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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










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    m & a west inc 552471 10 4 us5524711042
  msaaf m & c saatchi   au000000mxc6
  mfbp m & f bancorp inc/nc 552507 10 5 us5525071057
    m & f worldwide corporation call 552541 90 4  
    m & f worldwide corporation com 552541 10 4  
    m & f worldwide corporation put 552541 95 4  
    m & g plc   fr0000053027
  mtb m & t bank corporation 55261f 10 4 us55261f1049
    m & t bank corporation call 55261f 90 4  
  mtb.p m & t bank corporation pref share mtb 5 p12/31/49 +a 55261f 60 9 us55261f6097
  mtb.pc m & t bank corporation pref share mtb 6.375 p12/31/49 c 55261f 70 8 us55261f7087
  mtb.pr.c m & t bank corporation pref share mtb 6.375 p12/31/49 c 55261f 70 8 us55261f7087
    m & t bank corporation put 55261f 95 4  
  mtb.w m & t bank corporation warrants exp 12/23/201  55261f 11 2 us55261f1122
    m & t capit 85% 1/31/68 pfd 55292c 20 3 us55292c2035
    m & t mortgage investors 552615 10 6  
  mho m / i homes inc 55305b 10 1 us55305b1017
    m / i homes inc call  55305b 90 1  
    m / i homes inc note 3.000% 3/0  55292p ab 1  
    m / i homes inc note 3.250% cb 09/15/2017 reg 55292p aa 3  
  mho.pr.a m / i homes inc pref share mho 9.75 p12/31/49 a 55305b 20 0 us55305b2007
    m / i homes inc put  55305b 95 1  
  mozo m 101 corp 553133 10 9 us5531331099
    m 2003 plc adr 553793 10 0 us5537931009
    m 3 brigade acquisition ii co com class a  553800 10 3  
    m 3 brigade acquisition ii co unit  553800 20 2  
    m 3 brigade acquisition ii co warrants exp 09/03/202  553800 11 1  
    m 3 brigade acquisition iii class a com  55407r 10 3  
    m 3 brigade acquisition iii unit  55407r 20 2  
    m 3 brigade acquisition iii warrants exp 07/31/202  55407r 11 1  
    m 3 inc 55379n 10 6  
    m 3 inc. 55379n 10 6  
    m 8 entertainment inc 552770 20 8 ca5527702081
    m a c c private equities inc com 552617 10 2  
    m a com inc 552618 10 0  
    m a f bancorp inc call  55261r 90 8   
  mafb m a f bancorp inc com 55261r 10 8  
    m a f bancorp inc put  55261r 95 8   
    m a i a biotechnology inc com  552641 10 2  
  mbf m a i basic four 552620 10 6  
    m a i c holdings inc 55261v 10 9  
    m a i d plc 55261q 10 0  
    m a i i holdings inc 55265b 10 9 us55265b1098
    m a i systems corp 552620 20 5  
    m a m software group inc 55277q 10 2 us55277q1022
  mams m a m software group inc com new  55277q 20 1 us55277q2012
    m a r c inc 552914 10 3  
  massy m a s technology limited 55263a 10 3  
    m a x automation   cne100005pc8
    m b a c fertilizer corp 55276m 10 2 ca55276m1023



    m b a holdings inc 55261x 30 3 us55261x3035
    m b associates 552621 10 4  
    m b b industries   zae000018941
  mb m b bancorp inc 55280e 10 4 us55280e1047
    m b c holding co 55264x 10 2 us55264x1028
    m b caradon plc 55262e 20 5  
    m b f healthcare acquisition c com 552650 10 3  
    m b f healthcare acquisition c unit  552650 20 2  
    m b f healthcare acquisition c w exp 04/16/201 552650 11 1  
    m b f holdings berhad 552980 10 4  
    m b f usa inc 55262r 20 6  
  mbfio m b financial inc 55264u 40 5 us55264u4058
    m b financial inc new call 55264u 90 8  
  mbfi m b financial inc new com  55264u 10 8  us55264u1088
    m b financial inc new put  55264u 95 8  
  mbfip m b financial inc perpetual non cumulative preferred stock series a 55264u 20 7 us55264u2078
  mcbx m b holdings 55262m 10 8  
  mzf m b i a capital claymore mining dur in com 55266x 10 0  
