5  
    d and z media acquisition co warrants exp 01/27/202  23305q 11 4  
    d b a system inc com 233031 10 3  
    d b a system inc sb db cv 8.25%10 233031 aa 1  
    d b hitek co ltd   ine271c01023
    d b realty limited   fr0010357079
  dbsdf d b s group holdings ltd   tw0002332004
    d b s group holdings ltd 23304y 20 9  
    d b s group holdings ltd 23304y 30 8  
  dbsdy d b s group holdings ltd sp/adr/4:1 23304y 10 0 us23304y1001
    d b s industries inc 233041 30 0 us2330413004
    d b s land limited 23304q 10 7  
    d b t online inc com 233044 10 6  
    d b u b group inc 23306v 20 3 us23306v2034
    d b v technologies s a call 23306j 90 1  
    d b v technologies s a call  23306j 90 0  
    d b v technologies s a put 23306j 95 1  
    d b v technologies s a sp/ads  23306j 30 9  
    d b v technologies sa 23306j 20 0 us23306j2006
  dbvt d b v technologiessa sp/adr/1:2 23306j 10 1 us23306j1016
  tdn d b x etf trust b x etf trust x trackers 2030 target date etf 233052 30 7 us2330523075
    d b x etf trust call  233051 90 0   
    d b x etf trust call  233051 90 1   
    d b x etf trust call  233051 90 2   
    d b x etf trust call  233051 90 3   



    d b x etf trust call  233051 90 4   
    d b x etf trust call  233051 90 6   
    d b x etf trust call  233051 90 7   
    d b x etf trust call  233051 90 9   
    d b x etf trust call  23306x 90 0  
    d b x etf trust call  23306x 90 3  
    d b x etf trust call  23306x 90 4  
    d b x etf trust call  23306x 90 6  
    d b x etf trust call  23306x 90 9  
  dbgr d b x etf trust dx trackr germany hedged equity 233051 40 8 us2330514082
  ihiy d b x etf trust international high yield hedged 233051 45 7 us2330514579
    d b x etf trust put 233051 95 1   
    d b x etf trust put 233051 95 2   
    d b x etf trust put 233051 95 3   
    d b x etf trust put 233051 95 4   
    d b x etf trust put 233051 95 6   
    d b x etf trust put 233051 95 7   
    d b x etf trust put  233051 95 0   
    d b x etf trust put  233051 95 9   
    d b x etf trust put  23306x 95 0  
    d b x etf trust put  23306x 95 3  
    d b x etf trust put  23306x 95 4  
    d b x etf trust put  23306x 95 6  
    d b x etf trust put  23306x 95 9  
  tdd d b x etf trust x trackers 2010 target date etf 233052 10 9 us2330521095
  tdh d b x etf trust x trackers 2020 target date etf 233052 20 8 us2330522085
  tdv d b x etf trust x trackers 2040 target date etf 233052 40 6 us2330524065
  ashx d b x etf trust x trackers csi 300 china a shares hedged equity etf 233051 52 3 us2330515238
  dbre d b x etf trust x trackers dow jones hedged international real estate etf 233051 68 9 us2330516897
  emih d b x etf trust x trackers emerging markets bond interest rate hedged etf 233051 71 3 us2330517135
  deef d b x etf trust x trackers ftse developed ex us enhanced beta etf 233051 51 5 us2330515154
  ashr d b x etf trust x trackers harvest csi 300 china a shares etf 233051 87 9 us2330518794
  ashs d b x etf trust x trackers harvest csi 500 china a shares small capital etf 233051 75 4 us2330517549
  hyih d b x etf trust x trackers high yield corporate bond interest rate hedged etf 233051 74 7 us2330517473
  tdx d b x etf trust x trackers in target date etf 233052 50 5 us2330525054
  igih d b x etf trust x trackers investment grade bond interest rate hedged etf 233051 73 9 us2330517390
  jpn d b x etf trust x trackers japan jpx nikkei 400 equity etf 233051 66 3 us2330516632
  jpnh d b x etf trust x trackers japan jpx nikkei 400 hedged equity etf 233051 65 5 us2330516558
  dbap d b x etf trust x trackers msci ac asia pacific ex japan hedged equity etf 233051 84 6 us2330518463
  cn d b x etf trust x trackers msci all china equity etf of dbx etf trust 233051 76 2 us2330517622
