Loser Volumes for 9 April 2025 from 00:00:00 until 23:59:59

Loser Volumes for 9 April 2025 from 00:00:00 until 23:59:59

American Stock Exchange (AMEX) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
CBOE CBOE Global Markets Inc 203.5379 38.33 B -2.2944 -1.11 2.13 M
NEN New England Realty Associates 77.1574 205.67 M -0.9767 -1.25 8.3 K
COE 51Talk Online Education Group 17.07 165.2 M -0.71 -3.99 13.92 K
VFL Delaware Florida Insured Muni 8.9899 123.03 M -0.0753 -0.83 104.9 K
LPA Logistic Properties of The Americas 7.25 104.34 M -0.385 -5.04 26.4 K
CEV Eaton Vance California Muni Income Trust 9.0969 70.69 M -0.066 -0.72 113.59 K
BDL Flanigan's Enterprises 23.606 58.55 M -0.1889 -0.79 1.5 K
BHM Bluerock Homes Trust Inc 9.9593 44.2 M -0.067 -0.67 6.9 K
SER Serina Therapeutics Inc 5.04 22.5 M -0.25 -4.73 33.4 K
CKX Ckx Lands 10.575 21.17 M -0.565 -5.07 9.07 K
MXC Mexco Energy Corp 7.3895 18.95 M -0.6996 -8.65 18.3 K
SCCE Sachem Capital Corp 6.00% Notes Due 2027 17.3524 -0.6274 -3.49 4.4 K
SCCG Sachem Capital Corp. 8.00% Notes Due 2027 17.9754 -0.3928 -2.14 3.9 K
SCCD Sachem Capital Corp 6.00% 19.296 -0.3741 -1.9 10.9 K
SCCF Sachem Capital Corp. 7.125% Notes Due 2027 17.2966 -0.282 -1.6 7.3 K