    m b i a inc call  55262c 90 0  
  mbi m b i a inc com 55262c 10 0 us55262c1009
    m b i a inc put  55262c 95 0  
    m b i a insurance corp 55276g 88 1 us55276g8814
    m b i business centers inc 552622 10 2 us5526221024
    m b i financial inc 55274n 10 2 us55274n1028
    m b l a financial corp 552623 10 0  
    m b l group   zae000125316
    m b l international fin bermuda trust corporation bond 55262x aa 2  
  mbrtf m b m i resources inc 552643 30 6 ca5526433068
    m b m i resources inc 552643 10 8 ca5526431088
    m b m i resources inc 552643 20 7 ca5526432078
    m b n a 8.125%trups32 d 55266j 20 0 us55266j2006
  krb m b n a corp 55262l 10 0  
    m b n a corporation call 55262l 90 0   
    m b n a corporation put 55262l 95 0   
  osndf m b n corporation 55278p 10 3 ca55278p1036
    m b o p liquidating trust 552629 20 6 us5526292066
    m b p x l corp 552627 10 1  
    m b retail europe   au000000mrm7
    m b s   zae000050456
  mbsx m b s textbook exchange in 552634 10 7  
    m b t bancshares inc 55281e 10 3 us55281e1038
    m b x biosciences inc call  55287l 90 1  
    m b x biosciences inc com  55287l 10 1  
    m b x biosciences inc put  55287l 95 1  
  brejf m bank s.a   brmmxmtrv000
  pntof m bank s.a   au000000pyl8
  brejy m bank sa u/adr/1:20 552750 10 1 us5527501010
    m c a inc 552653 10 7  
    m c a p acquisition corporation com class a  55282t 10 9  
    m c a p acquisition corporation unit 02/18/2030  55282t 20 8  



    m c a p acquisition corporation warrants exp 03/02/202  55282t 11 7  
    m c b agricole 55276h 10 3  
    m c b c holdings inc call  55276f 90 7  
  mcft m c b c holdings inc com 55276f 10 7 us55276f1075
    m c b c holdings inc put  55276f 95 7  
    m c b investments corp 55265p 10 8 ca55265p1080
  mcdc m c d c casino 552668 10 5  
  msmy m c endeavors inc 552681 10 8 us5526811089
    m c i communications corporation call  552673 90 5  
    m c i communications corporation com  552673 10 5  
    m c i communications corporation put  552673 95 5  
  mcig m c i g inc 55279l 10 1 us55279l1017
    m c i worldcom inc call 552691 90 7   
    m c i worldcom inc call  55268b 90 6  
    m c i worldcom inc com 552691 10 7 us5526911079
    m c i worldcom inc com  55268b 10 6  
    m c i worldcom inc put 552691 95 7   
    m c i worldcom inc put  55268b 95 6  
    m c inc 552642 10 0  
  mcmc m c m capital group inc 55269b 10 5  
    m c m corporation com  552674 10 3  
    m c n energy group inc call  55267j 90 0  
    m c n energy group inc com  55267j 10 0  
    m c n energy group inc put  55267j 95 0  
    m c o resources inc 552900 10 2  
    m c s i inc call  55270m 90 8  
    m c s i inc call  55270m 95 8  
    m c s i inc com 55270m 10 8 us55270m1080
  mtel m c s telecomminications inc 552910 10 1  
  mcx m c shipping inc com 55267q 10 4  
  mctcd m c t c holdings inc 55282a 20 9 us55282a2096
    m c t c holdings inc 55282a 10 0 us55282a1007
    m c w energy group ltd 55279d 10 9 ca55279d1096
    m corporation inc 55267m 10 3 us55267m1036
    m d b capital holdings llc class a  55285n 10 9   
  mir m d c asset investors 55267u 10 5  
    m d c corp 552677 10 6  
    m d c corporation class a sub vtg new  55267w 30 9  
    m d c financial 55267v 10 3 ca55267v1031
  mdc m d c holdings inc 552676 10 8 us5526761086
    m d c holdings inc call 552676 90 8  
    m d c holdings inc put 552676 95 8  
    m d c partners inc call  552697 90 4  
  mdca m d c partners inc class a sub vtg 552697 10 4 ca5526971042
    m d c partners inc put  552697 95 4  
    m d h acquisition corporation com class a  55283p 10 6  