  dbaw d b x etf trust x trackers msci all world ex us hedged equity etf 233051 82 0 us2330518208
  hdaw d b x etf trust x trackers msci all world ex us high dividend yield hedged equity etf 233051 59 8 us2330515980
  dbau d b x etf trust x trackers msci australia hedged equity etf 233051 57 2 us2330515725
  hdef d b x etf trust x trackers msci eafe high dividend yield hedged equity etf 233051 63 0 us2330516301
  dbes d b x etf trust x trackers msci eafe small capital hedged equity etf 233051 58 0 us2330515808
  hdee d b x etf trust x trackers msci emerging markets high dividend yield hedged equity etf 233051 62 2 us2330516228
  dbeu d b x etf trust x trackers msci europe hedged equity etf 233051 85 3 us2330518539
  dbez d b x etf trust x trackers msci eurozone hedged equity etf of dbx etf trust 233051 69 7 us2330516970
  hdez d b x etf trust x trackers msci eurozone high dividend yield hedged equity etf 233051 61 4 us2330516145
  dbit d b x etf trust x trackers msci italy hedged equity etf 233051 55 6 us2330515568



  dbjp d b x etf trust x trackers msci japan hedged equity etf 233051 50 7 us2330515071
  dbmx d b x etf trust x trackers msci mexico hedged equity etf 233051 79 6 us2330517960
  dbko d b x etf trust x trackers msci south korea hedged equity etf 233051 81 2 us2330518125
  dbse d b x etf trust x trackers msci southern europe hedged equity etf 233051 56 4 us2330515642
  dbuk d b x etf trust x trackers msci united kingdom hedged equity etf 233051 86 1 us2330518612
  rvnu d b x etf trust x trackers municipal infrastructure revenue bond etf 233051 70 5 us2330517051
    d b x etf trust x trackers reg utility id 233051 60 6  
  dbif d b x etf trust x trackers s&p hedged global infrastructure etf 233051 67 1 us2330516715
  acsg d b x etf trust xtkr msci acwi 233051 19 2 us2330511922
  emsg d b x etf trust xtkr msci emrg 233051 22 6 us2330512268
  dbbr d b x etf trust xtrack msci brazil hedged equity 233051 30 9 us2330513092
  desc d b x etf trust xtrack russell 2000 compreh 233051 44 0 us2330514405
  hylb d b x etf trust xtrack usd high yield corp 233051 43 2 us2330514322
    d b x etf trust xtrackers artifi  23306x 82 9  
    d b x etf trust xtrackers calif  23306x 85 2  
    d b x etf trust xtrackers cyber  23306x 80 3   
    d b x etf trust xtrackers europe   23306x 77 9  
  demg d b x etf trust xtrackers ftse emerging compre 233051 49 9 us2330514991
  hyup d b x etf trust xtrackers high yield bond 233051 25 9 us2330512599
  hydw d b x etf trust xtrackers low beta high yield bond 233051 26 7 us2330512672
  easg d b x etf trust xtrackers msci 233051 21 8 us2330512185
    d b x etf trust xtrackers msci 233051 13 5 us2330511351
    d b x etf trust xtrackers msci  23306x 60 5  
    d b x etf trust xtrackers net ze 23306x 20 9  
    d b x etf trust xtrackers nifty   23306x 78 7  
    d b x etf trust xtrackers risk m  23306x 10 0  
    d b x etf trust xtrackers rreef  23306x 83 7  
  deus d b x etf trust xtrackers russell 1000 enhanced beta 233051 48 1 us2330514819
    d b x etf trust xtrackers s&p 233051 14 3 us2330511435
    d b x etf trust xtrackers s&p  23306x 79 5  
    d b x etf trust xtrackers s&p md 233051 12 7 us2330511278
    d b x etf trust xtrackers s&p sm 233051 11 9 us2330511195
    d b x etf trust xtrackers semico  23306x 88 6   
  shyl d b x etf trust xtrackers short duration high yield bond 233051 28 3 us2330512839
    d b x etf trust xtrackers us  23306x 70 4   
    d b x etf trust xtrackers us 0 1  23306x 81 1  
    d b x etf trust xtrackers us nat  23306x 86 0  
    d b x etf trust xtrackers usd hg  23306x 87 8  
    d b x etf trust xtrackrs msci 233051 53 1  
    d b x etf trust xtrackrs s&p 500  23306x 30 8  
