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75 Top Income Trusts

Rank Company (Year End) Revenue Profit Dividend Yield Cash Flow
$000 % Change $000 % Change Per Share % Change
1 Gaz Metropolitain & Co., LP (Se02) 1,607,700 -22 154,580 10 7.07 2.59 -3.77
2 Fording Canadian Coal Trust (De02) 882,300 -12 -70,900 -175 9.45 2.73 -9.59
3 North West Co. Fund (Ja03) 749,759 6 34,469 19 7.50 3.70 -1.25
4 Canadian Oil Sands Trust (De02) 728,175 8 269,928 84 5.26 5.63 37.29
5 TransForce Income Fund (De02)3 444,684 48 26,590 126 15.00 1.19 14.10
6 Legacy Hotels REIT (De02) 649,686 7 55,105 3 10.21 0.99 -2.39
7 Retirement Residences REIT (De02)4 643,863 188 42,080 49 10.25 1.14 -32.41
8 Superior Plus Income Fund (De02) 640,900 -19 68,800 84 10.10 2.16 10.89
9 Enerplus Resources Fund (De02) 622,009 -3 115,876 -36 11.84 4.03 -34.99
10 Parkland Income Fund (De02)3 260,228 18 9,413 58 13.49 2.19 18.40
11 Pengrowth Energy Trust (De02) 489,511 2 49,067 -42 14.05 2.54 -13.18
12 RioCan REIT (De02) 471,462 19 172,208 8 8.86 1.27 4.87
13 TimberWest Forest (De02) 465,800 1 39,300 -12 9.00 1.04 -8.78
14 ARC Energy Trust (De02) 445,442 -14 67,893 -51 13.11 1.87 -26.63
15 Noranda Income Fund (De02) 385,747 -4 38,712 93 10.36 1.38 32.94
16 Menu Foods Income Fund (De02)3 215,910 na 11,917 na 9.20 1.43 na
17 Heating Oil Partners Inc. Fund (De02)3 198,659 na -7,266 na 11.84 0.07 na
18 PrimeWest Energy Trust (De02) 320,744 -16 620 -99 18.90 5.01 -40.16
19 KCP Income Fund (De02)1,3 68,999 na 6,901 na 9.69 1.38 na
20 H&R REIT (De02) 296,500 39 84,022 22 8.98 1.44 3.45
21 Atlas Cold Storage Income Trust (De02) 295,733 72 19,045 68 8.36 1.08 -5.72
22 Contrans Income Fund (De02)3 129,940 13 9,869 63 14.37 1.43 117.34
23 Vermilion Energy Trust (De02) 288,281 5 41,322 -37 18.21 2.82 0.53
24 CHIP REIT (De02) 285,326 11 32,105 115 10.00 1.32 11.04
25 NCE Petrofund (De02) 270,669 11 24,379 -55 15.76 2.25 -35.38
26 InnVest REIT (De02)3 110,611 na 20,387 na 11.84 1.83 na
27 Tree Island Wire Income Fund (De02)3 32,580 na -1,308 na 13.56 0.92 na
28 Davis + Henderson Income Fund (De02)3 232,288 na 38,084 na 10.57 1.81 na
29 Pembina Pipeline Income Fund (De02) 224,467 15 59,536 48 9.63 1.16 -9.00
30 Provident Energy Trust (De02)4 207,823 110 9,932 117 18.88 2.41 -42.35
31 Chemtrade Logistics Inc. Fund (De02)4 207,044 0 11,929 -10 11.29 1.81 -60.19
32 Summit REIT (De02) 206,451 43 59,380 48 10.51 1.73 2.74
33 Energy Savings Income Fund (Ma02)4 184,145 na 4,103 na 10.78 0.86 na
34 TransCanada Power, LP (De02) 173,900 7 64,100 42 8.16 2.57 -4.57
35 Sun Gro Horticulture Income Fund (De02)3 129,732 na 11,668 na 11.24 0.94 na
36 Associated Brands Income Fund (De02)3 21,055 na 1,907 na 9.96 1.34 na
37 Canadian REIT (De02) 162,970 26 51,647 36 9.10 1.48 16.89
38 Morguard REIT (De02) 160,322 5 41,113 2 10.59 1.19 13.59
39 BFI Canada Income Fund (De02)3 108,506 na 5,885 na 10.13 1.71 na
40 Connors Bros. Income Fund (De02)4 155,196 -8 18,170 32 8.76 1.55 -79.15
41 Livingston Int'l Income Fund (De02)3 127,072 na 10,311 na 11.19 1.74 na
42 Shiningbank Energy Income Fund (De02) 142,661 -16 13,032 -74 14.26 2.15 -42.70
43 SFK Pulp (De02)3 87,484 na 5,326 na 8.82 0.92 na