    m d h acquisition corporation unit  55283p 20 5  
    m d h acquisition corporation warrants exp 02/02/202  55283p 11 4  
    m d i entertainment inc com  55268s 10 9  
    m d i inc 552705 20 4 us5527052048



    m d i inc com 552705 10 5  
    m d l information system inc call  55267r 90 2  
  mdli m d l information system inc com  55267r 10 2  
    m d l information system inc put  55267r 95 2  
  mddm m d m group inc 55270e 10 6 us55270e1064
    m d m permian inc 55282p 10 7 us55282p1075
    m d medical group investments plc s/gdr 144a/1:1 55279c 10 1 us55279c1018
    m d medical group investments plc s/gdr regs/1:1 55279c 20 0 us55279c2008
    m d multimedia inc 55270u 10 0 ca55270u1003
    m d n inc 55276l 10 4 ca55276l1040
  mdrzf m d r ltd   brmmxmacnor2
    m d r n a inc call 55276n 90 0  
    m d r n a inc com  55276n 10 0  
    m d r n a inc put 55276n 95 0  
    m d s i mobile data solutions inc com  55268n 10 0   
    m d s inc call 55269p 90 2  
    m d s inc call  55270m 95 8  
    m d s inc com 55269p 30 2  
    m d s inc put 55269p 95 2  
  mdtc m d t corp 552687 10 5  
  mdu m d u resources group inc 552690 10 9 us5526901096
  mdurp m d u resources group inc 4.50 pr 552690 20 8 us5526902086
  mdurn m d u resources group inc 4.70 pr 552690 30 7 us5526903076
    m d u resources group inc call 552690 90 9  
    m d u resources group inc put 552690 95 9  
  meca m e c a software inc 552694 10 1  
  mecsf m e c resources ltd   gb0005991111
    m e d l mobile holdings inc 55278n 10 8 us55278n1081
  megef m e g energy corp 552704 10 8 ca5527041084
    m e g energy corporation rct 552704 11 6 ca5527041167
    m e i diversified inc 552712 10 1 us5527121017
    m e i pharma inc 55279b 10 3 us55279b1035
    m e i pharma inc call  55279b 90 1  
    m e i pharma inc call  55279b 90 2  
    m e i pharma inc com  55279b 30 1  
  meip m e i pharma inc com new  55279b 20 2 us55279b2025
    m e i pharma inc put  55279b 95 1  
    m e i pharma inc put  55279b 95 2  
    m e i pharma inc wrt 5/10/17 55279b 11 1 us55279b1118
    m e l a sciences inc call  55277r 90 0  
    m e l a sciences inc com 55277r 10 0 us55277r1005
    m e l a sciences inc put  55277r 95 0  
    m e m c electronic materials inc call 552715 90 4  
  wfr m e m c electronic materials inc com 552715 10 4 us5527151048
    m e m c electronic materials inc put 552715 95 4  
  meoay m e o australia ltd sp/adr 55276x 10 8 us55276x1081
  mepw m e renewable power corp 552745 10 1 us5527451018
    m e resource corporation 552749 10 3 ca5527491032
  mvc m e v c draper fisher jurvet fund inc com  55271e 10 5  
  mfo m f a financial inc 8.00% sr notes due 2042 55272x 30 0 us55272x3008



    m f a financial inc 8.5%cr pfd a 55272x 20 1 us55272x2018
    m f a financial inc call 55272x 90 2  
    m f a financial inc call 55272x 90 7  
  mfa m f a financial inc com 55272x 10 2 us55272x1028
  mfa.pr.b m f a financial inc com 55272x 40 9 us55272x4097
    m f a financial inc com  55272x 60 7  
    m f a financial inc note 6.25% 1 jun  55272x aa 0  
    m f a financial inc put 55272x 95 2  
    m f a financial inc put 55272x 95 7  
    m f b corporation com 55272d 10 6  
    m f c bancorp ltd com  55271x 10 3  
    m f c bancorp ltd com new 55271x 20 2   
    m f c bancorp ltd dbcv 8.000% 4/0  55271x aa 1  
    m f c industrial ltd call  55278t 90 5  
  mil m f c industrial ltd com 55278t 10 5 ca55278t1057
  mil m f c industrial ltd com 55278t 10 5 us55278t1051
    m f c industrial ltd put  55278t 95 5  
    m f global holdings ltd call  55277j 90 8  