    d b x etf trust xtrackrs s&p esg  23306x 40 7  
    d b x etf trust xtrackrs s&p esg  23306x 50 6  
  dbef d b x etf trust xtrak msci eafe 233051 20 0 us2330512003
  ifix d b x etf trust xtrck barclays international 233051 46 5 us2330514652
  igvt d b x etf trust xtrck barclays international treasury 233051 47 3 us2330514736
    d b x etf trust xtrckr msci us 233051 15 0 us2330511500
  qarp d b x etf trust xtrckr rusl 1000 233051 24 2 us2330512425
  dbem d b x trackers msci emerging markets hedged equity etf 233051 10 1 us2330511013
    d boral arc acq i corp. shares class a  g2616f 10 1  
    d boral arc acq i corp. unit 07/23/2030  g2616f 12 7  



    d boral arc acq i corp. warrants exp 07/23/203  g2616f 11 9  
  dboxf d box technologies inc 23305p 10 8 ca23305p1080
    d bv technologies s a put  23306j 95 0  
    d c a development corp 233045 10 3  
    d c a p group inc com 233065 20 0  
    d c a total return fund com 233066 10 9  
  dcbb d c b bancshares 23307l 10 5 us23307l1052
    d c b bank ltd   jp3548590003
  dcbf d c b financial corp 233075 10 0 us2330751007
  hrdn d c brands international inc 233078 60 9 us2330786094
    d c brands international inc 233078 30 2 us2330783026
    d c brands international inc 233078 70 8 us2330787084
  dccj d c c compact classics inc 233083 40 1 us2330834019
  dccpy d c c plc u/adr/1:2 23308m 10 2 us23308m1027
    d c h technology inc com 233092 10 5  
  dctc d c i telecommunications inc 233094 20 0 us2330942002
  dciu d c i usa inc 23309p 10 4 us23309p1049
  dciue d c i usa inc 23309p 10 4 us23309p1049
    d c l inc 233108 10 9  
  dcmjf d c m japan holdings co ltd   no0010031479
    d c p midstream llc sr unsecured 144a 23311r ad 8 us23311rad89
  dcp d c p midstream lp com 23311p 10 0 us23311p1003
  dpm d c p midstream partners 23311p 10 0 us23311p1003
    d c p midstream partners lp call 23311p 90 0  
    d c p midstream partners lp put 23311p 95 0  
  dcp.pb d c p midstream pref 7.875% 06/15/23 b 23311p 20 9 us23311p2092
  dcp.pr.b d c p midstream pref 7.875% 06/15/23 b 23311p 20 9 us23311p2092
    d c t industrial trust inc call 233153 90 5  
  dct d c t industrial trust inc com 233153 10 5 us2331531051
  dct d c t industrial trust inc com new 233153 20 4 us2331532042
    d c t industrial trust inc put 233153 95 5  
    d c trading & dev corp 233159 10 2  
    d c w total return fund com 23317c 10 3  
  dcxi d c x inc com 233161 10 8  
    d c x inc com new 233161 30 6  
  cmre.p d costamare inc pref share cmre 8.75 p12/31/49 d y1771g 13 6 mhy1771g1364
    d d 3 acquisition corporation ii com class a 23318m 10 0  
    d d 3 acquisition corporation ii unit 23318m 20 9  
    d d 3 acquisition corporation ii warrants exp 12/10/202 23318m 11 8  
  dddgy d d d group sp/adr 23317k 10 5 us23317k1051
    d d i corporation call 233162 90 6  
  ddic d d i corporation com 233162 10 6  
    d d i corporation com 0.0001 new 233162 50 2 us2331625028
    d d i corporation com par $ .001 233162 30 4  
    d d i corporation note 6.250% 4/0 233162 aa 4  
    d d i corporation put 233162 95 6  
    d d i corporation sub note cv 5.25%08 233162 aa 4  
    d d l electronics inc com 233167 10 5  
  ddr d d r corp 23317h 10 2 us23317h1023
  ddr d d r corp 23317h 85 4 us23317h8549



  ddr.pr.a d d r corp 23317h 87 0 us23317h8705
  ddrc d d r corp 23317h 60 7 us23317h6071
  ddrkl d d r corp 23317h 80 5 us23317h8051
  ddrp d d r corp 23317h 87 0 us23317h8705
  ddrpra d d r corp 23317h 87 0 us23317h8705
  ddrprj d d r corp 23317h 60 7 us23317h6071
  ddrprk d d r corp 23317h 80 5 us23317h8051
    d d r corporation call 23317h 90 2  
    d d r corporation dep h 23317h 50 8 us23317h5081
    d d r corporation dep i 23317h 20 1 us23317h2013
