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 2022-07-05 17:46 Tx date 2022-06-30 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Warrants
11 - Acquisition or disposition carried out privately
|
+1,123,572 vol |
3,779,822 | |
Filed 2022-06-24 15:46 Tx date 2022-06-23 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Proportionate Voting Shares
36 - Conversion or exchange
|
+75,000 vol |
75,000 | |
Filed 2022-06-24 15:45 Tx date 2021-06-30 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Proportionate Voting Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2022-06-24 15:45 Tx date 2022-06-23 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
36 - Conversion or exchange
|
-7,500,000 vol |
59,178,658 | |
Filed 2022-06-03 12:49 Tx date 2022-05-30 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
11 - Acquisition or disposition carried out privately
|
$629,200
+4,494,286 vol $0.14 each |
66,678,658 | |
Filed 2022-04-29 21:41 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-550.00
-1,000 vol $0.55 each |
876,100 | |
Filed 2022-04-29 21:40 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-900.00
-2,000 vol $0.45 each |
877,100 | |
Filed 2022-04-29 21:39 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-645.00
-1,500 vol $0.43 each |
879,100 | |
Filed 2022-04-29 21:39 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-1,200
-3,000 vol $0.40 each |
880,600 | |
Filed 2022-04-29 21:37 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-5,850
-15,000 vol $0.39 each |
883,600 | |
Filed 2022-04-29 21:36 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-760.00
-2,000 vol $0.38 each |
898,600 | |
Filed 2022-04-29 21:35 Tx date 2022-04-26 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-7,000
-20,000 vol $0.35 each |
900,600 | |
Filed 2022-04-27 08:23 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-1,800
-900 vol $2.00 each |
920,600 | |
Filed 2022-04-27 08:22 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-525.00
-300 vol $1.75 each |
921,500 | |
Filed 2022-04-27 08:22 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-1,600
-1,000 vol $1.60 each |
921,800 | |
Filed 2022-04-27 08:21 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-1,550
-1,000 vol $1.55 each |
922,800 | |
Filed 2022-04-27 08:20 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-2,550
-1,700 vol $1.50 each |
923,800 | |
Filed 2022-04-27 08:20 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-520.00
-400 vol $1.30 each |
925,500 | |
Filed 2022-04-27 08:19 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-60,000
-50,000 vol $1.20 each |
925,900 | |
Filed 2022-04-27 08:18 Tx date 2022-04-25 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-17,250
-15,000 vol $1.15 each |
975,900 | |
Filed 2022-04-25 21:04 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-3,550
-1,000 vol $3.55 each |
990,900 | |
Filed 2022-04-25 21:04 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-3,250
-1,000 vol $3.25 each |
991,900 | |
Filed 2022-04-25 21:03 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-11,760
-2,800 vol $4.20 each |
992,900 | |
Filed 2022-04-25 21:03 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-2,500
-1,000 vol $2.50 each |
995,700 | |
Filed 2022-04-25 21:02 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-900.00
-300 vol $3.00 each |
996,700 | |
Filed 2022-04-25 21:02 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-4,350
-1,000 vol $4.35 each |
997,000 | |
Filed 2022-04-25 21:01 Tx date 2022-04-22 |
$GAMA
Gama Explorations Inc. |
Blue Lagoon Resources Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-8,540
-2,000 vol $4.27 each |
998,000 | |
Filed 2021-07-22 15:33 Tx date 2021-07-22 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
11 - Acquisition or disposition carried out privately
|
$2,125,000
+5,312,500 vol $0.40 each |
62,184,372 | |
Filed 2021-07-22 14:54 Tx date 2021-07-22 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Warrants
11 - Acquisition or disposition carried out privately
|
+2,656,250 vol |
2,656,250 | |
Filed 2021-07-22 14:53 Tx date 2021-06-30 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Warrants
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2021-07-22 14:53 Tx date 2021-07-22 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
11 - Acquisition or disposition carried out privately
|
$2,085,000
+5,212,500 vol $0.40 each |
||
Filed 2021-07-22 14:53 Tx date 2021-07-22 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
11 - Acquisition or disposition carried out privately
|
$2,085,000
+5,212,500 vol $0.40 each |
62,084,372 | |
Filed 2021-06-30 15:30 Tx date 2021-06-30 |
$GSQ
GameSquare Esports Inc. |
Blue & Silver Ventures, Ltd.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
56,871,872 | ||
Filed 2021-06-22 08:56 Tx date 2021-06-21 |
$EGLX
Enthusiast Gaming Holdings Inc. (formerly J55 Capital Corp.) |
Blue Ant Media Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
15 - Acquisition or disposition under a prospectus
|
$-3,450,000
-600,000 vol $5.75 each |
14,832,500 | |
Filed 2021-06-22 08:55 Tx date 2021-06-21 |
$EGLX
Enthusiast Gaming Holdings Inc. (formerly J55 Capital Corp.) |
Blue Ant Media Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-3,450,000
-600,000 vol $5.75 each |
||
Filed 2021-06-22 08:45 Tx date 2021-06-21 |
$EGLX
Enthusiast Gaming Holdings Inc. (formerly J55 Capital Corp.) |
Blue Ant Media Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-3,450,000
-600,000 vol $5.75 each |
||
Filed 2021-05-05 16:49 Tx date 2021-04-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,089
-1,300 vol $8.53 each |
0 | |
Filed 2021-05-05 16:48 Tx date 2021-04-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,089
+1,300 vol $8.53 each |
1,300 | |
Filed 2021-05-05 16:47 Tx date 2021-04-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,037
-1,300 vol $8.49 each |
0 | |
Filed 2021-05-05 16:47 Tx date 2021-04-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,037
+1,300 vol $8.49 each |
1,300 | |
Filed 2021-05-05 16:46 Tx date 2021-04-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,089
-1,300 vol $8.53 each |
0 | |
Filed 2021-05-05 16:46 Tx date 2021-04-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,089
+1,300 vol $8.53 each |
1,300 | |
Filed 2021-05-05 16:45 Tx date 2021-04-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,102
-1,300 vol $8.54 each |
0 | |
Filed 2021-05-05 16:45 Tx date 2021-04-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,101
+1,300 vol $8.54 each |
1,300 | |
Filed 2021-05-05 16:44 Tx date 2021-04-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,102
-1,300 vol $8.54 each |
0 | |
Filed 2021-05-05 16:44 Tx date 2021-04-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,101
+1,300 vol $8.54 each |
1,300 | |
Filed 2021-05-05 16:43 Tx date 2021-04-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-4,250
-500 vol $8.50 each |
0 | |
Filed 2021-05-05 16:43 Tx date 2021-04-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$4,250
