| 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 2026-06-05 17:09 Tx date 2026-05-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
-277,900 vol |
0 | |
| Filed 2026-06-05 17:08 Tx date 2026-05-29 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,640
+14,800 vol $16.80 each |
277,900 | |
| Filed 2026-06-05 17:07 Tx date 2026-05-28 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,341
+14,700 vol $16.96 each |
263,100 | |
| Filed 2026-06-05 17:06 Tx date 2026-05-27 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,614
+14,500 vol $17.15 each |
248,400 | |
| Filed 2026-06-05 17:06 Tx date 2026-05-26 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,315
+14,500 vol $17.19 each |
233,900 | |
| Filed 2026-06-05 17:05 Tx date 2026-05-25 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,194
+14,800 vol $16.84 each |
219,400 | |
| Filed 2026-06-05 17:04 Tx date 2026-05-22 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$253,186
+15,000 vol $16.88 each |
204,600 | |
| Filed 2026-06-05 17:02 Tx date 2026-05-21 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,965
+15,000 vol $16.60 each |
189,600 | |
| Filed 2026-06-05 17:02 Tx date 2026-05-20 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$250,002
+15,200 vol $16.45 each |
174,600 | |
| Filed 2026-06-05 17:01 Tx date 2026-05-19 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,610
+15,000 vol $16.57 each |
159,400 | |
| Filed 2026-06-05 16:59 Tx date 2026-05-15 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,744
+14,700 vol $16.92 each |
144,400 | |
| Filed 2026-06-05 16:58 Tx date 2026-05-14 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$248,693
+14,600 vol $17.03 each |
129,700 | |
| Filed 2026-06-05 16:57 Tx date 2026-05-13 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,232
+14,800 vol $16.84 each |
115,100 | |
| Filed 2026-06-05 16:56 Tx date 2026-05-12 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,362
+14,800 vol $16.85 each |
100,300 | |
| Filed 2026-06-05 16:56 Tx date 2026-05-08 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,833
+14,100 vol $17.72 each |
85,500 | |
| Filed 2026-06-05 16:55 Tx date 2026-05-07 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,646
+14,100 vol $17.71 each |
71,400 | |
| Filed 2026-06-05 16:54 Tx date 2026-05-06 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,000
+14,100 vol $17.66 each |
57,300 | |
| Filed 2026-06-05 16:53 Tx date 2026-05-05 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,147
+14,300 vol $17.42 each |
43,200 | |
| Filed 2026-06-05 16:53 Tx date 2026-05-04 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,633
+14,500 vol $17.22 each |
28,900 | |
| Filed 2026-06-05 16:47 Tx date 2026-05-01 |
$CHEUN
Chemtrade Logistics Income Fund |
Chemtrade Logistics Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$249,858
+14,400 vol $17.35 each |
14,400 |