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First National Mortgage Investment Fund (T:FNM.UN)

Business Focus: Gold Mining

Jul 15, 2024 04:22 pm ET
Canadian Investment Regulatory Organization Trade Resumption - FNM
VANCOUVER, BC, July 15, 2024 /CNW/ - Trading resumes in:
Jul 15, 2024 09:46 am ET
Canadian Investment Regulatory Organization Trading Halt - FNM
VANCOUVER, BC, July 15, 2024 /CNW/ - The following issues have been halted by CIRO
Jul 11, 2024 09:00 am ET
First Nordic Announces New Warrant Incentive Program
VANCOUVER, BC, July 11, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTCQB: FNMCF) (FRA: HEG0) announces that subject to acceptance by the TSX Venture Exchange (the "TSXV"), the Company intends to amend the exercise price of an aggregate of 3,161,558 outstanding common share purchase warrants of the Company that were issued as part of a private placement that closed on August 23, 2022 (the "Warrants"), and to announce a warrant exercise incentive program (the "Incentive Program") on these Warrants.
Jul 10, 2024 07:00 am ET
First Nordic Raises $2.7M Through Warrants and Options
VANCOUVER, BC, July 10, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTCQB: FNMCF) (FRA: HEG0) is pleased to announce the successful completion of the Company's warrant exercise incentive program, as previously announced on June 13, 2024 (the "Incentive Program"), as well as the exercise of additional Company warrants and stock options, providing aggregate gross proceeds of $2,703,157 to First Nordic Metals Corp.
Jun 17, 2024 04:00 am ET
First Nordic Identifies New Multi-Kilometric Gold Anomaly and Returns Highest BoT Drilling Grades to Date at Paubäcken Project
VANCOUVER, BC, June 17, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTCQB: FNMCF) (FRA: HEG0) is pleased to report results from its recent belt-scale glacial till geochemical survey and top-of-bedrock / base-of-till ("BoT") drilling program targeting orogenic gold mineral systems at its 100%-owned Paubäcken project ("Paubäcken" or "the Project") located in the Gold Line belt, northern Sweden. Paubäcken encompasses approximately 30 kilometers ("km") of first-order structural corridor (strike length) of the Gold Line Belt and is located 30 km south of
Jun 13, 2024 06:00 pm ET
First Nordic Announces Repricing of Warrants and Warrant Exercise Incentive Program
VANCOUVER, BC, June 13, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTCQB: FNMCF) (FRA: HEG0) announces that subject to acceptance by the TSX Venture Exchange (the "TSXV"), the Company intends to amend the exercise price of an aggregate of 7,689,579 outstanding common share purchase warrants of the Company that were issued as part of private placements that closed on September 15, 2022 and April 28, 2023, respectively (the "Warrants"). These were private placements of Gold Line Resources Ltd. ("Gold Line") a TSXV listed issuer acquired by the Company
Jun 10, 2024 04:00 am ET
First Nordic Identifies New Large, Cohesive 5 km Gold Anomaly at Storjuktan Project, Gold Line Belt, Sweden
VANCOUVER, BC, June 10, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSX.V:FNM) (OTCQB:FNMCF) (FRA: HEG0) is pleased to provide results from its recent belt-scale glacial till geochemical survey targeting orogenic gold mineral systems at its 100%-owned Storjuktan project ("Storjuktan" or "the Project") located on the Gold Line belt, northern Sweden. Storjuktan encompasses approximately 60 kilometers ("km") of first-order structural corridor (strike length) of the Gold Line belt and is located 20 km north of the Company's Barsele project [1].
May 23, 2024 07:30 am ET
First Nordic Announces Start of 2024 Drilling at Barsele
VANCOUVER, BC, May 23, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTC: FNMCF) is pleased to announce the commencement of the 2024 diamond drilling program at the Barsele gold project located in Västerbottens Län, Northern Sweden ("Barsele" or the "Project"). The exploration program is being operated by joint venture partner Agnico Eagle Mines Limited ("Agnico").
May 13, 2024 07:00 am ET
First Nordic Strengthens Team and Launches New Online Presence To Reflect Growing Portfolio
VANCOUVER, BC, May 13, 2024 /CNW/ - First Nordic Metals Corp. (the "Company" or "First Nordic") (TSXV: FNM) (OTCQB: FNMCF) (FRA: HEG0) is pleased to announce the appointment of new additions to its team as well as the launch of its new website and social channels following the merger of Gold Line Resources Ltd. ("Gold Line") and Barsele Minerals Corp. ("Barsele") in Q1 2024.