+500 vol $8.50 each |
500 | |
Filed 2021-04-07 14:35 Tx date 2021-03-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,920
+1,300 vol $8.40 each |
1,300 | |
Filed 2021-04-07 14:32 Tx date 2021-03-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-6,648
-800 vol $8.31 each |
0 | |
Filed 2021-04-07 14:31 Tx date 2021-03-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$6,648
+800 vol $8.31 each |
800 | |
Filed 2021-04-07 14:30 Tx date 2021-03-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,816
-1,300 vol $8.32 each |
0 | |
Filed 2021-04-07 14:30 Tx date 2021-03-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,816
+1,300 vol $8.32 each |
1,300 | |
Filed 2021-04-07 14:29 Tx date 2021-03-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,829
-1,300 vol $8.33 each |
0 | |
Filed 2021-04-07 14:28 Tx date 2021-03-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,829
+1,300 vol $8.33 each |
1,300 | |
Filed 2021-04-07 14:28 Tx date 2021-03-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,829
-1,300 vol $8.33 each |
0 | |
Filed 2021-04-07 14:27 Tx date 2021-03-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,829
+1,300 vol $8.33 each |
1,300 | |
Filed 2021-04-07 14:24 Tx date 2021-03-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,920
-1,300 vol $8.40 each |
0 | |
Filed 2021-04-07 14:22 Tx date 2021-02-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,920
+1,300 vol $8.40 each |
||
Filed 2021-04-07 14:21 Tx date 2021-03-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,959
-1,300 vol $8.43 each |
0 | |
Filed 2021-04-07 14:21 Tx date 2021-03-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,959
+1,300 vol $8.43 each |
1,300 | |
Filed 2021-04-07 14:20 Tx date 2021-03-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,829
-1,300 vol $8.33 each |
0 | |
Filed 2021-04-07 14:19 Tx date 2021-03-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,829
+1,300 vol $8.33 each |
1,300 | |
Filed 2021-04-07 14:18 Tx date 2021-03-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,174
-1,100 vol $8.34 each |
0 | |
Filed 2021-04-07 14:18 Tx date 2021-03-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,174
+1,100 vol $8.34 each |
1,100 | |
Filed 2021-04-07 14:17 Tx date 2021-03-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,666
-200 vol $8.33 each |
0 | |
Filed 2021-04-07 14:17 Tx date 2021-03-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,666
+200 vol $8.33 each |
200 | |
Filed 2021-04-07 14:16 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-4,992
-600 vol $8.32 each |
0 | |
Filed 2021-04-07 14:16 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$4,992
+600 vol $8.32 each |
600 | |
Filed 2021-04-07 14:15 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-4,974
-600 vol $8.29 each |
0 | |
Filed 2021-04-07 14:15 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$4,973
+600 vol $8.29 each |
600 | |
Filed 2021-04-07 14:13 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-828.00
-100 vol $8.28 each |
0 | |
Filed 2021-04-07 14:12 Tx date 2021-03-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$828.00
+100 vol $8.28 each |
100 | |
Filed 2021-04-07 14:11 Tx date 2021-03-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,712
-1,300 vol $8.24 each |
0 | |
Filed 2021-04-07 14:11 Tx date 2021-03-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,712
+1,300 vol $8.24 each |
1,300 | |
Filed 2021-04-07 14:11 Tx date 2021-03-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,647
-1,300 vol $8.19 each |
0 | |
Filed 2021-04-07 14:10 Tx date 2021-03-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,647
+1,300 vol $8.19 each |
1,300 | |
Filed 2021-04-07 14:09 Tx date 2021-03-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,608
-1,300 vol $8.16 each |
0 | |
Filed 2021-04-07 14:09 Tx date 2021-03-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,608
+1,300 vol $8.16 each |
1,300 | |
Filed 2021-04-07 14:08 Tx date 2021-03-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,582
-1,300 vol $8.14 each |
0 | |
Filed 2021-04-07 14:08 Tx date 2021-03-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,582
+1,300 vol $8.14 each |
1,300 | |
Filed 2021-04-07 14:07 Tx date 2021-03-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,530
-1,300 vol $8.10 each |
0 | |
Filed 2021-04-07 14:07 Tx date 2021-03-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,530
+1,300 vol $8.10 each |
1,300 | |
Filed 2021-04-07 14:06 Tx date 2021-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,478
-1,300 vol $8.06 each |
0 | |
Filed 2021-04-07 14:05 Tx date 2021-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,478
+1,300 vol $8.06 each |
1,300 | |
Filed 2021-04-07 14:05 Tx date 2021-03-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,374
-1,300 vol $7.98 each |
0 | |
Filed 2021-04-07 14:04 Tx date 2021-03-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,374
+1,300 vol $7.98 each |
1,300 | |
Filed 2021-03-05 14:21 Tx date 2021-02-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,439
-1,300 vol $8.03 each |
0 | |
Filed 2021-03-05 14:21 Tx date 2021-02-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,439
+1,300 vol $8.03 each |
1,300 | |
Filed 2021-03-05 14:20 Tx date 2021-02-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,439
-1,300 vol $8.03 each |
0 | |
Filed 2021-03-05 14:19 Tx date 2021-02-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,439
+1,300 vol $8.03 each |
1,300 | |
Filed 2021-03-05 14:18 Tx date 2021-02-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,465
-1,300 vol $8.05 each |
0 | |
Filed 2021-03-05 14:18 Tx date 2021-02-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,465
+1,300 vol $8.05 each |
1,300 | |
Filed 2021-03-05 14:17 Tx date 2021-02-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,478
-1,300 vol $8.06 each |
0 | |
Filed 2021-03-05 14:17 Tx date 2021-02-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,478
+1,300 vol $8.06 each |
1,300 | |
Filed 2021-03-05 14:16 Tx date 2021-02-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,556
-1,300 vol $8.12 each |
0 | |
Filed 2021-03-05 14:16 Tx date 2021-02-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,555
+1,300 vol $8.12 each |
1,300 | |
Filed 2021-03-05 14:15 Tx date 2021-02-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,543
-1,300 vol $8.11 each |
0 | |
Filed 2021-03-05 14:14 Tx date 2021-02-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,543
+1,300 vol $8.11 each |
1,300 | |
Filed 2021-03-05 14:13 Tx date 2021-02-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,465
-1,300 vol $8.05 each |
0 | |
Filed 2021-03-05 14:13 Tx date 2021-02-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,465
+1,300 vol $8.05 each |
1,300 | |
Filed 2021-03-05 14:12 Tx date 2021-02-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,400
-1,300 vol $8.00 each |
0 | |
Filed 2021-03-05 14:11 Tx date 2021-02-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,400