  ddr.pr.k d d r corporation pref share ddr 6.25 p12/31/49 k 23317h 80 5 us23317h8051
  ddr.pr.j d d r corporation pref share ddr 6.5 p12/31/49 j 23317h 60 7 us23317h6071
    d d r corporation put 23317h 95 2  
  ddsu d d s technologies usa inc 23316w 10 0 us23316w1009
    d d s wireless international 23317a 10 7 ca23317a1075
  deix d e i holdings inc 23319e 20 6 us23319e2063
    d e i holdings inc new com 23319e 10 7  
    d e m inc com 233201 10 2  
  depc d e p corporation 233202 10 0  
    d e p corporation class a 233202 20 9  
    d e p corporation class b 233202 30 8  
    d e p corporation com new 233202 40 7  
  deqsf d e q systems corp 233206 10 1 ca2332061019
  dfnr d f & r restaurants inc 23320p 10 9  
  dfbhu d f b healthcare acquisitions corporation unit 01/30/2023 23291e 20 8 us23291e2081
  dfbhw d f b healthcare acquisitions corporation warrants exp 04/11/2023 23291e 11 7 us23291e1174
  dfbh d f b healthcare acquistions co com 23291e 10 9 us23291e1091
    d f c global corporation call 23324t 90 7  
    d f c global corporation com 23324t 10 7 us23324t1079
    d f c global corporation note 3.250% 4/1 23324t ab 3  
    d f c global corporation put 23324t 95 7  
  dfddf d f d s   no0003921009
    d f p healthcare acquisitions co com class a 23343q 10 0  
    d f p healthcare acquisitions co unit 03/31/2025 23343q 20 9  
    d f p healthcare acquisitions co warrants exp 03/31/2025 23343q 11 8  
  dfse d f southeastern inc 232915 10 8  
    d fense capital 23339n 10 3 ca23339n1033
  dgbff d g b financial group co ltd   jp3548510001
    d g fastchannel inc call 23326r 90 9  
    d g fastchannel inc com 23326r 10 9  
    d g fastchannel inc put 23326r 95 9  
  dgjlf d g jewellery of canada ltd 23321u 10 7 ca23321u1075
  dgjlq d g jewellery of canada ltd com 23321u 10 7 ca23321u1075
    d g jewellery of canada ltd warrants exp 03/27/03 23321u 11 5  
    d g jewellery of canada ltd warrants exp 04/16/02 23321u 11 5  
    d g m minerals 23331b 10 7 ca23331b1076
  dgse d g s e companies inc com 23323g 10 6 us23323g1067
  cdqfd d g s minerals inc 23290k 20 5 ca23290k2056
  dgtc d g t holdings corp 23328r 20 6 us23328r2067
    d g t l holdings inc 23343t 10 4 ca23343t1049



    d h b capital corporation class a com 23291w 10 9  
    d h b capital corporation unit 03/31/2028 23291w 20 8  
    d h b capital corporation warrants exp 03/31/2028 23291w 11 7  
    d h b industries inc call 23321e 90 3  
    d h b industries inc com 23321e 10 3  
    d h b industries inc put 23321e 95 3  
    d h c acquisition corporation class a ord shares g2758t 10 9  
    d h c acquisition corporation unit 02/25/2026 g2758t 12 5  
    d h c acquisition corporation warrants exp 02/25/2026 g2758t 11 7  
  dhiff d h corp 23290r 10 1 ca23290r1010
    d h i group inc call 23331s 90 0  
  dhx d h i group inc com 23331s 10 0 us23331s1006
    d h i group inc put 23331s 95 0  
    d h j industries inc 233212 10 9  
  dhsm d h s holding co 23330g 10 7 us23330g1076
    d h t holdings inc call  y2065g 90 1   
    d h t holdings inc com y2065g 10 5 mhy2065g1052
    d h t holdings inc debt 4.500%10/0 23335s ab 2  
    d h t holdings inc note 4.500% 8/1 23335s ad 8  
    d h t holdings inc put  y2065g 95 1   
  dht d h t holdings inc shares new  y2065g 12 1  mhy2065g1219
  dhtk d h technology inc com 232906 10 7  
  ddccf d i c asset ag   aedfxa0m6v00
    d i d i global inc call  23292e 90 8  
    d i d i global inc put  23292e 95 8  
  didi d i d i global inc sp/ads 23292e 10 8  
    d i h holding us inc class a  23290b 10 6  
    d i h holding us inc warrants exp 04/20/202  23290b 11 4  
    d i i group inc call 232949 90 7  
    d i i group inc com 232949 10 7  
    d i i group inc put 232949 95 7  
