Date | Issuer | Insider | Transaction | Amount | New Balance ⓘ
The balance of securities held by registered holder at the time of the transaction. Insiders may direct multiple registered holders and hold multiple security types.
|
|
---|---|---|---|---|---|---|
Filed 2025-06-10 16:41 Tx date 2025-05-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,126,300 vol |
0 | |
Filed 2025-06-10 16:41 Tx date 2025-05-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$774,945
+69,000 vol $11.23 each |
1,126,300 | |
Filed 2025-06-10 16:40 Tx date 2025-05-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$799,183
+71,000 vol $11.26 each |
1,057,300 | |
Filed 2025-06-10 16:39 Tx date 2025-05-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$797,393
+71,000 vol $11.23 each |
986,300 | |
Filed 2025-06-10 16:39 Tx date 2025-05-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$797,947
+71,000 vol $11.24 each |
915,300 | |
Filed 2025-06-10 16:38 Tx date 2025-05-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$509,056
+45,400 vol $11.21 each |
844,300 | |
Filed 2025-06-10 16:37 Tx date 2025-05-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$551,542
+49,600 vol $11.12 each |
798,900 | |
Filed 2025-06-10 16:36 Tx date 2025-05-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$553,070
+50,000 vol $11.06 each |
749,300 | |
Filed 2025-06-10 16:36 Tx date 2025-05-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$560,150
+50,000 vol $11.20 each |
699,300 | |
Filed 2025-06-10 16:35 Tx date 2025-05-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$566,455
+50,000 vol $11.33 each |
649,300 | |
Filed 2025-06-10 16:34 Tx date 2025-05-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$551,879
+49,600 vol $11.13 each |
599,300 | |
Filed 2025-06-10 16:33 Tx date 2025-05-15 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$546,290
+50,000 vol $10.93 each |
549,700 | |
Filed 2025-06-10 16:32 Tx date 2025-05-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$538,280
+50,000 vol $10.77 each |
499,700 | |
Filed 2025-06-10 16:32 Tx date 2025-05-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$532,230
+50,000 vol $10.64 each |
449,700 | |
Filed 2025-06-10 16:31 Tx date 2025-05-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$495,540
+50,000 vol $9.91 each |
399,700 | |
Filed 2025-06-10 16:30 Tx date 2025-05-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$487,830
+50,000 vol $9.76 each |
349,700 | |
Filed 2025-06-10 16:29 Tx date 2025-05-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$485,189
+50,000 vol $9.70 each |
299,700 | |
Filed 2025-06-10 16:29 Tx date 2025-05-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$479,319
+50,000 vol $9.59 each |
249,700 | |
Filed 2025-06-10 16:28 Tx date 2025-05-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$480,950
+50,000 vol $9.62 each |
199,700 | |
Filed 2025-06-10 16:27 Tx date 2025-05-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$477,109
+50,000 vol $9.54 each |
149,700 | |
Filed 2025-06-10 16:26 Tx date 2025-05-02 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$479,750
+50,000 vol $9.60 each |
99,700 | |
Filed 2025-06-10 16:26 Tx date 2025-05-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$474,257
+49,700 vol $9.54 each |
49,700 | |
Filed 2025-06-09 14:23 Tx date 2025-04-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,042,100 vol |
0 | |
Filed 2025-06-09 14:22 Tx date 2025-04-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$474,935
+50,000 vol $9.50 each |
1,042,100 | |
Filed 2025-06-09 14:22 Tx date 2025-04-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$479,540
+50,000 vol $9.59 each |
992,100 | |
Filed 2025-06-09 14:21 Tx date 2025-04-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$483,155
+50,000 vol $9.66 each |
942,100 | |
Filed 2025-06-09 14:20 Tx date 2025-04-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$478,775
+50,000 vol $9.58 each |
892,100 | |
Filed 2025-06-09 14:20 Tx date 2025-04-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$476,065