+1,300 vol $8.00 each |
1,300 | |
Filed 2021-03-05 14:11 Tx date 2021-02-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,400
-1,300 vol $8.00 each |
0 | |
Filed 2021-03-05 14:10 Tx date 2021-02-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,400
+1,300 vol $8.00 each |
1,300 | |
Filed 2021-03-05 14:10 Tx date 2021-02-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,413
-1,300 vol $8.01 each |
0 | |
Filed 2021-03-05 14:09 Tx date 2021-02-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,413
+1,300 vol $8.01 each |
1,300 | |
Filed 2021-03-05 14:08 Tx date 2021-02-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,361
-1,300 vol $7.97 each |
0 | |
Filed 2021-03-05 14:08 Tx date 2021-02-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,361
+1,300 vol $7.97 each |
1,300 | |
Filed 2021-03-05 14:07 Tx date 2021-02-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,335
-1,300 vol $7.95 each |
0 | |
Filed 2021-03-05 14:05 Tx date 2021-02-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,335
+1,300 vol $7.95 each |
1,300 | |
Filed 2021-02-10 11:52 Tx date 2021-02-10 |
$EGLX
Enthusiast Gaming Holdings Inc. (formerly J55 Capital Corp.) |
Blue Ant Media Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
15 - Acquisition or disposition under a prospectus
|
$-16,200,625
-2,817,500 vol $5.75 each |
15,432,500 | |
Filed 2021-02-05 15:29 Tx date 2021-01-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,140
-1,300 vol $7.80 each |
0 | |
Filed 2021-02-05 15:28 Tx date 2021-01-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,140
+1,300 vol $7.80 each |
1,300 | |
Filed 2021-02-05 15:27 Tx date 2021-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,244
-1,300 vol $7.88 each |
0 | |
Filed 2021-02-05 15:27 Tx date 2021-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,244
+1,300 vol $7.88 each |
1,300 | |
Filed 2021-02-05 15:26 Tx date 2021-01-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-3,148
-400 vol $7.87 each |
0 | |
Filed 2021-02-05 15:25 Tx date 2021-01-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$3,148
+400 vol $7.87 each |
400 | |
Filed 2021-02-05 15:25 Tx date 2021-01-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,296
-1,300 vol $7.92 each |
0 | |
Filed 2021-02-05 15:24 Tx date 2021-01-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,296
+1,300 vol $7.92 each |
1,300 | |
Filed 2021-02-05 15:23 Tx date 2021-01-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,270
-1,300 vol $7.90 each |
0 | |
Filed 2021-02-05 15:23 Tx date 2021-01-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,270
+1,300 vol $7.90 each |
1,300 | |
Filed 2021-02-05 15:22 Tx date 2021-01-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,335
-1,300 vol $7.95 each |
0 | |
Filed 2021-02-05 15:21 Tx date 2021-01-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,335
+1,300 vol $7.95 each |
1,300 | |
Filed 2021-02-05 15:21 Tx date 2021-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,179
-1,300 vol $7.83 each |
0 | |
Filed 2021-02-05 15:20 Tx date 2021-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,179
+1,300 vol $7.83 each |
1,300 | |
Filed 2021-02-05 15:19 Tx date 2021-01-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,127
-1,300 vol $7.79 each |
0 | |
Filed 2021-02-05 15:19 Tx date 2021-01-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,127
+1,300 vol $7.79 each |
1,300 | |
Filed 2021-02-05 15:18 Tx date 2021-01-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,075
-1,300 vol $7.75 each |
0 | |
Filed 2021-02-05 15:17 Tx date 2021-01-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,075
+1,300 vol $7.75 each |
1,300 | |
Filed 2021-02-05 15:16 Tx date 2021-01-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,075
-1,300 vol $7.75 each |
0 | |
Filed 2021-02-05 15:15 Tx date 2021-01-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,075
+1,300 vol $7.75 each |
1,300 | |
Filed 2021-02-05 15:15 Tx date 2021-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,538
-200 vol $7.69 each |
0 | |
Filed 2021-02-05 15:14 Tx date 2021-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,538
+200 vol $7.69 each |
200 | |
Filed 2021-02-05 15:13 Tx date 2021-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-2,310
-300 vol $7.70 each |
0 | |
Filed 2021-02-05 15:13 Tx date 2021-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$2,310
+300 vol $7.70 each |
300 | |
Filed 2021-02-05 15:11 Tx date 2021-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,336
-1,200 vol $7.78 each |
0 | |
Filed 2021-02-05 15:10 Tx date 2021-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,336
+1,200 vol $7.78 each |
1,200 | |
Filed 2021-02-05 15:07 Tx date 2021-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-777.00
-100 vol $7.77 each |
0 | |
Filed 2021-02-05 15:04 Tx date 2021-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$777.00
+100 vol $7.77 each |
100 | |
Filed 2021-02-05 15:02 Tx date 2021-01-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,153
-1,300 vol $7.81 each |
0 | |
Filed 2021-02-05 15:01 Tx date 2021-01-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,153
+1,300 vol $7.81 each |
1,300 | |
Filed 2021-02-05 15:00 Tx date 2021-01-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,049
-1,300 vol $7.73 each |
0 | |
Filed 2021-02-05 14:59 Tx date 2021-01-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,049
+1,300 vol $7.73 each |
1,300 | |
Filed 2021-02-05 14:55 Tx date 2021-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,127
-1,300 vol $7.79 each |
0 | |
Filed 2021-02-05 14:54 Tx date 2021-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,127
+1,300 vol $7.79 each |
1,300 | |
Filed 2021-02-05 14:52 Tx date 2021-01-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,971
-1,300 vol $7.67 each |
0 | |
Filed 2021-02-05 14:51 Tx date 2021-01-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,971
+1,300 vol $7.67 each |
1,300 | |
Filed 2021-02-05 14:48 Tx date 2021-01-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,945
-1,300 vol $7.65 each |
0 | |
Filed 2021-02-05 14:46 Tx date 2021-01-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,945
+1,300 vol $7.65 each |
1,300 | |
Filed 2021-02-05 14:39 Tx date 2021-01-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,802
-1,300 vol $7.54 each |
0 | |
Filed 2021-02-05 14:37 Tx date 2021-01-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,802
+1,300 vol $7.54 each |
1,300 | |
Filed 2021-02-05 14:33 Tx date 2021-01-04 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,776
-1,300 vol $7.52 each |
0 | |
Filed 2021-02-05 14:33 Tx date 2021-01-04 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,776
+1,300 vol $7.52 each |
1,300 | |
Filed 2021-01-07 11:39 Tx date 2020-12-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,737
-1,300 vol $7.49 each |
0 | |
Filed 2021-01-07 11:39 Tx date 2020-12-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,737
+1,300 vol $7.49 each |
1,300 | |