    d i industries inc com 232909 10 1  
  dimi d i m i telematics international 23331r 30 0 us23331r3003
    d i m i telematics international 23331r 20 1 us23331r2013
    d i o corporation   gb0002502580
  dprtf d i p corporation   th0835010r17
    d i s c inc com 23321a 10 1 us23321a1016
    d i s c inc warrants exp 12/07/97 23321a 11 9  
  diyh d i y home warehouse inc com 23321d 10 5  
    d j o finance llc / dow joneso finance 23327b aq 6 us23327baq68
    d j o finco inc/dow joneso finance 144a 23291a aa 5 us23291aaa51
    d j orthopedics inc call 23325g 90 4  
  djo d j orthopedics inc com 23325g 10 4  
    d j orthopedics inc put 23325g 95 4  
    d k d&i co ltd   dk0060083210
  dkgh d k g capital inc 23341n 10 9 us23341n1090
    d k investors inc 233213 10 7  
  dlbi d l b oil & gas inc com 23322j 10 1  
  dlc d l c realty trust inc 23327u 10 1 us23327u1016
  dldg d l d group inc 23324s 20 8 us23324s2086



  dldgd d l d group inc 23324s 10 9 us23324s1096
    d l f limited   dk0060079531
  dsfoy d l f ltd u/ adr 23290w 10 0 us23290w1009
    d l h holdings corporation call 23335q 90 0  
  dlhc d l h holdings corporation com 23335q 10 0 us23335q1004
    d l h holdings corporation put 23335q 95 0  
  dhy d l j high yield bond fund 23322y 10 8  
    d l r fundings inc 23326q 10 1 us23326q1013
    d l software   jp3548500002
  dlti d l t resolution inc 23342u 10 2 us23342u1025
  dvrrf d l v resources ltd 23342t 10 5 ca23342t1057
    d link corp 23323a 60 4  
  dlinf d link corporation   jp3548740004
    d link corporation 23323a 10 9  
    d m c global inc call 23291c 90 3  
  boom d m c global inc com 23291c 10 3 us23291c1036
    d m c global inc put 23291c 95 3  
  dmcif d m c i holdings inc y2088f 10 0 phy2088f1004
    d m c stratex networks inc call 23322l 90 6  
    d m c stratex networks inc com 23322l 10 6  
    d m c stratex networks inc put 23322l 95 6  
  aptof d m d digital health connections group inc 23290d 10 2 ca23290d1024
  dmei d m e interactive holdings inc 23327k 10 3 us23327k1034
  dmggf d m g blockchain solutions 23345b 20 0 ca23345b2003
  mrsky d m g mori co ltd sp/adr/1:1 23330s 10 1 us23330s1015
    d m h corp 233223 10 6  
  dmhi d m h international inc 233225 20 0 us2332252004
    d m i furniture inc com 233230 10 1  
    d m i inc 233232 30 5  
    d m management co call 233233 90 5  
  dmmc d m management co com 233233 10 5  
    d m management co put z33233 95 5  
    d m r resources ltd 232963 10 8 ca2329631089
    d m t energy inc 233266 10 5 us2332661055
    d m x inc com 23323q 10 4  
  dmxty d m x technologies group ltd sp/adr 233274 10 9 us2332741097
    d m y squared technology group class a com  233276 10 4  
    d m y squared technology group unit holdings  233276 20 3  
    d m y squared technology group warrants exp  233276 11 2  
    d m y technology group inc 233253 10 3  
    d m y technology group inc 233253 11 1  
    d m y technology group inc 233253 90 3  
    d m y technology group inc 233253 95 3  
    d m y technology group inc ii call 233277 90 2  
    d m y technology group inc ii com class a 233277 10 2  
    d m y technology group inc ii put 233277 95 2  
    d m y technology group inc ii unit 233277 20 1  
    d m y technology group inc ii warrants exp 07/29/202 233277 11 0  
    d m y technology group inc iii call 233278 90 0  
    d m y technology group inc iii com class a 233278 10 0  



    d m y technology group inc iii put 233278 95 0  
    d m y technology group inc iii unit 233278 20 9  
    d m y technology group inc iii warrants exp 233278 11 8  
    d m y technology group inc iv com class a 23344k 10 2  
    d m y technology group inc iv unit 23344k 20 1  