+50,000 vol $9.52 each |
842,100 | |
Filed 2025-06-09 14:19 Tx date 2025-04-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$472,565
+50,000 vol $9.45 each |
792,100 | |
Filed 2025-06-09 14:18 Tx date 2025-04-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$460,022
+49,400 vol $9.31 each |
742,100 | |
Filed 2025-06-09 14:18 Tx date 2025-04-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$393,130
+42,700 vol $9.21 each |
692,700 | |
Filed 2025-06-09 14:16 Tx date 2025-04-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$466,815
+50,000 vol $9.34 each |
650,000 | |
Filed 2025-06-09 14:16 Tx date 2025-04-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$466,955
+50,000 vol $9.34 each |
600,000 | |
Filed 2025-06-09 14:15 Tx date 2025-04-15 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$470,115
+50,000 vol $9.40 each |
550,000 | |
Filed 2025-06-09 14:14 Tx date 2025-04-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$468,925
+50,000 vol $9.38 each |
500,000 | |
Filed 2025-06-09 14:12 Tx date 2025-04-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$495,695
+50,000 vol $9.91 each |
450,000 | |
Filed 2025-06-09 14:11 Tx date 2025-04-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$444,130
+50,000 vol $8.88 each |
400,000 | |
Filed 2025-06-09 14:11 Tx date 2025-04-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$444,065
+50,000 vol $8.88 each |
350,000 | |
Filed 2025-06-09 14:10 Tx date 2025-04-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$451,340
+50,000 vol $9.03 each |
300,000 | |
Filed 2025-06-09 14:09 Tx date 2025-04-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$449,145
+50,000 vol $8.98 each |
250,000 | |
Filed 2025-06-09 14:09 Tx date 2025-04-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$460,649
+50,000 vol $9.21 each |
200,000 | |
Filed 2025-06-09 14:07 Tx date 2025-04-03 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$484,375
+50,000 vol $9.69 each |
150,000 | |
Filed 2025-06-09 14:07 Tx date 2025-04-02 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$487,025
+50,000 vol $9.74 each |
100,000 | |
Filed 2025-06-09 14:06 Tx date 2025-04-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$489,565
+50,000 vol $9.79 each |
50,000 | |
Filed 2025-04-01 17:19 Tx date 2025-03-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-994,400 vol |
0 | |
Filed 2025-04-01 17:17 Tx date 2025-03-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$482,535
+50,000 vol $9.65 each |
994,400 | |
Filed 2025-04-01 17:17 Tx date 2025-03-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$480,621
+49,900 vol $9.63 each |
944,400 | |
Filed 2025-04-01 17:16 Tx date 2025-03-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$443,336
+45,600 vol $9.72 each |
894,500 | |
Filed 2025-04-01 17:15 Tx date 2025-03-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$487,450
+50,000 vol $9.75 each |
848,900 | |
Filed 2025-04-01 17:15 Tx date 2025-03-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$482,460
+50,000 vol $9.65 each |
798,900 | |
Filed 2025-04-01 17:14 Tx date 2025-03-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$487,560
+50,000 vol $9.75 each |
748,900 | |
Filed 2025-04-01 17:14 Tx date 2025-03-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$484,429
+50,000 vol $9.69 each |
698,900 | |
Filed 2025-04-01 17:13 Tx date 2025-03-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$488,504
+50,000 vol $9.77 each |
648,900 | |
Filed 2025-04-01 17:12 Tx date 2025-03-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$489,045
+50,000 vol $9.78 each |
598,900 | |
Filed 2025-04-01 17:11 Tx date 2025-03-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$484,680
+50,000 vol $9.69 each |
548,900 | |
Filed 2025-04-01 17:10 Tx date 2025-03-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$481,031
+49,700 vol $9.68 each |
498,900 | |
Filed 2025-04-01 17:09 Tx date 2025-03-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$475,391
+49,400 vol $9.62 each |
449,200 | |
Filed 2025-04-01 17:08 Tx date 2025-03-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$472,637