Filed 2021-01-07 11:38 Tx date 2020-12-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,776
-1,300 vol $7.52 each |
0 | |
Filed 2021-01-07 11:38 Tx date 2020-12-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,776
+1,300 vol $7.52 each |
1,300 | |
Filed 2021-01-07 11:37 Tx date 2020-12-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,802
-1,300 vol $7.54 each |
0 | |
Filed 2021-01-07 11:37 Tx date 2020-12-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,802
+1,300 vol $7.54 each |
1,300 | |
Filed 2021-01-07 11:35 Tx date 2020-12-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,685
-1,300 vol $7.45 each |
0 | |
Filed 2021-01-07 11:35 Tx date 2020-12-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,685
+1,300 vol $7.45 each |
1,300 | |
Filed 2021-01-07 11:35 Tx date 2020-12-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,698
-1,300 vol $7.46 each |
0 | |
Filed 2021-01-07 11:34 Tx date 2020-12-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,698
+1,300 vol $7.46 each |
1,300 | |
Filed 2021-01-07 11:33 Tx date 2020-12-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,594
-1,300 vol $7.38 each |
0 | |
Filed 2021-01-07 11:33 Tx date 2020-12-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,594
+1,300 vol $7.38 each |
1,300 | |
Filed 2021-01-07 11:33 Tx date 2020-12-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,581
-1,300 vol $7.37 each |
0 | |
Filed 2021-01-07 11:32 Tx date 2020-12-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,581
+1,300 vol $7.37 each |
1,300 | |
Filed 2021-01-07 11:31 Tx date 2020-12-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,724
-1,300 vol $7.48 each |
0 | |
Filed 2021-01-07 11:30 Tx date 2020-12-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,724
+1,300 vol $7.48 each |
1,300 | |
Filed 2021-01-07 11:29 Tx date 2020-12-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,594
-1,300 vol $7.38 each |
0 | |
Filed 2021-01-07 11:28 Tx date 2020-12-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,594
+1,300 vol $7.38 each |
1,300 | |
Filed 2021-01-07 11:28 Tx date 2020-12-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,594
-1,300 vol $7.38 each |
0 | |
Filed 2021-01-07 11:27 Tx date 2020-12-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,594
+1,300 vol $7.38 each |
1,300 | |
Filed 2021-01-07 11:26 Tx date 2020-12-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,724
-1,300 vol $7.48 each |
0 | |
Filed 2021-01-07 11:26 Tx date 2020-12-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,724
+1,300 vol $7.48 each |
1,300 | |
Filed 2021-01-07 11:25 Tx date 2020-12-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,646
-1,300 vol $7.42 each |
0 | |
Filed 2021-01-07 11:25 Tx date 2020-12-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,646
+1,300 vol $7.42 each |
1,300 | |
Filed 2021-01-07 11:24 Tx date 2020-12-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,581
-1,300 vol $7.37 each |
0 | |
Filed 2021-01-07 11:23 Tx date 2020-12-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,581
+1,300 vol $7.37 each |
1,300 | |
Filed 2021-01-07 11:22 Tx date 2020-12-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,542
-1,300 vol $7.34 each |
0 | |
Filed 2021-01-07 11:19 Tx date 2020-12-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,542
+1,300 vol $7.34 each |
1,300 | |
Filed 2021-01-07 11:18 Tx date 2020-12-01 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,464
-1,300 vol $7.28 each |
0 | |
Filed 2021-01-07 11:18 Tx date 2020-12-01 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,464
+1,300 vol $7.28 each |
1,300 | |
Filed 2020-12-08 14:20 Tx date 2020-11-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,477
-1,300 vol $7.29 each |
0 | |
Filed 2020-12-08 14:19 Tx date 2020-11-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,477
+1,300 vol $7.29 each |
1,300 | |
Filed 2020-12-08 14:19 Tx date 2020-11-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-8,700
-1,200 vol $7.25 each |
0 | |
Filed 2020-12-08 14:18 Tx date 2020-11-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$8,700
+1,200 vol $7.25 each |
1,200 | |
Filed 2020-12-08 14:17 Tx date 2020-11-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-6,561
-900 vol $7.29 each |
0 | |
Filed 2020-12-08 14:17 Tx date 2020-11-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$6,561
+900 vol $7.29 each |
900 | |
Filed 2020-12-08 14:16 Tx date 2020-11-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-2,900
-400 vol $7.25 each |
0 | |
Filed 2020-12-08 14:16 Tx date 2020-11-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$2,900
+400 vol $7.25 each |
400 | |
Filed 2020-12-08 14:14 Tx date 2020-11-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,386
-1,300 vol $7.22 each |
0 | |
Filed 2020-12-08 14:14 Tx date 2020-11-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,386
+1,300 vol $7.22 each |
1,300 | |
Filed 2020-12-08 14:13 Tx date 2020-11-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-7,920
-1,100 vol $7.20 each |
0 | |
Filed 2020-12-08 14:13 Tx date 2020-11-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$7,920
+1,100 vol $7.20 each |
1,100 | |
Filed 2020-12-08 14:12 Tx date 2020-11-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,430
-200 vol $7.15 each |
0 | |
Filed 2020-12-08 14:11 Tx date 2020-11-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,430
+200 vol $7.15 each |
200 | |
Filed 2020-12-08 14:11 Tx date 2020-11-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,360
-1,300 vol $7.20 each |
0 | |
Filed 2020-12-08 14:10 Tx date 2020-11-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,360
+1,300 vol $7.20 each |
1,300 | |
Filed 2020-12-08 14:09 Tx date 2020-11-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-6,471
-900 vol $7.19 each |
0 | |
Filed 2020-12-08 14:09 Tx date 2020-11-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$6,471
+900 vol $7.19 each |
900 | |
Filed 2020-12-08 14:08 Tx date 2020-11-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-2,856
-400 vol $7.14 each |
0 | |
Filed 2020-12-08 14:08 Tx date 2020-11-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$2,856
+400 vol $7.14 each |
400 | |
Filed 2020-12-08 14:07 Tx date 2020-11-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,282
-1,300 vol $7.14 each |
0 | |
Filed 2020-12-08 14:07 Tx date 2020-11-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,282
+1,300 vol $7.14 each |
1,300 | |
Filed 2020-12-08 14:06 Tx date 2020-11-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,178
-1,300 vol $7.06 each |
0 | |
Filed 2020-12-08 14:05 Tx date 2020-11-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,178
+1,300 vol $7.06 each |
1,300 | |
Filed 2020-12-08 14:04 Tx date 2020-11-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,139
-1,300 vol $7.03 each |
0 | |
Filed 2020-12-08 14:04 Tx date 2020-11-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,139
+1,300 vol $7.03 each |
1,300 | |