    m f global holdings ltd com 55277j 10 8 us55277j1088
    m f global holdings ltd note 1.875% 2/0  55277j aa 6  
    m f global holdings ltd put  55277j 95 8  
    m f global ltd note 9.000% 6/2  55276y ab 2  
  mfri m f r i inc com 552721 10 2 us5527211024
  mfr m f residential investment 55276a 10 8 us55276a1088
    m f s active exchange traded f blended research   55286w 70 2  
    m f s active exchange traded f blended research   55286w 80 1  
    m f s active exchange traded f mid capital etf  55286w 60 3  
    m f s active exchange traded fund core plus bond etf  55286w 10 8  
    m f s active exchange traded fund growth etf  55286w 20 7  
    m f s active exchange traded fund intermedite muni  55286w 30 6  
    m f s active exchange traded fund internatinl etf  55286w 40 5  
    m f s active exchange traded fund value etf  55286w 50 4  
  mcr m f s charter income trust sh ben int 552727 10 9  us5527271093
    m f s communications inc call  55272t 90 1  
  mfst m f s communications inc com  55272t 10 1  
    m f s communications inc put  55272t 95 1  
  mgf m f s government markets income trust 552939 10 0 us5529391006
  mfo m f s income & opportunity trust 55273b 10 9  
  min m f s intermediate income trust 55273c 10 7 us55273c1071
  mmt m f s multimarket income trust shares of beneficial interest 552737 10 8 us5527371083
  mft m f s multimarket total return 55273p 10 8  
  mfm m f s municipal income trust shares of beneficial interest 552738 10 6 us5527381066
  mfv m f s special value trust 55274e 10 2 us55274e1029
    m f y industries inc 552740 10 2  
  mgcx m g c communications inc com  552763 10 4  
  mgcd m g c diagnostics corporation 552768 10 3 us5527681036
  mgclf m g c pharmaceuticals ltd   no0010791353
  mgcv m g c ventures inc 552773 10 3 us5527731039
    m g e energy inc call  55277p 90 4  
  mgee m g e energy inc com 55277p 10 4 us55277p1049



    m g e energy inc put  55277p 95 4  
    m g f oil corp 552813 10 7  
    m g i c investment corp 552845 10 9  
  mtg m g i c investment corporation wis 552848 10 3 us5528481030
    m g i c investment corporation wis call 552848 90 3  
    m g i c investment corporation wis note 2.000% 4/0  552848 ae 3  
    m g i c investment corporation wis note 5.000% 5/0  552848 ad 5  
    m g i c investment corporation wis put 552848 95 3  
    m g i coutier   gb0007538100
    m g i pharma inc call 552880 90 6  
    m g i pharma inc com 552880 10 6  
    m g i pharma inc note 1.682% 3/0 552880 ab 2  
    m g i pharma inc put 552880 95 6  
    m g i properties inc com  552885 10 5 us5528851059
    m g i tech co ltd class a   jp3890310000
  mchvy m g m china holdings ltd u/adr/12:1 55300r 10 1 us55300r1014
    m g m energy 59318a 10 0 ca59318a1003
    m g m grand hotels inc 553012 10 5  
    m g m growth properties llc call  55303a 90 5  
  mgp m g m growth properties llc class a com  55303a 10 5 us55303a1051
    m g m growth properties llc put  55303a 95 5  
  mgmb m g m holdings inc vtg a 55303c 10 1 us55303c1018
    m g m resorts international inc call  552953 90 1  
  mgm m g m resorts international inc com 552953 10 1 us5529531015
    m g m resorts international inc put  552953 95 1  
    m g m resorts international note 4.250% 4/1  55303q ae 0  
    m g m u a commmunications 552916 10 8  
    m g m u a entertainment co 553013 10 3  
  hegi m g m u a home entertainmemt gp 552906 10 9  
  mgnlf m g n technologies inc 59317w 10 3 ca59317w1032
    m g o global inc com 55317f 10 8   
    m g o global inc com new  55317f 20 7  
    m g p ingredients inc call 55302g 90 3  