44 Boyd Group Income Fund (De02) 141,489 7 1,899 -43 16.29 0.32 -29.22
45 Royal Host REIT (De02) 137,416 0 8,136 15 12.20 1.04 -4.49
46 Versacold Income Fund (De02) 136,466 6 1,511 -28 11.55 0.45 -56.67
47 Viking Energy Royalty Trust (De02) 134,697 -2 16,911 -43 16.41 1.28 -24.58
48 SCI Income Trust (De02) 130,870 9 11,422 74 11.50 1.94 38.63
49 O&Y REIT (De02)4 119,742 6 34,963 7 10.65 1.23 5.90
50 Acclaim Energy Trust (De02) 119,455 1 -1,544 -111 18.91 0.94 -43.76
51 CCS Income Trust (De02) 118,123 6 22,428 9 10.00 2.27 -17.84
52 Focus Energy Trust (De02)4 116,345 -14 19,205 -40 15.96 1.97 -29.89
53 CAP REIT (De02) 116,258 17 27,573 20 8.15 1.25 4.55
54 Residential Equities REIT (De02) 113,339 6 19,576 519 9.04 1.22 368.78
55 Great Lakes Hydro Income Fund (De02)5 112,583 110 30,864 98 7.78 1.17 4.12
56 Newalta Income Fund (De02) 111,666 20 12,417 21 13.60 1.49 5.65
57 IPC US Income Commercial REIT (De02)1,4 67,014 na 6,450 na 10.04 1.88 na
58 Inter Pipeline Fund (De02) 104,274 13 21,321 162 11.06 0.74 3.60
59 NAL Oil & Gas Trust (De02) 99,300 -6 16,248 -56 15.56 1.64 -25.09
60 Gateway Casinos Income Fund (De02)3 9,206 na 2,622 na 11.65 1.22 na
61 Advantage Energy Income Fund (De02)4 97,837 54 12,095 -23 13.31 1.99 -43.96
62 Algonquin Power Income Fund (De02) 94,763 101 16,150 135 9.91 0.70 25.51
63 Oceanex Income Fund (De02) 94,444 1 9,681 5 9.82 1.64 -3.89
64 APF Energy Trust (De02) 94,021 34 11,365 -37 18.49 1.97 -27.25
65 Arctic Glacier Income Fund (De02) 91,719 0 9,227 292 12.30 1.27 -35.29
66 Taylor NGL LP (De02) 85,155 -27 4,100 95 9.91 0.69 24.88
67 Cominar REIT (De02) 82,770 22 29,432 32 9.17 1.38 9.22
68 PBB Global Logistics Inc. Fund (De02)3 51,538 na 3,227 na 14.02 1.82 na
69 Northland Power Income Fund (De02) 72,415 5 19,171 -7 8.91 1.04 3.83
70 Advanced Fiber Tech. (AFT) IF (De02)3 54,472 na 8,259 na 14.49 1.37 na
71 Alexis Nihon REIT (De02)3 2,136 na 556 na 11.06 1.27 na
72 Freehold Royalty Trust (De02) 63,143 2 27,557 1 12.04 1.71 -0.98
73 Boralex Power Income Fund (De02)3 52,003 na 15,510 na 8.53 0.72 na
74 Foremost Industries Income Fund (De01) 50,482 14 8,553 300 10.37 1.78 114.61
75 Ultima Energy Trust (De02) 48,670 44 9,191 -11 17.48 1.09 -7.50

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Footnotes

  1. Figures are reported in U.S. Dollars.
  2. Figures are reported in U.K. Pounds and converted to Canadian Dollars.
  3. Figures have been annualized in the latest year.
  4. Figures have been annualized in previous year.
  5. Figures have been annualized in previous 3 through 5 years.
  6. Foreign Currencies are converted into Canadian dollars at the relevant period end for balance sheet items and the average for the relevant period for earnings items.
na:
not available,
nb:
no debt,
nm:
not meaningful,
nr:
not ranked.

Figures for fiscal periods other than 12 months are annualized for rankings and calculating returns. Foreign currencies are converted into Canadian dollars at the end of the relevant period for balance sheet items and at the average exchange rate for the relevant period for earnings items.

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