    d m y technology group inc iv warrants exp 03/04/202  23344k 11 0  
    d m y technology group inc unit 233253 20 2  
    d m y technology group inc vi class a com 233247 10 5  
    d m y technology group inc vi unit  233247 20 4  
    d m y technology group inc vi warrants exp  233247 11 3  
    d market elec trust services & tradi call  23292b 90 4  
    d market elec trust services & tradi put  23292b 95 4  
    d market electronic services & trading sp/ads  23292b 10 4  
  dmta d mecatronics inc 233279 20 7 us2332792074
    d medical industries ltd shares m28091 10 2  
  dnax d n a brands inc 23328q 10 9 us23328q1094
    d n a brands inc 23328q 20 8 us23328q2084
    d n a brands inc 23328q 30 7 us23328q3074
    d n a chip research   tw0006177009
  dnat d n a medical technologies inc 23324c 10 4 us23324c1045
    d n a oyj 23290a 10 8  
    d n a p holding corporation com 23323k 10 7  
  dnap d n a plant technology corporation com 233236 10 8  
    d n a plt technology corporation pfd cv exchange $ 233236 30 6  
  dnag d n a print genomics inc 23324q 20 2 us23324q2021
  dnbhf d n b asa   vn000000ddn5
    d n b asa 23341c 10 3  
  dnhby d n b asa sp/adr/1:1 23328e 10 6 us23328e1064
  dnbf d n b financial corporation com 233237 10 6 us2332371069
  dndt d n d technologies inc 23325k 20 4 us23325k2042
  bindq d n i b unwind inc 233242 10 6 us2332421062
  dmnkf d n i metals inc 23327v 20 8 ca23327v2084
    d n i metals inc 23327v 10 9 ca23327v1094
  dtnof d n o asa   de0005072300
  dtnoy d n o asa 23290p 10 5  
    d n o asa 23327r 10 8  
  dtnoy d n o asa u/adr/10:1 23290p 10 5 us23290p1057
  dnp d n p select income fund inc com 23325p 10 4 us23325p1049
  dnxx d n x corporation com 233239 10 2  
    d o c optics corp 233240 10 0  
    d p a c technologies corporation com 233269 10 9  
    d p c m capital inc call 23344p 90 1  
    d p c m capital inc com class a 23344p 10 1  
    d p c m capital inc put 23344p 95 1  
    d p c m capital inc unit 23344p 20 0  
    d p c m capital inc warrants exp 10/14/202 23344p 11 9  
    d p g holdings   ine016a01026
    d p l inc call 233293 90 9  
    d p l inc com 233293 10 9  
    d p l inc put 233293 95 9  



  dpwrf d p world ltd   au000000dcn6
    d q e inc call 23329j 90 4  
    d q e inc com 23329j 10 4  
    d q e inc put 23329j 95 4  
  cdaqp d r a crt acquisition corporation reit 23330c 20 5 us23330c2052
    d r c a medical corporation com 233295 10 4  
    d r c res corporation com 233296 10 2  
    d r horton inc call 23331a 90 9  
  dhi d r horton inc com 23331a 10 9 us23331a1097
  drhi d r horton inc com 23331a 10 9 us23331a1097
    d r horton inc note 2.000% 5/1 23331a bb 4  
    d r horton inc note 5/1 23331a ah 2  
    d r horton inc put 23331a 95 9  
    d r horton inc sb nt cv6.875%02 23331a ab 5  
    d r horton inc sr unsec 23331a bj 7 us23331abj79
  tbus d r i corporation com 23330f 10 9 us23330f1093
  tbusq d r i corporation com 23330f 10 9 us23330f1093
    d r s data research   kr7067080002
  drsx d r s inc 23331g 10 6 us23331g1067
    d r s technologies inc call 23330x 90 0  
    d r s technologies inc com 23330x 10 0  
    d r s technologies inc note 2.000% 2/0 23330x am 2  
    d r s technologies inc put 23330x 95 0  
    d r s technologies inc sr sb db cv 9%03 23330x ab 6  
    d r x inc 23331f 10 8 us23331f1084
  dsfn d s a financial corporation 23331w 10 1 us23331w1018
    d s bancor inc com 232907 10 5  
    d s c communications corporation call 233311 90 9  
    d s c communications corporation com 233311 10 9  
    d s c communications corporation put 233311 95 9  
  dsgt d s g global inc 23340c 10 4 us23340c1045
  dsglf d s g international th   kr7078140001
  dskx d s healthcare group inc com 23336q 10 9 us23336q1094