Apr 18, 2024 09:20 am ET
First Nordic Metals Corp. Invites You to Join Us at Deutsche Goldmesse Spring 2024 in Frankfurt
Vancouver, British Columbia--(Newsfile Corp. - April 18, 2024) - First Nordic Metals Corp. (TSXV: FNM) (OTCQB: FNMCF) will be participating in Deutsche Goldmesse Spring 2024, which will take place on May 3rd and 4th at The Westin Grand Frankfurt.
Mar 18, 2024 09:00 am ET
Barsele Announces Name Change to First Nordic Metals Corp.
VANCOUVER, BC, March 18, 2024 /CNW/ - Barsele Minerals Corp. (the "Company" or "Barsele") (TSXV: BME) (OTC: BRSLF) is pleased to announce that the TSX Venture Exchange (the "TSXV") has approved the Company's application to change the name of the Company to "First Nordic Metals Corp." with the trading symbol "FNM". Furthermore, it is also expected that the Company's shares will trade under the new symbol "FNMCF" on the OTCQB. Trading in the common shares of the Company under the new name and symbol on the TSXV will commence at market open on March 20, 2024.
Dec 22, 2017 04:00 pm ET
Termination of First National Mortgage Investment Fund
TORONTO, Dec. 22, 2017 /CNW/ - Further to its announcement on November 15, 2017, Stone Asset Management Limited (the "Manager"), the manager of the First National Mortgage Investment Fund (the "Fund") (TSX: FNM.UN), announces that the Fund was terminated effective December 22, 2017.  The units of the Fund were delisted from the Toronto Stock Exchange as at the close of business on December 15, 2017.
Nov 15, 2017 05:01 pm ET
First National Announces Termination of the First National Mortgage Investment Fund
TORONTO, Nov. 15, 2017 /CNW/ - Stone Asset Management Limited (the "Manager"), the manager of First National Mortgage Investment Fund (the "Fund") (TSX: FNM.UN), in consultation with the Fund's promoter and mortgage advisor, First National Financial LP, has determined, in accordance with the terms of the Fund's declaration of trust, to terminate the Fund on or about December 19, 2017. Unitholders are not required to take any action.
Nov 15, 2017 05:00 pm ET
First National Mortgage Investment Fund Announces November Monthly Distribution
TORONTO, Nov. 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period November 1 to November 30, 2017. The distribution will be payable on December 15, 2017 to unitholders of record at the close of business on November 30, 2017.
Oct 16, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces October Monthly Distribution
TORONTO, Oct. 16, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period October 1 to October 31, 2017. The distribution will be payable on November 15, 2017 to unitholders of record at the close of business on October 31, 2017.
Sep 15, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces September Monthly Distribution
TORONTO, Sept. 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period September 1 to September 30, 2017. The distribution will be payable on October 16, 2017 to unitholders of record at the close of business on September 29, 2017.
Aug 15, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces August Monthly Distribution
TORONTO, Aug. 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period August 1 to August 31, 2017. The distribution will be payable on September 15, 2017 to unitholders of record at the close of business on August 31, 2017.
Jul 14, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces July Monthly Distribution
TORONTO, July 14, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period July 1 to July 31, 2017. The distribution will be payable on August 15, 2017 to unitholders of record at the close of business on July 31, 2017.
Jun 15, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces June Monthly Distribution
TORONTO, June 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period June 1 to June 30, 2017. The distribution will be payable on July 14, 2017 to unitholders of record at the close of business on June 30, 2017.
Jun 02, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces Annual Redemption and Progress Report
TORONTO, June 2, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced that Class A unitholders tendered 716,612 units amounting to 23.9% of the 2,995,412 outstanding Class A units under the annual redemption privilege. As more than the maximum of 15% of the outstanding units have been tendered, the Fund has prorated redemptions received using a factor of 62.7% resulting in the acceptance of 449,310 Class A units. 267,302 Class A units will be returned to tendering unitholders.
May 15, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces May Monthly Distribution
TORONTO, May 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period May 1 to May 31, 2017. The distribution will be payable on June 15, 2017 to unitholders of record at the close of business on May 31, 2017.