    m g p ingredients inc com 55302g 10 3 us55302g1031
    m g p ingredients inc new call  55303j 90 6  
  mgpi m g p ingredients inc new com  55303j 10 6 us55303j1060
    m g p ingredients inc new note 1.875%11/1  55303j ab 2  
    m g p ingredients inc new put  55303j 95 6  
    m g p ingredients inc put 55302g 95 3  
    m g products inc com 55301k 10 5 us55301k1051
  mgt m g t capital investments inc 55302p 20 2 us55302p2020
  mgti m g t capital investments inc 55302p 20 2 us55302p2020
    m g t capital investments inc com 55302p 10 3  
  mgxmf m g x minerals inc ord 55303l 10 1 ca55303l1013
    m h h c enterprises 55304q 10 9 us55304q1094
    m h h c enterprises 55304q 20 8 us55304q2084
    m h i group inc 552925 50 5  
  mdh m h i hospitality corp 55302l 10 2 us55302l1026
    m h i hospitality corporation 55302l 99 5 us55302l9953
  mhmi m h m services inc 55301l 20 2 us55301l2025



    m h m services inc 55301l 10 3  
  mhmc m h meyerson & co inc 55301q 01 2  
    m h p machines inc 553016 10 6  
  mhpsl m h p se s/gdr 144a/1:1 55302t 10 5 us55302t1051
  mhpsy m h p se s/gdr regs/1:1 55302t 20 4 us55302t2042
    m hangura copper mine adr 553763 20 2 us5537632029
  macq m i acquisitions inc com  55304a 10 4 us55304a1043
  macqu m i acquisitions inc unit  55304a 20 3 us55304a2033
  macqw m i acquisitions inc warrants exp 11/15/202  55304a 11 2 us55304a1126
    m i c t inc call  55328r 90 9  
  mict m i c t inc com 55328r 10 9 us55328r1095
    m i c t inc put  55328r 95 9  
    m i development inc call 55304x 90 4  
    m i development inc class a sub vtg 55304x 10 4 ca55304x1042
    m i development inc put 55304x 95 4  
    m i e holdings corporation  g61157 10 6 kyg611571061
  mie m i e holdings corporation sp/adr 55309d 10 3 us55309d1037
  mihl m i h limited   jp3167480007
    m i m corporation call 553044 90 8   
  mims m i m corporation com  553044 10 8   
    m i m corporation put 553044 95 8   
    m i m holdings limited 553045 40 2  
    m i m i 's rock corp 55316n 10 2 ca55316n1024
    m i p properties inc 553051 10 3  
    m i p s ab 55315y 10 9  
    m i s r international bank 55306g 10 9  
    m i s r international bank 55306g 20 8  
    m i schottenstein homes inc 553052 10 1  
    m i software corp 552935 10 8 ca5529351085
  mitd m i t holding inc 55310b 20 3 us55310b2034
    m i t ventures corp 55305d 10 7 ca55305d1078
    m i v a inc call 55311r 90 8  
    m i v a inc com 55311r 10 8  
    m i v a inc put 55311r 95 8  
    m i v therapeutics inc 55306v 20 5 us55306v2051
  mxtmf m i x telematics limited   hk0066009694
  miii m iii acquisition corporation com  55378t 10 4 us55378t1043
  miiiu m iii acquisition corporation unit 55378t 20 3 us55378t2033
  miiiw m iii acquisition corporation warrants exp 10/10/202  55378t 11 2 us55378t1126
    m j harvest inc 55315w 10 3 us55315w1036
  mjne m j holdings inc 553075 10 2 us5530751024
    m j maillis s.a. 55308r 10 3  
    m j p international ltd 553082 10 8 us5530821082
    m j venture partners inc 553089 10 3 us5530891036
    m k 2 ventures ltd 55315m 10 5 ca55315m1059
  mkau m k automotive inc 553094 10 3 us5530941039
  mkau m k gold co com  55305p 10 0  
    m k r holdings 55308u 10 6 us55308u1060
  mkrl m k rail corporation com  55305t 10 2  
    m k s instruments inc call 55306n 90 4   



  mksi m k s instruments inc com 55306n 10 4 us55306n1046
    m k s instruments inc note 1.250% 6/0  55306n ab 0  
    m k s instruments inc put 55306n 95 4   
    m k t g services inc com new  55308x 30 8   
    m l bancorp inc com  55305m 10 7  
  mlch m l c holdings inc com  55305v 10 7  