    d s i corp 233312 10 7  
    d s i datotech systems inc 232954 10 7 ca2329541072
  dsdi d s i direct sales inc 23332x 30 6 us23332x3061
  dsdr d s i direct sales inc 23332x 30 6 us23332x3061
  dsds d s i direct sales inc 23332x 30 6 us23332x3061
    d s i industries inc com 233317 10 6  
    d s i realty income fund l p 233318 10 4 us2333181046
    d s i realty income fund l p 233318 20 3 us2333182036
    d s i realty income fund l p 233318 30 2 us2333183026
    d s i realty income fund l p 233318 40 1 us2333184016
    d s i realty income fund l p 233318 50 0 us2333185005
  dsit d s i toys inc com 232968 10 7  
    d s m nv 23332h 20 2  
  dpbsf d s norden   kr7005270004
    d s p communications inc call 23332k 90 6  
  dspc d s p communications inc com 23332k 10 6  
    d s p communications inc put 23332k 95 6  



    d s p group inc call 23332b 90 6  
  dspg d s p group inc com 23332b 10 6 us23332b1061
    d s p group inc put 23332b 95 6  
  dspt d s p technology inc com 233321 10 8  
  dssmy d s smith u/adr/1:10 23335x 10 5 us23335x1054
  dsts d s t systems inc 233325 10 9  
    d s t systems inc del call 233326 90 7  
  dst d s t systems inc del com 233326 10 7 us2333261079
    d s t systems inc del dbcv 3.625% 8/1 233326 ad 9  
    d s t systems inc del dbcv 4.125% 8/1 233326 ab 3  
    d s t systems inc del put 233326 95 7  
    d s w inc call 23334l 90 2  
  dsw d s w inc class a 23334l 10 2 us23334l1026
    d s w inc put 23334l 95 2  
  dsdvf d sv a/s   kr7001130004
  cadt d t asia investments limited g2615j 10 4  
  cadtw d t asia investments limited g2615j 13 8 vgg2615j1387
  cadtr d t asia investments limited rts 09/30/16 g2615j 11 2 vgg2615j1122
  cadtu d t asia investments limited unit g2615j 12 0 vgg2615j1205
    d t c data tech corp 233328 10 3 us2333281036
    d t e energy co call 233331 90 7  
    d t e energy co put 233331 95 7  
  dtv d t e energy co unit 233331 88 3 us2333318838
  dte d t e energy company 233331 10 7 us2333311072
  dtj d t e energy company 233331 80 0 us2333318002
  dty d t e energy company 233331 86 7 us2333318671
  dtz d t e energy company 2011 series i 6.50% junior subordinate debentures due 2061 233331 60 2 us2333316022
  dtq d t e energy company 2012 series c 5.25% 12/01/62 233331 70 1 us2333317012
    d t e energy company com  233331 11 5 us2333311155
  dtw d t e energy company pref 5.25% 12/01/77 e 233331 85 9 us2333318598
    d t e energy company unit 11/01/2022s 233331 84 2 us2333318424
  dtf d t f tax free income 2028 ter com  23334j 10 7 us23334j1079
  dtim d t i medical corp 233333 10 3 us2333331039
    d t industries inc call 23333j 90 8  
  dtii d t industries inc com 23333j 10 8 us23333j1088
    d t industries inc put 23333j 95 8  
  dtmc d t m corporation com 23333l 10 3  
    d t midstream inc call  23345m 90 7  
    d t midstream inc com 23345m 10 7  
    d t midstream inc put  23345m 95 7  
    d t r t health acquisition corporation com class a  23344t 10 3  
    d t r t health acquisition corporation unit 08/31/2029  23344t 20 2  
    d t r t health acquisition corporation warrants exp 08/31/202  23344t 11 1  
  bkct d t s 8 coffee company ltd 23338b 10 0 us23338b1008
  dcsmf d t s corp   kr7054670005
    d t s inc call 23335c 90 1  
  dtsi d t s inc com 23335c 10 1 us23335c1018
    d t s inc put 23335c 95 1  
  dtvn d t v n holdings inc 233337 10 4 us2333371043
  dthr d thera sciences 233362 10 2 us2333621025

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Warrant Terms
  • Expiration Date: The last day the warrants can be exercised. If warrants aren't going to be exercised then they must be sold the day before the expiry date. The longer the time to expiry the more valuable the warrants.