Filed 2020-12-08 14:03 Tx date 2020-11-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,061
-1,300 vol $6.97 each |
0 | |
Filed 2020-12-08 14:03 Tx date 2020-11-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,061
+1,300 vol $6.97 each |
1,300 | |
Filed 2020-12-08 14:02 Tx date 2020-11-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,061
-1,300 vol $6.97 each |
0 | |
Filed 2020-12-08 14:01 Tx date 2020-11-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,061
+1,300 vol $6.97 each |
1,300 | |
Filed 2020-12-08 14:01 Tx date 2020-11-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,100
-1,300 vol $7.00 each |
0 | |
Filed 2020-12-08 14:00 Tx date 2020-11-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,100
+1,300 vol $7.00 each |
1,300 | |
Filed 2020-11-06 15:08 Tx date 2020-10-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,440
-1,500 vol $6.96 each |
0 | |
Filed 2020-11-06 15:08 Tx date 2020-10-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,440
+1,500 vol $6.96 each |
1,500 | |
Filed 2020-11-06 15:07 Tx date 2020-10-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,440
-1,500 vol $6.96 each |
0 | |
Filed 2020-11-06 15:07 Tx date 2020-10-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,440
+1,500 vol $6.96 each |
1,500 | |
Filed 2020-11-06 15:06 Tx date 2020-10-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,410
-1,500 vol $6.94 each |
0 | |
Filed 2020-11-06 15:05 Tx date 2020-10-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,410
+1,500 vol $6.94 each |
1,500 | |
Filed 2020-11-06 15:05 Tx date 2020-10-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,380
-1,500 vol $6.92 each |
0 | |
Filed 2020-11-06 15:04 Tx date 2020-10-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,380
+1,500 vol $6.92 each |
1,500 | |
Filed 2020-11-06 15:04 Tx date 2020-10-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,470
-1,500 vol $6.98 each |
0 | |
Filed 2020-11-06 15:03 Tx date 2020-10-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,470
+1,500 vol $6.98 each |
1,500 | |
Filed 2020-11-06 15:02 Tx date 2020-10-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,470
-1,500 vol $6.98 each |
0 | |
Filed 2020-11-06 15:02 Tx date 2020-10-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,470
+1,500 vol $6.98 each |
1,500 | |
Filed 2020-11-06 15:01 Tx date 2020-10-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,410
-1,500 vol $6.94 each |
0 | |
Filed 2020-11-06 15:01 Tx date 2020-10-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,410
+1,500 vol $6.94 each |
1,500 | |
Filed 2020-11-06 15:00 Tx date 2020-10-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,365
-1,500 vol $6.91 each |
0 | |
Filed 2020-11-06 15:00 Tx date 2020-10-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,365
+1,500 vol $6.91 each |
1,500 | |
Filed 2020-11-06 14:58 Tx date 2020-10-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,395
-1,500 vol $6.93 each |
0 | |
Filed 2020-11-06 14:57 Tx date 2020-10-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,395
+1,500 vol $6.93 each |
1,500 | |
Filed 2020-11-06 14:56 Tx date 2020-10-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,425
-1,500 vol $6.95 each |
0 | |
Filed 2020-11-06 14:55 Tx date 2020-10-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,425
+1,500 vol $6.95 each |
1,500 | |
Filed 2020-10-06 14:55 Tx date 2020-09-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,500
-1,500 vol $7.00 each |
0 | |
Filed 2020-10-06 14:45 Tx date 2020-09-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,500
+1,500 vol $7.00 each |
1,500 | |
Filed 2020-10-06 14:44 Tx date 2020-09-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,545
-1,500 vol $7.03 each |
0 | |
Filed 2020-10-06 14:44 Tx date 2020-09-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,545
+1,500 vol $7.03 each |
1,500 | |
Filed 2020-09-04 12:00 Tx date 2020-08-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,395
-1,500 vol $6.93 each |
0 | |
Filed 2020-09-04 12:00 Tx date 2020-08-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,395
+1,500 vol $6.93 each |
1,500 | |
Filed 2020-09-04 11:59 Tx date 2020-08-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-3,485
-500 vol $6.97 each |
0 | |
Filed 2020-09-04 11:58 Tx date 2020-08-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$3,485
+500 vol $6.97 each |
500 | |
Filed 2020-09-04 11:58 Tx date 2020-08-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,884
-1,400 vol $7.06 each |
0 | |
Filed 2020-09-04 11:57 Tx date 2020-08-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,884
+1,400 vol $7.06 each |
1,400 | |
Filed 2020-09-04 11:56 Tx date 2020-08-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-705.00
-100 vol $7.05 each |
0 | |
Filed 2020-09-04 11:56 Tx date 2020-08-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$705.00
+100 vol $7.05 each |
100 | |
Filed 2020-09-04 11:55 Tx date 2020-08-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,500
-1,500 vol $7.00 each |
0 | |
Filed 2020-09-04 11:54 Tx date 2020-08-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,500
+1,500 vol $7.00 each |
1,500 | |
Filed 2020-09-04 11:53 Tx date 2020-08-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,485
-1,500 vol $6.99 each |
0 | |
Filed 2020-09-04 11:53 Tx date 2020-08-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,485
+1,500 vol $6.99 each |
1,500 | |
Filed 2020-09-04 11:51 Tx date 2020-08-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,515
-1,500 vol $7.01 each |
0 | |
Filed 2020-09-04 11:49 Tx date 2020-08-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,515
+1,500 vol $7.01 each |
1,500 | |
Filed 2020-09-04 11:48 Tx date 2020-08-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,730
-1,400 vol $6.95 each |
0 | |
Filed 2020-09-04 11:48 Tx date 2020-08-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,730
+1,400 vol $6.95 each |
1,400 | |
Filed 2020-09-04 11:47 Tx date 2020-08-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-694.00
-100 vol $6.94 each |
0 | |
Filed 2020-09-04 11:41 Tx date 2020-08-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$694.00
+100 vol $6.94 each |
100 | |
Filed 2020-09-04 11:40 Tx date 2020-08-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,395
-1,500 vol $6.93 each |
0 | |
Filed 2020-09-04 11:38 Tx date 2020-08-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,395
+1,500 vol $6.93 each |
1,500 | |
Filed 2020-09-04 11:34 Tx date 2020-08-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,440
-1,500 vol $6.96 each |
0 | |
Filed 2020-09-04 11:33 Tx date 2020-08-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,440
+1,500 vol $6.96 each |
1,500 | |
Filed 2020-09-04 11:33 Tx date 2020-08-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,245
-1,500 vol $6.83 each |
0 | |
Filed 2020-09-04 11:32 Tx date 2020-08-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,245
+1,500 vol $6.83 each |
1,500 | |
Filed 2020-09-04 11:31 Tx date 2020-08-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,470