  mlcg m l capital group inc 55314d 10 6 us55314d1063
  mlcg m l capital group inc 55314d 20 5 us55314d2053
    m l capital group inc 55314d 30 4 us55314d3044
  mls m l convertible securities 553063 10 8  
  mldr m l direct inc com  55306m 10 6  
    m l direct inc warrants a ex 000001  55306m 11 4  
    m l h income realty partnership ii 55307b 10 9 us55307b1098
    m l h income realty partnership iii 552954 10 9 us5529541097
    m l h income realty partnership iv 552955 10 6 us5529551062
    m l macadamia orchards l p dep unit class a  55307u 10 7  us55307u1079
  mtp m l p & strategic equity fund in com 55312n 10 6  
    m l p ag u/ adr 55313m 10 7 us55313m1071
    m l x corp 553076 20 9  
  mlhc m line holdings inc 55313q 10 8 us55313q1085
    m m 2 group inc 55312r 10 7 us55312r1077
  mmabd m m a capital management llc 55315d 10 5 us55315d1054
  mmac m m a capital management llc 55315d 10 5 us55315d1054
  mo m m a offshore ltd   de000a0msn11
    m m c energy inc com new 55312q 20 8  
  mmcn m m c networks inc  55308n 10 2  
    m m c networks inc com  55308n 90 2  
    m m c networks inc put  55308n 95 2  
    m m c norilsk nickel pjsc adr 46626d 10 8 us46626d1081
  nilsy m m c norilsk nickel pjsc sp/adr/10:1 55315j 10 2 us55315j1025
  mmex m m e x resources corp 55314k 30 8 us55314k3086
    m m e x resources corp 55314k 10 0 us55314k1007
    m m e x resources corp 55314k 50 6 us55314k5065
  mmi m m i companies inc 553087 10 7  
    m m i holding limited   jp3167310006
  mpohy m m i holding limited sp/adr/5:1 55314h 10 7 us55314h1077
  mmim m m i medical inc 553088 10 5  
  mmjjf m m j phytotech ltd ord   kr7019590009
    m m o 2 plc adr 55309w 10 1   
  mmrf m m r global inc 55314u 20 7 us55314u2078
    m m r global inc 553101 10 6 us5531011063
    m m r global inc 55314u 10 8 us55314u1088
  mmrh m m r holding corp 553100 10 8  
    m m t ltd adr 55323r 10 4 us55323r1041
  mmxxf m m x mineracao e metalicos s.a   ru000a0jpga0
    m m x mineracao e metalicossa   au000000myo9
    m n b bancshares inc com  553103 10 2  
  mnbc m n b corp 553104 10 0 us5531041003
  mnbo m n b holdings corp 55311e 10 7 us55311e1073
    m n c financial inc 553107 10 3  



  ltony m n c media investment ltd adr 553109 10 9 us5531091099
    m n g enterprises class (b) 55339a 10 3 us55339a1034
  mnap m n p petroleum corp 55315b 10 9 us55315b1098
    m n t n inc call  55318a 90 8  
    m n t n inc class a  55318a 10 8  
    m n t n inc put  55318a 95 8  
  mnxi m n x 553114 10 9  
  mopn m o p environmental solutions 55313w 10 5 us55313w1053
  molpf m p a c group plc   au000000pio5
    m p a c industries corp 553135 10 4 ca5531351040
    m p b corp 553137 10 0  
  mpzzf m p c container ships as   fr0010778050
    m p c corporation com 553166 10 9 us5531661099
    m p c corporation warrants exp 09/29/200 553166 11 7  
    m p c inc 553201 10 4  
    m p e l holdings corp 553211 10 3 us5532111037
  mpevf m p evans group plc   jp3435750009
    m p g office trust inc call  553274 90 1  
    m p g office trust inc com  553274 10 1 us5532741015
    m p g office trust inc put  553274 95 1  
    m p i holdings inc 55330w 10 4 ca55330w1041
    m p i industries inc 553329 10 3  
    m p l communications inc 55335l 10 3 ca55335l1031
    m p l x lp call  55336v 90 0  
  mplx m p l x lp com unit rep ltd  55336v 10 0 us55336v1008
    m p l x lp put  55336v 95 0  
  mpmh m p m holdings inc 55336l 10 2 us55336l1026
  mpmq m p m holdings inc 55336l 10 2 us55336l1026
  mpml m p m technologies inc 553358 20 1 us5533582012
    m p m technologies inc com  553358 10 2  
