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Royal Canadian Mint — Investor Relations & Filings

Ticker · MNT TSX Manufacturing
Filings indexed 87 across all filing types
Latest filing 2025-09-05 Regulatory Filings
Country CA Canada
Listing TSX MNT

About Royal Canadian Mint

https://www.mint.ca/

The Royal Canadian Mint fulfills the mandate of producing and distributing circulation coinage for domestic trade and commerce, while also managing the national coin system. Utilizing facilities in Ottawa and Winnipeg, the organization extends its services internationally, manufacturing circulation and non-circulation coins for foreign governments. The Mint's product line includes collector coins, often commemorating significant events, and a globally recognized portfolio of precious metal bullion. Its flagship Gold and Silver Maple Leaf bullion coins are distinguished by their high purity and advanced security features, establishing them as universal symbols of quality and innovation for investors and dealers worldwide. The Mint emphasizes superior craftsmanship across all its numismatic and investment products.

Recent filings

Filing Released Lang Actions
Other.pdf
Regulatory Filings Classification · 0% confidence The document is a detailed legal certificate governing the terms, definitions, and conditions of RTB-or (gold bullion receipt) instruments issued by the Royal Canadian Mint. It is not an earnings announcement, management report, share transaction, dividend notice, or AGM material, nor is it a notice that a report has been published. It does not match any specialized category such as M&A, delisting, or proxy solicitation. There is no indication that this is a summary factsheet or investor presentation. As it is a substantive legal/contractual instrument rather than a narrow announcement type, it falls into the general regulatory filings fallback category (RNS).
2025-09-05 French
Other.pdf
Regulatory Filings Classification · 1% confidence The document is a detailed legal certificate outlining the terms and conditions of an exchange‐traded receipt (ETR) program for gold bullion, including definitions, redemption procedures, service fees, and custodial arrangements. It is not an annual or interim financial report, earnings release, proxy material, or any other specialized category. It appears as a standalone regulatory/legal instrument rather than an announcement of a report or an investor presentation. As it does not fit under more specific filing types, it defaults to the general Regulatory Filings category.
2025-09-05 English
News release - French.pdf
Capital/Financing Update Classification · 1% confidence The document is a press release announcing the closing of a follow-on placement of 833,200 gold exchange-traded receipts (RTB) at CA$53.18 each for gross proceeds of CA$44.3M. It details the capital raising syndicate, allotment and listing on the Toronto Stock Exchange. This is clearly an announcement of a financing activity/update rather than a regulatory report, dividends, or share repurchase. It fits the “Capital/Financing Update” category.
2025-09-05 French
News release - English.pdf
Share Issue/Capital Change Classification · 1% confidence The document is a news release announcing the closing of a follow-on offering of 833,200 exchange-traded receipts (new securities) and the resulting capital raised. This is an issuance of new securities under the company’s program, i.e., a share issue / capital change. Hence it fits the definition of SHA (Share Issue/Capital Change).
2025-09-05 English
Other.pdf
Fund Information / Factsheet Classification · 1% confidence The document is a product overview of the Canadian Silver Reserves (RTB – Aperçu) showing issue date, symbols, CUSIP, fees, NAV, performance metrics, and charts. It reads like a multi‐page fund factsheet summarizing key fund attributes and performance, not an annual report, regulatory notice, or earnings release. This matches a Fund Information / Factsheet.
2025-05-06 French
Other.pdf
Fund Information / Factsheet Classification · 1% confidence The document is a concise multi‐page summary of the Canadian Gold Reserves exchange‐traded investment vehicle, including a snapshot table of key product details (issue date, CUSIP, NAV, fees), performance metrics, charts, and redemption rights. It reads like a marketing/factsheet document for investors rather than an official regulatory filing, earnings release, or presentation deck. This aligns with a Fund Information / Factsheet (FS).
2025-05-06 English

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