+49,900 vol $9.47 each |
399,800 | |
Filed 2025-04-01 17:08 Tx date 2025-03-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$475,160
+50,000 vol $9.50 each |
349,900 | |
Filed 2025-04-01 17:07 Tx date 2025-03-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$476,925
+50,000 vol $9.54 each |
299,900 | |
Filed 2025-04-01 17:07 Tx date 2025-03-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$479,030
+50,000 vol $9.58 each |
249,900 | |
Filed 2025-04-01 17:06 Tx date 2025-03-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$489,194
+50,000 vol $9.78 each |
199,900 | |
Filed 2025-04-01 17:05 Tx date 2025-03-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$490,656
+49,900 vol $9.83 each |
149,900 | |
Filed 2025-04-01 17:04 Tx date 2025-03-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$494,000
+50,000 vol $9.88 each |
100,000 | |
Filed 2025-04-01 17:04 Tx date 2025-03-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$483,460
+50,000 vol $9.67 each |
50,000 | |
Filed 2025-03-04 18:50 Tx date 2025-02-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,323,300 vol |
0 | |
Filed 2025-03-04 18:48 Tx date 2025-02-03 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$711,192
+70,700 vol $10.06 each |
70,700 | |
Filed 2025-03-04 18:32 Tx date 2025-02-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$725,364
+71,000 vol $10.22 each |
1,323,300 | |
Filed 2025-03-04 18:32 Tx date 2025-02-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$704,369
+71,000 vol $9.92 each |
1,252,300 | |
Filed 2025-03-04 18:31 Tx date 2025-02-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$706,982
+71,000 vol $9.96 each |
1,181,300 | |
Filed 2025-03-04 18:30 Tx date 2025-02-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$706,904
+71,000 vol $9.96 each |
1,110,300 | |
Filed 2025-03-04 18:30 Tx date 2025-02-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$705,669
+71,000 vol $9.94 each |
1,039,300 | |
Filed 2025-03-04 18:29 Tx date 2025-02-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,068
+71,000 vol $9.97 each |
968,300 | |
Filed 2025-03-04 18:29 Tx date 2025-02-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,267
+71,000 vol $9.98 each |
897,300 | |
Filed 2025-03-04 18:28 Tx date 2025-02-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$705,278
+71,000 vol $9.93 each |
826,300 | |
Filed 2025-03-04 18:27 Tx date 2025-02-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$707,877
+71,000 vol $9.97 each |
755,300 | |
Filed 2025-03-04 18:26 Tx date 2025-02-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$721,303
+71,000 vol $10.16 each |
684,300 | |
Filed 2025-03-04 18:26 Tx date 2025-02-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$722,815
+71,000 vol $10.18 each |
613,300 | |
Filed 2025-03-04 18:25 Tx date 2025-02-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$709,855
+70,200 vol $10.11 each |
542,300 | |
Filed 2025-03-04 18:24 Tx date 2025-02-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$508,430
+50,000 vol $10.17 each |
472,100 | |
Filed 2025-03-04 18:24 Tx date 2025-02-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$719,734
+71,000 vol $10.14 each |
422,100 | |
Filed 2025-03-04 18:23 Tx date 2025-02-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,701
+70,000 vol $10.12 each |
351,100 | |
Filed 2025-03-04 18:22 Tx date 2025-02-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$717,959
+71,000 vol $10.11 each |
281,100 | |
Filed 2025-03-04 18:21 Tx date 2025-02-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$699,478
+68,400 vol $10.23 each |
210,100 | |
Filed 2025-03-04 18:20 Tx date 2025-02-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$731,520
+71,000 vol $10.30 each |
141,700 | |
Filed 2025-02-05 14:52 Tx date 2025-01-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,547,300 vol |
0 | |
Filed 2025-02-05 14:49 Tx date 2025-01-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$732,066
+71,000 vol $10.31 each |
1,547,300 | |