    m p materials corporation call  553368 90 1  
    m p materials corporation com class a  553368 10 1  
    m p materials corporation put  553368 95 1  
    m p materials corporation warrants exp 05/04/202  553368 11 9  
    m p o videotronics inc 553393 20 8  
    m p s group inc call  553409 90 3  
    m p s group inc com 553409 10 3  
    m p s group inc put 553409 95 3  
    m p s i systems inc com new  553412 10 7  
    m p s i systems inc com new  553412 20 6  
    m p s international corp 553418 10 4  
    m p t v inc 553424 40 9 us5534244091
  mpvr m p ventures inc 553438 10 2 us5534381026
  mpwg m p w industrial services group com 553444 10 0  
    m p x international corporation 55344l 10 2 ca55344l1022
  mphmf m pharmaceutical inc 55346e 20 5 ca55346e2050
    m pharmaceutical inc 55346e 10 6 ca55346e1060
    m r 3 systems inc 55347v 10 7 us55347v1070
  mraif m r c allied inc ord y6145g 12 6 phy6145g1260
    m r c global inc call  55345k 90 3  



  mrc m r c global inc com 55345k 10 3 us55345k1034
    m r c global inc put  55345k 95 3  
    m r f ltd u/ adr 55348j 10 3 us55348j1034
    m r f y corp 553462 10 2  
    m r i business properties fund l p 553465 10 5 us5534651055
    m r i interventions inc 55347p 10 0 us55347p1003
  mric m r i interventions inc com new  55347p 20 9 us55347p2092
  mrim m r i management associates 55346j 10 5  
    m r i medical diagnostics inc 553466 10 3  
    m r l inc 553469 10 7  
    m r o software inc call 55347w 90 5   
    m r o software inc com 55347w 10 5   
    m r o software inc put 55347w 95 5   
    m r r m 553474 10 7 ca5534741072
  mrsi m r s technology inc 553476 10 2 us5534761029
    m r u holdings inc 55348a 10 2 us55348a1025
  mrvc m r v communications inc 553477 40 7 us5534774071
    m r v communications inc call 553477 90 0  
  mrvc m r v communications inc com 553477 10 0  
    m r v communications inc put 553477 95 0  
    m r v communications inc sub nt conv 5%03  553477 ab 6  
    m r v communications inc sub nt cv 144a03  553477 aa 8  
  mrvny m r v engenharia e participacoes sa sp/adr 553479 10 6 us5534791067
  msadf m s & a d insurance group holdings inc   de000a0mseq3
  msady m s & a d insurance group holdings inc u/adr/1:2 553491 10 1 us5534911012
    m s a realty corp 553495 10 2  
    m s a safety inc call  553498 90 6  
    m s a safety inc com  553498 10 6  
    m s a safety inc put  553498 95 6  
  msa m s a safety incorporated 553498 10 6 us5534981064
  mnesp m s a safety incorporated 4.5% pfd 553498 20 5 us5534982054
    m s b bancorp inc com  553517 10 3  
  msbf m s b financial corp/md 55352l 10 1 us55352l1017
    m s b financial corporation com 55352p 10 2 us55352p1021
    m s b financial inc com  553519 10 9  
    m s b global capital corp 553547 10 0 us5535471008
    m s c i inc call  55354g 90 0  
  msci m s c i inc class a 55354g 10 0 us55354g1004
  mxb m s c i inc class a 55354g 10 0 us55354g1004
    m s c i inc put  55354g 95 0  
    m s c income fund inc 55374x 10 9 us55374x1090
    m s c income fund inc com  55374x 20 8  
    m s c industrial direct inc call  553530 90 6  
  msm m s c industrial direct inc class a 553530 10 6 us5535301064
    m s c industrial direct inc put 553530 95 6  
    m s c software corp 553531 ae 4   
    m s c software corporation call 553531 90 4  
    m s c software corporation com 553531 10 4  
    m s c software corporation put 553531 95 4  
    m s c software corporation sd conv 7.875%04  553531 aa 2  

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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();