Apr 17, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces April Monthly Distribution
TORONTO, April 17, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period April 1 to April 30, 2017. The distribution will be payable on May 15, 2017 to unitholders of record at the close of business on April 28, 2017.
Mar 15, 2017 06:00 pm ET
First National Mortgage Investment Fund Announces March Monthly Distribution
TORONTO, March 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period March 1 to March 31, 2017. The distribution will be payable on April 17, 2017 to unitholders of record at the close of business on March 31, 2017.
Feb 15, 2017 05:00 pm ET
First National Mortgage Investment Fund Announces February Monthly Distribution
TORONTO, Feb. 15, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period February 1 to February 28, 2017. The distribution will be payable on March 15, 2017 to unitholders of record at the close of business on February 28, 2017.
Jan 16, 2017 05:00 pm ET
First National Mortgage Investment Fund Announces January Monthly Distribution
TORONTO, Jan. 16, 2017 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period January 1 to January 31, 2017. The distribution will be payable on February 15, 2017 to unitholders of record at the close of business on January 31, 2017.
Dec 15, 2016 05:00 pm ET
First National Mortgage Investment Fund Announces December Monthly Distribution
TORONTO, Dec. 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period December 1 to December 31, 2016. The distribution will be payable on January 16, 2017 to unitholders of record at the close of business on December 30, 2016.
Nov 15, 2016 05:00 pm ET
First National Mortgage Investment Fund Announces November Monthly Distribution
TORONTO, Nov. 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period November 1 to November 30, 2016. The distribution will be payable on December 15, 2016 to unitholders of record at the close of business on November 30, 2016.
Oct 14, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces October Monthly Distribution
TORONTO, Oct. 14, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period October 1 to October 31, 2016. The distribution will be payable on November 15, 2016 to unitholders of record at the close of business on October 31, 2016.
Sep 15, 2016 06:00 pm ET
First National Mortgage Investment Fund announces September monthly distribution
TORONTO, Sept. 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period September 1 to September 30, 2016. The distribution will be payable on October 14, 2016 to unitholders of record at the close of business on September 30, 2016.
Aug 15, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces August Monthly Distribution
TORONTO, Aug. 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period August 1 to August 31, 2016. The distribution will be payable on September 15, 2016 to unitholders of record at the close of business on August 31, 2016.
Jul 15, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces July Monthly Distribution
TORONTO, July 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period July 1 to July 31, 2016. The distribution will be payable on August 15, 2016 to unitholders of record at the close of business on July 29, 2016.
Jun 15, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces June Monthly Distribution
TORONTO, June 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period June 1 to June 30, 2016. The distribution will be payable on July 15, 2016 to unitholders of record at the close of business on June 30, 2016.
Jun 08, 2016 04:19 pm ET
First National Mortgage Investment Fund Announces Annual Redemption and Progress Report
TORONTO, June 8, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced that Class A unitholders tendered 1,275,174 units amounting to 36.1% of the 3,532,775 outstanding Class A units under the annual redemption privilege. As more than the maximum of 15% of the outstanding units have been tendered, the Fund has prorated redemptions received using a factor of 41.6% resulting in the acceptance of 529,916 Class A units. 745,258 Class A units will be returned to tendering unitholders.
May 16, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces May Monthly Distribution
TORONTO, May 16, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period May 1 to May 31, 2016. The distribution will be payable on June 15, 2016 to unitholders of record at the close of business on May 31, 2016.
Apr 15, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces April Monthly Distribution
TORONTO, April 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period April 1 to April 30, 2016. The distribution will be payable on May 16, 2016 to unitholders of record at the close of business on April 29, 2016.
Mar 15, 2016 06:00 pm ET
First National Mortgage Investment Fund Announces March Monthly Distribution
TORONTO, March 15, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period March 1 to March 31, 2016. The distribution will be payable on April 15, 2016 to unitholders of record at the close of business on March 31, 2016.
Feb 16, 2016 05:00 pm ET
First National Mortgage Investment Fund Announces February Monthly Distribution
TORONTO, Feb. 16, 2016 /CNW/ - First National Mortgage Investment Fund (TSX: FNM.UN) (the "Fund") today announced its monthly cash distribution of $0.05 per unit for the period February 1 to February 29, 2016. The distribution will be payable on March 15, 2016 to unitholders of record at the close of business on February 29, 2016.