| 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 2025-12-08 14:43 Tx date 2025-11-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-814,800 vol |
0 | |
| Filed 2025-12-08 14:40 Tx date 2025-11-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$760,813
+53,200 vol $14.30 each |
814,800 | |
| Filed 2025-12-08 14:39 Tx date 2025-11-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$750,920
+52,900 vol $14.20 each |
761,600 | |
| Filed 2025-12-08 14:37 Tx date 2025-11-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$742,148
+53,000 vol $14.00 each |
708,700 | |
| Filed 2025-12-08 14:35 Tx date 2025-11-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$733,083
+52,500 vol $13.96 each |
655,700 | |
| Filed 2025-12-08 14:35 Tx date 2025-11-24 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$723,690
+53,200 vol $13.60 each |
603,200 | |
| Filed 2025-12-08 14:34 Tx date 2025-11-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$719,732
+53,200 vol $13.53 each |
550,000 | |
| Filed 2025-12-08 14:33 Tx date 2025-11-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$725,158
+53,200 vol $13.63 each |
496,800 | |
| Filed 2025-12-08 14:32 Tx date 2025-11-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$737,639
+53,200 vol $13.87 each |
443,600 | |
| Filed 2025-12-08 14:32 Tx date 2025-11-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$746,385
+53,200 vol $14.03 each |
390,400 | |
| Filed 2025-12-08 14:31 Tx date 2025-11-17 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$757,599
+53,200 vol $14.24 each |
337,200 | |
| Filed 2025-12-08 14:30 Tx date 2025-11-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$774,996
+53,200 vol $14.57 each |
284,000 | |
| Filed 2025-12-08 14:29 Tx date 2025-11-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$811,688
+53,200 vol $15.26 each |
230,800 | |
| Filed 2025-12-08 14:28 Tx date 2025-11-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$365,813
+26,600 vol $13.75 each |
177,600 | |
| Filed 2025-12-08 14:27 Tx date 2025-11-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$718,567
+53,200 vol $13.51 each |
151,000 | |
| Filed 2025-12-08 14:26 Tx date 2025-11-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$600,753
+44,600 vol $13.47 each |
97,800 | |
| Filed 2025-12-08 14:25 Tx date 2025-11-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$708,554
+53,200 vol $13.32 each |
53,200 | |
| Filed 2025-10-02 18:39 Tx date 2025-09-30 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-723,700 vol |
0 | |
| Filed 2025-10-02 18:38 Tx date 2025-09-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$681,595
+52,800 vol $12.91 each |
723,700 | |
| Filed 2025-10-02 18:37 Tx date 2025-09-18 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$686,040
+53,200 vol $12.90 each |
670,900 |