Filed 2025-02-05 14:48 Tx date 2025-01-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$745,933
+71,000 vol $10.51 each |
1,476,300 | |
Filed 2025-02-05 14:48 Tx date 2025-01-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$745,059
+71,000 vol $10.49 each |
1,405,300 | |
Filed 2025-02-05 14:47 Tx date 2025-01-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$749,035
+71,000 vol $10.55 each |
1,334,300 | |
Filed 2025-02-05 14:47 Tx date 2025-01-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$753,579
+71,000 vol $10.61 each |
1,263,300 | |
Filed 2025-02-05 14:46 Tx date 2025-01-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$749,170
+71,000 vol $10.55 each |
1,192,300 | |
Filed 2025-02-05 14:45 Tx date 2025-01-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$742,589
+71,000 vol $10.46 each |
1,121,300 | |
Filed 2025-02-05 14:45 Tx date 2025-01-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$740,849
+71,000 vol $10.43 each |
1,050,300 | |
Filed 2025-02-05 14:44 Tx date 2025-01-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$733,792
+71,000 vol $10.34 each |
979,300 | |
Filed 2025-02-05 14:44 Tx date 2025-01-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$735,418
+71,000 vol $10.36 each |
908,300 | |
Filed 2025-02-05 14:43 Tx date 2025-01-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$740,608
+71,000 vol $10.43 each |
837,300 | |
Filed 2025-02-05 14:42 Tx date 2025-01-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$740,672
+71,000 vol $10.43 each |
766,300 | |
Filed 2025-02-05 14:41 Tx date 2025-01-15 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$747,381
+71,000 vol $10.53 each |
695,300 | |
Filed 2025-02-05 14:41 Tx date 2025-01-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$733,472
+71,000 vol $10.33 each |
624,300 | |
Filed 2025-02-05 14:40 Tx date 2025-01-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$702,711
+69,900 vol $10.05 each |
553,300 | |
Filed 2025-02-05 14:39 Tx date 2025-01-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$721,601
+71,000 vol $10.16 each |
483,400 | |
Filed 2025-02-05 14:38 Tx date 2025-01-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$600,655
+58,600 vol $10.25 each |
412,400 | |
Filed 2025-02-05 14:37 Tx date 2025-01-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$721,994
+70,000 vol $10.31 each |
353,800 | |
Filed 2025-02-05 14:36 Tx date 2025-01-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$754,850
+71,000 vol $10.63 each |
283,800 | |
Filed 2025-02-05 14:36 Tx date 2025-01-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$767,360
+71,000 vol $10.81 each |
212,800 | |
Filed 2025-02-05 14:35 Tx date 2025-01-03 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$770,385
+71,000 vol $10.85 each |
141,800 | |
Filed 2025-02-05 14:34 Tx date 2025-01-02 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$771,408
+70,800 vol $10.90 each |
70,800 | |
Filed 2025-01-02 15:13 Tx date 2024-12-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,264,000 vol |
0 | |
Filed 2025-01-02 15:11 Tx date 2024-12-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$543,785
+50,000 vol $10.88 each |
1,264,000 | |
Filed 2025-01-02 15:10 Tx date 2024-12-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$656,479
+60,600 vol $10.83 each |
1,214,000 | |
Filed 2025-01-02 15:09 Tx date 2024-12-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$462,482
+42,300 vol $10.93 each |
1,153,400 | |
Filed 2025-01-02 15:09 Tx date 2024-12-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$324,966
+30,000 vol $10.83 each |
871,600 | |
Filed 2025-01-02 15:08 Tx date 2024-12-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$316,244
+29,200 vol $10.83 each |
1,111,100 | |
Filed 2025-01-02 15:07 Tx date 2024-12-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$770,499
+71,000 vol $10.85 each |
1,081,900 | |
Filed 2025-01-02 15:06 Tx date 2024-12-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$741,929
+68,300 vol $10.86 each |
1,010,900 | |