  • Leverage: A measure of how much you can increase your exposure to a share if you bought warrants instead of making a direct investment. It is the current share price divided by the current price of the warrant.
  • Intrinsic Value: The difference between the exercise price and the actual trading price of the common stock. Once the common has gone over the exercise price, the warrants are "In the Money."
  • Volatility: The higher the volatility rating, the higher the price of the warrant. Historical volatility is calculated by using the standard deviation of an underlying stock price over a specific period.
  • Time Value: The difference between the current warrant price and its intrinsic value. Interpreted as the consideration paid for the advantage the warrant buyer has over the direct investor.
  • What Exactly is a Canadian Stock Warrant:
    In Canada, a warrant is a security issued directly by a corporation (not by other traders like options) that gives you the right to buy their stock at a fixed price (the strike) for a set period (usually 2 to 5 years).Key Terms You’ll See on the TSX/TSXV:The Strike Price: The price you pay to "exercise" the warrant.The Expiry Date: The "drop-dead" date. In Canada, these are often longer than US-listed options, giving you years for your thesis to play out.The Acceleration Clause: A uniquely Canadian feature. If the company’s stock stays above a certain price for a set number of days, they can force you to exercise your warrants early.
  • Visualizing the Lifecycle: Visualizing the Lifecycle Unlike a stock that you can hold "forever," a warrant has a clear beginning, middle, and end.Issuance: Usually bundled into a "Unit" (1 Share + 1/2 Warrant) during a private placement or IPO.Separation: After a short period, the warrants "detach" and begin trading under their own symbol.The Exercise Window: Your opportunity to profit.Expiration: If the stock is below the strike price on this day, the warrant becomes worthless.
  • How to Read Canadian Warrant Symbols: If you are looking for these on your brokerage platform you need to know the suffixes. Exchange Suffix Example: Toronto Stock Exchange SHOP.WT.TO, TSX Venture VABC.WT.VN, Canadian Securities Exchange GROW.WT.CN. Pro Tip: If a company has multiple warrants, they are lettered (e.g., ABC.WT.A, ABC.WT.B). Always check the specific terms for the letter you are buying!"
  • The Math: Intrinsic vs. Time Value: Why does a warrant cost $2.00 when the stock is only $1.00 above the strike price?Intrinsic Value: The immediate "cash" value. (Stock Price - Strike Price). Time Value: The "hope" value. You are paying for the potential growth over the next few years. As the expiry date gets closer, this value disappears (a process called Time Decay).
  • Tax Considerations for Canadians: Warrants behave differently than stocks in the eyes of the CRA:Capital Gains: If you buy a warrant for function buildNav() { var container = document.getElementById('pagination-top'); if (!container) return; var html = ''; var delta = 1; // Number of pages to show on each side of current page // 1. PREVIOUS BUTTON if (currentPage > 1) { html += '« Prev'; } // 2. LOGIC FOR NUMBERS AND DOTS for (var i = 1; i <= totalPages; i++) { // Show first page, last page, and pages around the current page if (i === 1 || i === totalPages || (i >= currentPage - delta && i <= currentPage + delta)) { var activeClass = (i === currentPage) ? 'active' : ''; html += '' + i + ''; } // Add dots if there is a gap else if (i === currentPage - delta - 1 || i === currentPage + delta + 1) { html += '...'; } } // 3. NEXT BUTTON if (currentPage < totalPages) { html += 'Next »'; } container.innerHTML = html; } // Run the function buildNav();