-1,500 vol $6.98 each |
0 | |
Filed 2020-09-04 11:30 Tx date 2020-08-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,470
+1,500 vol $6.98 each |
1,500 | |
Filed 2020-09-04 11:29 Tx date 2020-08-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,395
-1,500 vol $6.93 each |
0 | |
Filed 2020-09-04 11:29 Tx date 2020-08-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,395
+1,500 vol $6.93 each |
1,500 | |
Filed 2020-09-04 11:27 Tx date 2020-08-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,170
-1,500 vol $6.78 each |
0 | |
Filed 2020-09-04 11:27 Tx date 2020-08-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,170
+1,500 vol $6.78 each |
1,500 | |
Filed 2020-09-04 11:26 Tx date 2020-08-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-8,814
-1,300 vol $6.78 each |
0 | |
Filed 2020-09-04 11:25 Tx date 2020-08-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$8,814
+1,300 vol $6.78 each |
1,300 | |
Filed 2020-09-04 11:24 Tx date 2020-08-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,348
-200 vol $6.74 each |
0 | |
Filed 2020-09-04 11:24 Tx date 2020-08-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,348
+200 vol $6.74 each |
200 | |
Filed 2020-09-04 11:23 Tx date 2020-08-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,050
-1,500 vol $6.70 each |
0 | |
Filed 2020-09-04 11:22 Tx date 2020-08-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,050
+1,500 vol $6.70 each |
1,500 | |
Filed 2020-09-02 10:22 Tx date 2020-08-31 |
$EGLX
Enthusiast Gaming Holdings Inc. (formerly J55 Capital Corp.) |
Blue Ant Media Inc.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
18,250,000 | ||
Filed 2020-07-07 16:23 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,615
-1,500 vol $6.41 each |
0 | |
Filed 2020-07-07 16:22 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,615
+1,500 vol $6.41 each |
1,500 | |
Filed 2020-07-07 16:22 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,965
-300 vol $6.55 each |
0 | |
Filed 2020-07-07 16:21 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,965
+300 vol $6.55 each |
300 | |
Filed 2020-07-07 16:19 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-7,872
-1,200 vol $6.56 each |
0 | |
Filed 2020-07-07 16:19 Tx date 2020-06-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$7,871
+1,200 vol $6.56 each |
1,200 | |
Filed 2020-07-07 16:18 Tx date 2020-06-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,720
-1,500 vol $6.48 each |
0 | |
Filed 2020-07-07 16:17 Tx date 2020-06-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,720
+1,500 vol $6.48 each |
1,500 | |
Filed 2020-07-07 16:14 Tx date 2020-06-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,840
-1,500 vol $6.56 each |
0 | |
Filed 2020-07-07 16:14 Tx date 2020-06-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,840
+1,500 vol $6.56 each |
1,500 | |
Filed 2020-04-06 15:58 Tx date 2020-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,595
-1,500 vol $7.73 each |
0 | |
Filed 2020-04-06 15:58 Tx date 2020-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,595
+1,500 vol $7.73 each |
1,500 | |
Filed 2020-04-06 15:57 Tx date 2020-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,820
-1,500 vol $7.88 each |
0 | |
Filed 2020-04-06 15:57 Tx date 2020-03-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,820
+1,500 vol $7.88 each |
1,500 | |
Filed 2020-04-06 15:56 Tx date 2020-03-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,525
-1,500 vol $8.35 each |
0 | |
Filed 2020-04-06 15:55 Tx date 2020-03-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,525
+1,500 vol $8.35 each |
1,500 | |
Filed 2020-04-06 15:55 Tx date 2020-03-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,210
-1,500 vol $8.14 each |
0 | |
Filed 2020-04-06 15:54 Tx date 2020-03-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,210
+1,500 vol $8.14 each |
1,500 | |
Filed 2020-03-09 14:07 Tx date 2020-02-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,925
-1,500 vol $7.95 each |
0 | |
Filed 2020-03-09 14:06 Tx date 2020-02-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,925
+1,500 vol $7.95 each |
1,500 | |
Filed 2020-03-09 14:06 Tx date 2020-02-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,150
-1,500 vol $8.10 each |
0 | |
Filed 2020-03-09 14:05 Tx date 2020-02-28 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,150
+1,500 vol $8.10 each |
1,500 | |
Filed 2020-03-09 14:05 Tx date 2020-02-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,960
-1,500 vol $8.64 each |
0 | |
Filed 2020-03-09 14:04 Tx date 2020-02-26 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,960
+1,500 vol $8.64 each |
1,500 | |
Filed 2020-03-09 14:04 Tx date 2020-02-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,035
-1,500 vol $8.69 each |
0 | |
Filed 2020-03-09 14:03 Tx date 2020-02-25 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,035
+1,500 vol $8.69 each |
1,500 | |
Filed 2020-03-09 14:03 Tx date 2020-02-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,155
-1,500 vol $8.77 each |
0 | |
Filed 2020-03-09 14:02 Tx date 2020-02-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,155
+1,500 vol $8.77 each |
1,500 | |
Filed 2020-03-09 14:02 Tx date 2020-02-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,335
-1,500 vol $8.89 each |
0 | |
Filed 2020-03-09 14:02 Tx date 2020-02-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,335
+1,500 vol $8.89 each |
1,500 | |
Filed 2020-03-09 14:01 Tx date 2020-02-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,404
-1,400 vol $8.86 each |
0 | |
Filed 2020-03-09 14:01 Tx date 2020-02-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,404
+1,400 vol $8.86 each |
1,400 | |
Filed 2020-03-09 14:00 Tx date 2020-02-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-885.00
-100 vol $8.85 each |
0 | |
Filed 2020-03-09 13:59 Tx date 2020-02-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$885.00
+100 vol $8.85 each |
100 | |
Filed 2020-03-09 13:59 Tx date 2020-02-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,245
-1,500 vol $8.83 each |
0 | |
Filed 2020-03-09 13:58 Tx date 2020-02-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,245
+1,500 vol $8.83 each |
1,500 | |
Filed 2020-03-09 13:58 Tx date 2020-02-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,185
-1,500 vol $8.79 each |
0 | |
Filed 2020-03-09 13:55 Tx date 2020-02-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,184
+1,500 vol $8.79 each |
1,500 | |
Filed 2020-03-09 13:53 Tx date 2020-02-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,245
-1,500 vol $8.83 each |
0 | |
Filed 2020-03-09 13:53 Tx date 2020-02-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,245
+1,500 vol $8.83 each |
1,500 | |
Filed 2020-03-09 13:52 Tx date 2020-02-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,230
-1,500 vol $8.82 each |
0 | |
Filed 2020-03-09 13:52 Tx date 2020-02-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,230
+1,500 vol $8.82 each |
1,500 | |