Filed 2025-01-02 15:05 Tx date 2024-12-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$781,773
+71,000 vol $11.01 each |
942,600 | |
Filed 2025-01-02 15:04 Tx date 2024-12-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$781,120
+71,000 vol $11.00 each |
841,600 | |
Filed 2025-01-02 15:04 Tx date 2024-12-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$791,635
+71,000 vol $11.15 each |
770,600 | |
Filed 2025-01-02 15:03 Tx date 2024-12-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$785,572
+71,000 vol $11.06 each |
699,600 | |
Filed 2025-01-02 15:02 Tx date 2024-12-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$803,123
+71,000 vol $11.31 each |
628,600 | |
Filed 2025-01-02 15:02 Tx date 2024-12-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$808,256
+71,000 vol $11.38 each |
557,600 | |
Filed 2025-01-02 15:01 Tx date 2024-12-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$811,906
+71,000 vol $11.44 each |
486,600 | |
Filed 2025-01-02 15:00 Tx date 2024-12-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$847,740
+71,000 vol $11.94 each |
415,600 | |
Filed 2025-01-02 14:59 Tx date 2024-12-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$838,453
+71,000 vol $11.81 each |
344,600 | |
Filed 2025-01-02 14:58 Tx date 2024-12-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$848,883
+71,000 vol $11.96 each |
273,600 | |
Filed 2025-01-02 14:58 Tx date 2024-12-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$729,377
+61,000 vol $11.96 each |
202,600 | |
Filed 2025-01-02 14:57 Tx date 2024-12-03 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$845,745
+70,600 vol $11.98 each |
141,600 | |
Filed 2025-01-02 14:56 Tx date 2024-12-02 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$841,172
+71,000 vol $11.85 each |
71,000 | |
Filed 2024-12-02 17:21 Tx date 2024-11-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-848,500 vol |
0 | |
Filed 2024-12-02 17:10 Tx date 2024-11-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$834,995
+71,000 vol $11.76 each |
848,500 | |
Filed 2024-12-02 17:09 Tx date 2024-11-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$831,914
+71,000 vol $11.72 each |
777,500 | |
Filed 2024-12-02 17:08 Tx date 2024-11-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$811,104
+71,000 vol $11.42 each |
706,500 | |
Filed 2024-12-02 17:08 Tx date 2024-11-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$806,922
+71,000 vol $11.37 each |
635,500 | |
Filed 2024-12-02 17:07 Tx date 2024-11-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$824,295
+71,000 vol $11.61 each |
564,500 | |
Filed 2024-12-02 17:06 Tx date 2024-11-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$814,703
+71,000 vol $11.47 each |
493,500 | |
Filed 2024-12-02 17:06 Tx date 2024-11-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$810,756
+71,000 vol $11.42 each |
422,500 | |
Filed 2024-12-02 17:05 Tx date 2024-11-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$812,644
+71,000 vol $11.45 each |
351,500 | |
Filed 2024-12-02 17:04 Tx date 2024-11-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$818,821
+71,000 vol $11.53 each |
280,500 | |
Filed 2024-12-02 17:03 Tx date 2024-11-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$29,700
+2,700 vol $11.00 each |
209,500 | |
Filed 2024-12-02 17:03 Tx date 2024-11-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$340,984
+31,000 vol $11.00 each |
206,800 | |
Filed 2024-12-02 17:02 Tx date 2024-11-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$760,359
+69,300 vol $10.97 each |
175,800 | |
Filed 2024-12-02 17:01 Tx date 2024-11-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$16,500
+1,500 vol $11.00 each |
106,500 | |
Filed 2024-12-02 17:01 Tx date 2024-11-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$86,805
+7,900 vol $10.99 each |
105,000 | |
Filed 2024-12-02 17:00 Tx date 2024-11-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$18,690
+1,700 vol $10.99 each |
97,100 | |
Filed 2024-12-02 16:59 Tx date 2024-11-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$206,657
+18,800 vol $10.99 each |
