Valeurs

Le rangement donne un aperçu de toutes les valeurs mobilières classées de manière alphabétique ou selon les indices.

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 Brompton Lifeco Split Corp. PRF REDEEM 27/04/2029 CAD 10 LCS.PR.A 29. nov 2024 10.64 0.00   
 Brompton Split Banc Corp. SBC 29. nov 2024 10.52 +0.38   
 Brompton Split Banc Corp. 5.25% PRF REDEEM 29/11/2027 CAD 10 SBC.PR.A 29. nov 2024 10.81 +0.19   
 Brompton Tech Leaders Income ETF TLF 29. nov 2024 25.16 +0.04   
 Brookfield Asset Management BAM 29. nov 2024 80.31 -0.30   
 Brookfield Business A BBUC 29. nov 2024 39.16 -0.61   
 Brookfield Business Partners BBU.UN 29. nov 2024 36.39 -1.91   
 Brookfield Corporation BN 29. nov 2024 86.04 +1.05   
 Brookfield Corporation 4.50% PRF PERPETUAL CAD 25 - Ser 26 C BN.PR.T 29. nov 2024 17.65 0.00   
 Brookfield Corporation 4.75% PRF PERPETUAL CAD 25 - Ser 17 C BN.PR.M 29. nov 2024 19.15 +0.42   
 Brookfield Corporation 4.75% PRF PERPETUAL CAD 25 - Ser 18 C BN.PR.N 29. nov 2024 19.20 +0.26   
 Brookfield Corporation 4.85% PRF PERPETUAL CAD 25 - Ser 36 C BN.PF.C 29. nov 2024 19.66 +0.36   
 Brookfield Corporation 4.90% PRF PERPETUAL CAD 25 - Ser 37 C BN.PF.D 29. nov 2024 19.71 +0.97   
 Brookfield Corporation FR PRF PERPETUAL CAD 25 - Ser 13 Cls BN.PR.K 29. nov 2024 12.20 -0.08   
 Brookfield Corporation FR PRF PERPETUAL CAD 25 - Ser 2 Cls A BN.PR.B 29. nov 2024 12.15 +0.25   
 Brookfield Corporation FR PRF PERPETUAL CAD 25 - Ser 4 Cls A BN.PR.C 29. nov 2024 12.15 -0.33   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 24 C BN.PR.R 29. nov 2024 17.56 +0.29   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 28 C BN.PR.X 29. nov 2024 16.60 +0.42   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 30 C BN.PR.Z 29. nov 2024 21.64 +0.19   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 32 C BN.PF.A 29. nov 2024 24.20 +0.41   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 34 C BN.PF.B 29. nov 2024 21.26 +0.62   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 38 C BN.PF.E 29. nov 2024 19.43 -0.36   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 40 C BN.PF.F 29. nov 2024 20.72 +0.29   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 42 BN.PF.G 29. nov 2024 20.10 -1.08   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 44 C BN.PF.H 29. nov 2024 24.79 -0.44   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 46 BN.PF.I 29. nov 2024 23.90 +0.17   
 Brookfield Corporation FXDFR PRF PERPETUAL CAD 25 - Ser 48 C BN.PF.J 29. nov 2024 23.50 0.00   
 Brookfield Corporation PRF PERPETUAL CAD - Ser 51 Cls A BN.PF.K 29. nov 2024 14.90 0.00   
 Brookfield Corporation PRF PERPETUAL CAD - Ser 52 BN.PF.L 29. nov 2024 13.15 0.00   
 Brookfield Global Infrastructure Securities Income Fund Unit BGI.UN 29. nov 2024 5.03 -0.79   
 


Investtech guarantees neither the entirety nor accuracy of the analyses. Any consequent exposure related to the advice / signals which emerge in the analyses is completely and entirely at the investors own expense and risk. Investtech is not responsible for any loss, either directly or indirectly, which arises as a result of the use of Investtechs analyses. Details of any arising conflicts of interest will always appear in the investment recommendations. Further information about Investtechs analyses can be found here disclaimer. The content provided by Investtech.com is NOT SEC or FSA regulated and is therefore not intended for US or UK consumers.


Investtech guarantees neither the entirety nor accuracy of the analyses. Any consequent exposure related to the advice / signals which emerge in the analyses is completely and entirely at the investors own expense and risk. Investtech is not responsible for any loss, either directly or indirectly, which arises as a result of the use of Investtechs analyses. Details of any arising conflicts of interest will always appear in the investment recommendations. Further information about Investtechs analyses can be found here disclaimer. The content provided by Investtech.com is NOT SEC or FSA regulated and is therefore not intended for US or UK consumers.

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