Filed 2020-03-09 13:50 Tx date 2020-02-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,140
-1,500 vol $8.76 each |
0 | |
Filed 2020-03-09 13:49 Tx date 2020-02-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,140
+1,500 vol $8.76 each |
1,500 | |
Filed 2020-03-09 13:45 Tx date 2020-02-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,990
-1,500 vol $8.66 each |
0 | |
Filed 2020-03-09 13:44 Tx date 2020-02-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,990
+1,500 vol $8.66 each |
1,500 | |
Filed 2020-03-09 13:42 Tx date 2020-02-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,095
-1,500 vol $8.73 each |
0 | |
Filed 2020-03-09 13:42 Tx date 2020-02-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,095
+1,500 vol $8.73 each |
1,500 | |
Filed 2020-03-09 13:41 Tx date 2020-02-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,020
-1,500 vol $8.68 each |
0 | |
Filed 2020-03-09 13:40 Tx date 2020-02-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,020
+1,500 vol $8.68 each |
1,500 | |
Filed 2020-03-09 13:38 Tx date 2020-02-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,050
-1,500 vol $8.70 each |
0 | |
Filed 2020-03-09 13:37 Tx date 2020-02-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,049
+1,500 vol $8.70 each |
1,500 | |
Filed 2020-03-09 13:37 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-8,630
-1,000 vol $8.63 each |
0 | |
Filed 2020-03-09 13:36 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$8,630
+1,000 vol $8.63 each |
1,000 | |
Filed 2020-03-09 13:36 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-3,448
-400 vol $8.62 each |
0 | |
Filed 2020-03-09 13:35 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$3,447
+400 vol $8.62 each |
400 | |
Filed 2020-03-09 13:35 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-861.00
-100 vol $8.61 each |
0 | |
Filed 2020-03-09 13:34 Tx date 2020-02-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$861.00
+100 vol $8.61 each |
100 | |
Filed 2020-03-09 13:34 Tx date 2020-02-04 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,915
-1,500 vol $8.61 each |
0 | |
Filed 2020-03-09 13:33 Tx date 2020-02-04 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,915
+1,500 vol $8.61 each |
1,500 | |
Filed 2020-03-09 13:33 Tx date 2020-02-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,825
-1,500 vol $8.55 each |
0 | |
Filed 2020-03-09 13:32 Tx date 2020-02-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,825
+1,500 vol $8.55 each |
1,500 | |
Filed 2020-02-05 11:59 Tx date 2020-01-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,825
-1,500 vol $8.55 each |
0 | |
Filed 2020-02-05 11:58 Tx date 2020-01-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,825
+1,500 vol $8.55 each |
1,500 | |
Filed 2020-02-05 11:58 Tx date 2020-01-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,026
-1,400 vol $8.59 each |
0 | |
Filed 2020-02-05 11:58 Tx date 2020-01-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,026
+1,400 vol $8.59 each |
1,400 | |
Filed 2020-02-05 11:57 Tx date 2020-01-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-858.00
-100 vol $8.58 each |
0 | |
Filed 2020-02-05 11:57 Tx date 2020-01-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$858.00
+100 vol $8.58 each |
100 | |
Filed 2020-02-05 11:56 Tx date 2020-01-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,050
-1,500 vol $8.70 each |
0 | |
Filed 2020-02-05 11:56 Tx date 2020-01-29 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,049
+1,500 vol $8.70 each |
1,500 | |
Filed 2020-02-05 11:55 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,482
-1,100 vol $8.62 each |
0 | |
Filed 2020-02-05 11:55 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,482
+1,100 vol $8.62 each |
1,100 | |
Filed 2020-02-05 11:54 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-860.00
-100 vol $8.60 each |
0 | |
Filed 2020-02-05 11:54 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$860.00
+100 vol $8.60 each |
100 | |
Filed 2020-02-05 11:53 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-2,574
-300 vol $8.58 each |
0 | |
Filed 2020-02-05 11:53 Tx date 2020-01-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$2,574
+300 vol $8.58 each |
300 | |
Filed 2020-02-05 11:52 Tx date 2020-01-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,095
-1,500 vol $8.73 each |
0 | |
Filed 2020-02-05 11:52 Tx date 2020-01-24 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,095
+1,500 vol $8.73 each |
1,500 | |
Filed 2020-02-05 11:51 Tx date 2020-01-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-13,110
-1,500 vol $8.74 each |
0 | |
Filed 2020-02-05 11:51 Tx date 2020-01-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$13,110
+1,500 vol $8.74 each |
1,500 | |
Filed 2020-02-05 11:50 Tx date 2020-01-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,975
-1,500 vol $8.65 each |
0 | |
Filed 2020-02-05 11:49 Tx date 2020-01-22 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,975
+1,500 vol $8.65 each |
1,500 | |
Filed 2020-02-05 11:49 Tx date 2020-01-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,930
-1,500 vol $8.62 each |
0 | |
Filed 2020-02-05 11:48 Tx date 2020-01-21 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,929
+1,500 vol $8.62 each |
1,500 | |
Filed 2020-02-05 11:48 Tx date 2020-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-862.00
-100 vol $8.62 each |
0 | |
Filed 2020-02-05 11:48 Tx date 2020-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$862.00
+100 vol $8.62 each |
100 | |
Filed 2020-02-05 11:47 Tx date 2020-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,984
-1,400 vol $8.56 each |
0 | |
Filed 2020-02-05 11:47 Tx date 2020-01-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,984
+1,400 vol $8.56 each |
1,400 | |
Filed 2020-02-05 11:46 Tx date 2020-01-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,870
-1,500 vol $8.58 each |
0 | |
Filed 2020-02-05 11:46 Tx date 2020-01-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,870
+1,500 vol $8.58 each |
1,500 | |
Filed 2020-02-05 11:45 Tx date 2020-01-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,795
-1,500 vol $8.53 each |
0 | |
Filed 2020-02-05 11:45 Tx date 2020-01-15 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,794
+1,500 vol $8.53 each |
1,500 | |
Filed 2020-02-05 11:44 Tx date 2020-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,750
-1,500 vol $8.50 each |
0 | |
Filed 2020-02-05 11:44 Tx date 2020-01-14 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,750
+1,500 vol $8.50 each |
1,500 | |
Filed 2020-02-05 11:44 Tx date 2020-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,735
-1,500 vol $8.49 each |
0 | |
Filed 2020-02-05 11:43 Tx date 2020-01-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,735
+1,500 vol $8.49 each |
1,500 | |
Filed 2020-02-05 11:43 Tx date 2020-01-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,720
-1,500 vol $8.48 each |
0 | |
Filed 2020-02-05 11:42 Tx date 2020-01-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,720