95,400 | |
Filed 2024-12-02 16:58 Tx date 2024-11-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$237,569
+21,600 vol $11.00 each |
76,600 | |
Filed 2024-12-02 16:58 Tx date 2024-11-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$601,502
+55,000 vol $10.94 each |
55,000 | |
Filed 2024-11-06 14:25 Tx date 2024-10-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-379,000 vol |
0 | |
Filed 2024-11-06 14:20 Tx date 2024-10-31 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$772,082
+71,000 vol $10.87 each |
379,000 | |
Filed 2024-11-06 14:19 Tx date 2024-10-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$484,772
+44,200 vol $10.97 each |
308,000 | |
Filed 2024-11-06 14:18 Tx date 2024-10-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$623,306
+57,600 vol $10.82 each |
263,800 | |
Filed 2024-11-06 14:17 Tx date 2024-10-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$775,959
+71,000 vol $10.93 each |
206,200 | |
Filed 2024-11-06 14:17 Tx date 2024-10-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$29,700
+2,700 vol $11.00 each |
135,200 | |
Filed 2024-11-06 14:16 Tx date 2024-10-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$469,913
+42,900 vol $10.95 each |
132,500 | |
Filed 2024-11-06 14:15 Tx date 2024-10-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$495,689
+45,100 vol $10.99 each |
89,600 | |
Filed 2024-11-06 14:14 Tx date 2024-10-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$101,120
+9,200 vol $10.99 each |
44,500 | |
Filed 2024-11-06 14:13 Tx date 2024-10-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$45,100
+4,100 vol $11.00 each |
35,300 | |
Filed 2024-11-06 14:13 Tx date 2024-10-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$117,700
+10,700 vol $11.00 each |
31,200 | |
Filed 2024-11-06 14:12 Tx date 2024-10-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$92,352
+8,400 vol $10.99 each |
20,500 | |
Filed 2024-11-06 14:11 Tx date 2024-10-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$38,500
+3,500 vol $11.00 each |
12,100 | |
Filed 2024-11-06 14:11 Tx date 2024-10-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$94,588
+8,600 vol $11.00 each |
8,600 | |
Filed 2024-10-02 14:01 Tx date 2024-09-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,340,800 vol |
0 | |
Filed 2024-10-02 13:57 Tx date 2024-09-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$287,600
+26,200 vol $10.98 each |
1,340,800 | |
Filed 2024-10-02 13:56 Tx date 2024-09-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$777,123
+71,000 vol $10.95 each |
1,314,600 | |
Filed 2024-10-02 13:55 Tx date 2024-09-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$718,062
+65,800 vol $10.91 each |
1,243,600 | |
Filed 2024-10-02 13:55 Tx date 2024-09-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$765,046
+71,000 vol $10.78 each |
1,177,800 | |
Filed 2024-10-02 13:54 Tx date 2024-09-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$761,439
+71,000 vol $10.72 each |
1,106,800 | |
Filed 2024-10-02 13:53 Tx date 2024-09-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$538,980
+51,400 vol $10.49 each |
1,035,800 | |
Filed 2024-10-02 13:53 Tx date 2024-09-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$738,456
+71,000 vol $10.40 each |
984,400 | |
Filed 2024-10-02 13:52 Tx date 2024-09-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$716,409
+69,300 vol $10.34 each |
913,400 | |
Filed 2024-10-02 13:51 Tx date 2024-09-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$665,112
+65,000 vol $10.23 each |
844,100 | |
Filed 2024-10-01 14:30 Tx date 2024-09-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$729,525
+71,000 vol $10.28 each |
779,100 | |
Filed 2024-10-01 14:30 Tx date 2024-09-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$725,833
+71,000 vol $10.22 each |
708,100 | |
Filed 2024-10-01 14:29 Tx date 2024-09-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$707,660
+69,100 vol $10.24 each |
637,100 | |
Filed 2024-10-01 14:28 Tx date 2024-09-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$716,155
+71,000 vol $10.09 each |
568,000 | |
Filed 2024-10-01 14:27 Tx date 2024-09-11 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,317
+71,000 vol $9.98 each |
497,000 | |
Filed 2024-10-01 14:26 Tx date 2024-09-10 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$704,781
+71,000 vol $9.93 each |
426,000 | |
Filed 2024-10-01 14:25 Tx date 2024-09-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$710,440
+71,000 vol $10.01 each |
355,000 | |
Filed 2024-10-01 14:24 Tx date 2024-09-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$705,044
+71,000 vol $9.93 each |
284,000 | |
Filed 2024-10-01 14:22 Tx date 2024-09-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$712,485
+71,000 vol $10.04 each |
213,000 | |
Filed 2024-10-01 14:22 Tx date 2024-09-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$709,701
+71,000 vol $10.00 each |
142,000 | |
Filed 2024-10-01 14:21 Tx date 2024-09-03 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$702,971
+71,000 vol $9.90 each |
71,000 | |
Filed 2024-09-04 14:37 Tx date 2024-08-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-1,301,700 vol |
0 | |
Filed 2024-09-04 13:11 Tx date 2024-08-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,026
+71,000 vol $9.97 each |
1,301,700 | |
Filed 2024-09-04 13:09 Tx date 2024-08-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$3,000
+300 vol $10.00 each |
1,230,700 | |
Filed 2024-09-04 13:08 Tx date 2024-08-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$429,926
+43,100 vol $9.98 each |
1,230,400 | |
Filed 2024-09-04 13:07 Tx date 2024-08-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$706,833
+71,000 vol $9.96 each |
1,187,300 | |
Filed 2024-09-04 13:07 Tx date 2024-08-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$668,101
+67,100 vol $9.96 each |
1,116,300 | |
Filed 2024-09-04 13:05 Tx date 2024-08-23 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$441,306
+44,500 vol $9.92 each |
1,049,200 | |
Filed 2024-09-04 13:05 Tx date 2024-08-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$693,094
+71,000 vol $9.76 each |
1,004,700 | |
Filed 2024-09-04 13:04 Tx date 2024-08-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$705,164
+71,000 vol $9.93 each |
933,700 | |
Filed 2024-09-04 13:03 Tx date 2024-08-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$704,540
+71,000 vol $9.92 each |
862,700 | |
Filed 2024-09-04 13:02 Tx date 2024-08-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$699,357
+71,000 vol $9.85 each |
791,700 | |
Filed 2024-09-04 13:01 Tx date 2024-08-16 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$354,823
+36,000 vol $9.86 each |
720,700 | |
Filed 2024-09-04 13:00 Tx date 2024-08-15 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$684,418
+71,000 vol $9.64 each |
684,700 | |
Filed 2024-09-04 12:57 Tx date 2024-08-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$632,547
+67,000 vol $9.44 each |
613,700 | |
Filed 2024-09-04 12:56 Tx date 2024-08-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$656,407
+70,700 vol $9.28 each |
546,700 | |
Filed 2024-09-04 12:55 Tx date 2024-08-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$654,939
+71,000 vol $9.22 each |
476,000 | |
Filed 2024-09-04 12:55 Tx date 2024-08-09 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$654,371
+71,000 vol $9.22 each |
405,000 | |
Filed 2024-09-04 12:54 Tx date 2024-08-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$461,380
+50,000 vol $9.23 each |
334,000 | |
Filed 2024-09-04 12:53 Tx date 2024-08-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$655,386
+71,000 vol $9.23 each |
284,000 | |
Filed 2024-09-04 12:52 Tx date 2024-08-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$655,223
+71,000 vol $9.23 each |
213,000 | |
Filed 2024-09-04 12:52 Tx date 2024-08-02 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$662,273
+71,000 vol $9.33 each |
142,000 | |
Filed 2024-09-04 12:51 Tx date 2024-08-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$675,983
+71,000 vol $9.52 each |
71,000 |