+1,500 vol $8.48 each |
1,500 | |
Filed 2020-02-05 11:37 Tx date 2020-01-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,690
-1,500 vol $8.46 each |
0 | |
Filed 2020-02-05 11:37 Tx date 2020-01-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,690
+1,500 vol $8.46 each |
1,500 | |
Filed 2020-02-05 11:36 Tx date 2020-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-845.00
-100 vol $8.45 each |
0 | |
Filed 2020-02-05 11:36 Tx date 2020-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$845.00
+100 vol $8.45 each |
100 | |
Filed 2020-02-05 11:35 Tx date 2020-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-11,788
-1,400 vol $8.42 each |
0 | |
Filed 2020-02-05 11:35 Tx date 2020-01-08 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$11,788
+1,400 vol $8.42 each |
1,400 | |
Filed 2020-02-05 11:34 Tx date 2020-01-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,585
-1,500 vol $8.39 each |
0 | |
Filed 2020-02-05 11:34 Tx date 2020-01-07 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,585
+1,500 vol $8.39 each |
1,500 | |
Filed 2020-02-05 11:33 Tx date 2020-01-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,525
-1,500 vol $8.35 each |
0 | |
Filed 2020-02-05 11:33 Tx date 2020-01-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,525
+1,500 vol $8.35 each |
1,500 | |
Filed 2020-02-05 11:32 Tx date 2020-01-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,525
-1,500 vol $8.35 each |
0 | |
Filed 2020-02-05 11:32 Tx date 2020-01-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,525
+1,500 vol $8.35 each |
1,500 | |
Filed 2020-02-05 11:32 Tx date 2020-01-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-10,868
-1,300 vol $8.36 each |
0 | |
Filed 2020-02-05 11:31 Tx date 2020-01-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$10,868
+1,300 vol $8.36 each |
1,300 | |
Filed 2020-02-05 11:31 Tx date 2020-01-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-1,670
-200 vol $8.35 each |
0 | |
Filed 2020-02-05 11:30 Tx date 2020-01-02 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$1,670
+200 vol $8.35 each |
200 | |
Filed 2020-01-08 14:22 Tx date 2019-12-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,420
-1,500 vol $8.28 each |
0 | |
Filed 2020-01-08 14:21 Tx date 2019-12-31 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,419
+1,500 vol $8.28 each |
1,500 | |
Filed 2020-01-08 14:20 Tx date 2019-12-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,435
-1,500 vol $8.29 each |
0 | |
Filed 2020-01-08 14:20 Tx date 2019-12-30 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,434
+1,500 vol $8.29 each |
1,500 | |
Filed 2020-01-08 14:19 Tx date 2019-12-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-2,493
-300 vol $8.31 each |
0 | |
Filed 2020-01-08 14:19 Tx date 2019-12-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$2,493
+300 vol $8.31 each |
300 | |
Filed 2020-01-08 14:18 Tx date 2019-12-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-9,984
-1,200 vol $8.32 each |
0 | |
Filed 2020-01-08 14:18 Tx date 2019-12-27 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$9,984
+1,200 vol $8.32 each |
1,200 | |
Filed 2020-01-08 14:17 Tx date 2019-12-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,540
-1,500 vol $8.36 each |
0 | |
Filed 2020-01-08 14:17 Tx date 2019-12-23 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,540
+1,500 vol $8.36 each |
1,500 | |
Filed 2020-01-08 14:16 Tx date 2019-12-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,495
-1,500 vol $8.33 each |
0 | |
Filed 2020-01-08 14:16 Tx date 2019-12-20 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,495
+1,500 vol $8.33 each |
1,500 | |
Filed 2020-01-08 14:15 Tx date 2019-12-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,390
-1,500 vol $8.26 each |
0 | |
Filed 2020-01-08 14:15 Tx date 2019-12-19 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,390
+1,500 vol $8.26 each |
1,500 | |
Filed 2020-01-08 14:14 Tx date 2019-12-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,390
-1,500 vol $8.26 each |
0 | |
Filed 2020-01-08 14:14 Tx date 2019-12-18 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,390
+1,500 vol $8.26 each |
1,500 | |
Filed 2020-01-08 14:13 Tx date 2019-12-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,435
-1,500 vol $8.29 each |
0 | |
Filed 2020-01-08 14:13 Tx date 2019-12-17 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,434
+1,500 vol $8.29 each |
1,500 | |
Filed 2020-01-08 14:12 Tx date 2019-12-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,405
-1,500 vol $8.27 each |
0 | |
Filed 2020-01-08 14:12 Tx date 2019-12-16 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,405
+1,500 vol $8.27 each |
1,500 | |
Filed 2020-01-08 14:11 Tx date 2019-12-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,330
-1,500 vol $8.22 each |
0 | |
Filed 2020-01-08 14:11 Tx date 2019-12-13 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,330
+1,500 vol $8.22 each |
1,500 | |
Filed 2020-01-08 14:10 Tx date 2019-12-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,330
-1,500 vol $8.22 each |
0 | |
Filed 2020-01-08 14:10 Tx date 2019-12-12 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,330
+1,500 vol $8.22 each |
1,500 | |
Filed 2020-01-08 14:09 Tx date 2019-12-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,330
-1,500 vol $8.22 each |
0 | |
Filed 2020-01-08 14:09 Tx date 2019-12-11 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,330
+1,500 vol $8.22 each |
1,500 | |
Filed 2020-01-08 14:08 Tx date 2019-12-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-8,954
-1,100 vol $8.14 each |
0 | |
Filed 2020-01-08 14:08 Tx date 2019-12-10 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$8,954
+1,100 vol $8.14 each |
1,100 | |
Filed 2020-01-08 14:08 Tx date 2019-12-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,270
-1,500 vol $8.18 each |
0 | |
Filed 2020-01-08 14:07 Tx date 2019-12-09 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,270
+1,500 vol $8.18 each |
1,500 | |
Filed 2020-01-08 14:06 Tx date 2019-12-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,390
-1,500 vol $8.26 each |
0 | |
Filed 2020-01-08 14:06 Tx date 2019-12-06 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,390
+1,500 vol $8.26 each |
1,500 | |
Filed 2020-01-08 14:05 Tx date 2019-12-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,210
-1,500 vol $8.14 each |
0 | |
Filed 2020-01-08 14:05 Tx date 2019-12-05 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,210
+1,500 vol $8.14 each |
1,500 | |
Filed 2020-01-08 14:04 Tx date 2019-12-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-12,180
-1,500 vol $8.12 each |
0 | |
Filed 2020-01-08 14:03 Tx date 2019-12-03 |
$RBN
Blue Ribbon Income Fund (formerly Citadel Diversified Investment Trust) |
Blue Ribbon Income Fund
1 - Issuer
Direct Ownership
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$12,179
+1,500 vol $8.12 each |
1,500 | |
Filed 2020-01-08 14:03 |