National Association of Securities Dealers Automated Quotations (NASDAQ) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
ONC BeiGene, Ltd. 206.32 30.41 B -3.09 -1.48 760.4 K
CBC Central Bancompany, Inc. Class A Common Stock 15.5622 6.6 B -0.4716 -2.94 8.45 K
ATAT Atour Lifestyle Holdings ADR 22.5003 5.11 B -0.9978 -4.25 4.45 M
MKTX Marketaxess Holdings 199.9057 5.01 B -3.0302 -1.49 1.82 M
USAR USAR 7.37 4.64 B -1.03 -12.26 676.4 K
MAAS Highest Performances Holdings Inc. 4.968 3.38 B -1.146 -18.74 5.39 K
ALHC Alignment Healthcare Inc 18.54 3.37 B -0.41 -2.16 4.78 M
FRMEP First Merchants Corp ADR 23.2772 2.38 B -0.3652 -1.54 100
EZPW Ezcorp Inc 15.13 2.05 B -0.12 -0.79 1.85 M
NEOG Neogen Cp 5.02 1.86 B -2.02 -28.69 47.73 M
SION Sionna Therapeutics, Inc. Common Stock 8.88 1.77 B -0.07 -0.78 187.1 K
BVC BitVentures Limited 11.70 1.77 B -0.10 -0.85 6.71 K
AAPG AAPG 19.00 1.73 B -0.46 -2.36 30.9 K
CCEC Capital Clean Energy Carriers Corp 16.5255 1.26 B -0.5152 -3.02 55.2 K
NNNN Anbio Biotechnology Class A Ordinary Shares 6.18 1.24 B -0.34 -5.21 95.1 K
DBVT Dbv Technologies ADR 7.07 1.11 B -0.075 -1.05 21.6 K
JBIO JBIO 84.9201 1.09 B -0.6821 -0.8 12.61 K
MSEX Middlesex Water Company 58.9074 982.36 M -0.3995 -0.67 182.81 K
SENEA Seneca Foods Cp A 82.69 981.38 M -0.54 -0.65 44.58 K
RHLD Resolute Holdings Management Inc. 26.96 902.46 M -0.37 -1.35 54.3 K
PCRX Pacira Pharm Inc 25.84 882.97 M -0.43 -1.64 2.73 M
AVTX Cerecor Inc 5.10 843.97 M -0.39 -7.1 64.56 K
SSII SS Innovations International Inc. Common Stock 8.95 800.53 M -0.15 -1.65 23.9 K
IBCP Independent Bk Cp 27.5889 690.1 M -0.2902 -1.04 135.94 K
STRO Sutro Biopharma Inc 6.279 571.35 M -0.072 -1.13 158.41 K
INV Innventure, Inc. 3.86 515.56 M -0.47 -10.85 185.1 K
PRTA Prothena Corp 10.26 502.07 M -0.22 -2.1 1.33 M
CTNM Contineum Therapeutics Inc 4.62 480.79 M -0.17 -3.55 168.6 K
YORW York Water Company 32.1128 474.77 M -0.5833 -1.78 136.54 K
SUPX Super X AI Technology Limited - Ordinary Shares 8.316 443.69 M -1.284 -13.38 244.9 K
SHMD Schmid Group N.V. Cl A 3.11 432.35 M -0.025 -0.8 62.9 K
NEGG Newegg Commerce Inc 3.93 422.82 M -0.10 -2.48 89.2 K
LOCO El Pollo Loco 9.88 416.93 M -0.29 -2.85 793.65 K
SOHU Sohu.com Inc ADR 9.44 411.29 M -1.01 -9.67 589.15 K
SLMT SLMT 7.00 398.01 M -0.10 -1.41 5.44 K
NATR Nature S Sunshine 11.76 391.26 M -0.25 -2.08 106.2 K
ARTNA Artesian Res Cp A 30.6815 328.11 M -0.337 -1.09 61.5 K
FWDI AdvisorShares Madrona International ETF 5.16 327.16 M -0.19 -3.55 58.7 K
TENX Tenax Therapeutics 5.53 308.22 M -0.30 -5.15 14.65 K
SBC SBC Communications Inc. 3.17 294.4 M -0.05 -1.55 7.12 K
AACB Artius II Acquisition Inc. Class A Ordinary Shares 9.90 288.93 M -0.05 -0.5 125.1 K
HUHU HUHUTECH International Group Inc. Ordinary Shares 3.02 276.48 M -0.09 -2.89 15.2 K
FACT FACT II Acquisition Corp. Class A Ordinary Shares 12.1626 259.91 M -0.104 -0.85 91
PROF Profound Medical Corp 4.49 250.37 M -0.05 -1.1 345.88 K
SIMAU Sim Acquisition Corp. I 10.25 248.17 M -0.09 -0.87 3.1 K
PRE Prenetics Global Limited Class A Ordinary Share 3.29 247.19 M -0.36 -9.86 6.24 K
BPRN Bank of Princeton 26.9186 233.28 M -0.673 -2.44 77.25 K
JFIN Jiayin Group Inc ADR 9.8471 232.29 M -0.4012 -3.91 292.8 K
LIEN Chicago Atlantic BDC, Inc. 9.4719 227.98 M -0.1402 -1.46 6.9 K
TNXP Tonix Pharm Hld 17.91 227.32 M -1.91 -9.64 1.71 M
TC Tuanche Ltd ADR 12.80 204.13 M -1.40 -9.86 5.43 K
BNR Burning Rock Biotech Ltd ADR 3.36 191.83 M -0.20 -5.62 20.2 K
MACIU Melar Acquisition Corp. I 10.32 187.33 M -0.13 -1.24 200
DTIL Precision Biosciences Inc 4.55 179.61 M -0.07 -1.52 859.46 K
HERE Here Group Limited 4.00 149.56 M -0.17 -4.08 832.8 K
MSLE Satellos Bioscience Inc. Common Stock 5.22 148.94 M -0.30 -5.43 950
ANNA AleAnna, Inc. Class A Common Stock 9.65 146.97 M -0.85 -8.1 24.1 K
BDSX Biodesix Inc 10.908 144.05 M -0.826 -7.04 27.72 K
MOLN Molecular Partners Ag American Depositary Shares 3.72 142.16 M -0.11 -2.87 5.74 K
SVRE Saverone 2014 Ltd ADR 91.80 134.1 M -38.16 -29.36 15.1 K
DFDV DeFi Development Corp. 3.9114 131.56 M -0.7772 -16.58 3.54 M
MGYR Magyar Bancorp Inc 13.4415 112.78 M -0.0883 -0.65 5.13 K
ALOT Astronova Inc 8.81 109.85 M -0.09 -1.01 25.77 K
UBOH United Bancshares 24.9491 109.67 M -0.1761 -0.7 5.63 K
BSBK Bogota Financial Corp 6.993 108.36 M -0.1335 -1.87 1.4 K
ENGN Engene Holdings Inc 4.03 105.17 M -0.09 -2.18 81.26 K
VRCA Verrica Pharmaceuticals Inc 4.629 100.84 M -1.165 -20.11 88.69 K
PMN Promis Neurosciences Inc 14.25 93.58 M -1.00 -6.56 1.64 K
NOEMU CO2 Energy Transition Corp. Unit 10.14 91.74 M -0.08 -0.78 100
FUSB First US Bancshares Inc 12.654 88.77 M -0.4161 -3.18 5.01 K
BKSC Bank of So Car Cp 12.6463 86.08 M -0.4243 -3.25 20.23 K
UBCP United Bncp Inc 11.9079 82.38 M -0.441 -3.57 10.8 K
AUBN Auburn Natl Bncp 19.4154 82.13 M -0.3538 -1.79 4.7 K
DTCX DTCX 4.28 80.74 M -0.17 -3.82 43.4 K
GGR Gogoro Inc 3.98 80.29 M -0.14 -3.4 74 K
PFX Phenixfin Corp Pr 50.4654 78.29 M -0.5346 -1.05 578
SOTK Sono-Tek Corp 3.5247 76.67 M -0.0653 -1.82 4.34 K
FATN FatPipe, Inc. Common Stock 7.75 71.71 M -5.25 -40.38 1.31 M
ASPS Altisource Portfolio 6.8384 71.4 M -0.1216 -1.75 10.54 K
ACET Adicet Bio Inc 8.32 70.11 M -1.28 -13.33 77.21 K
FFBW Ffbw Inc 13.32 66.03 M -0.43 -3.13 800
STSS Sharps Technology Inc 4.20 65.07 M -0.87 -17.16 316.32 K
SELF Global Self Storage 4.5368 60.54 M -0.0472 -1.03 35.37 K
RYM RYTHM, Inc. 18.00 58.5 M -0.24 -1.32 5.2 K
VHC VirnetX Holding Corp Common Stock 9.00 57.47 M -0.19 -2.07 13.9 K
AIRT Air T Inc 15.00 57.46 M -0.40 -2.6 6.09 K
NA Nano Labs Ltd ADR 4.07 57.11 M -0.03 -0.73 5.47 K
DWTX Dogwood Therapeutics, Inc. 3.30 56.78 M -0.31 -8.59 220.64 K
POCI Precision Optics Corp Inc 4.20 55.52 M -0.04 -0.94 4.5 K
WAVE Eco Wave Power Global Ab ADR 5.50 55.4 M -0.38 -6.46 98.7 K
LUNG Pulmonx Corp 5.43 55.33 M -0.29 -5.07 871.17 K
IXHL Incannex Healthcare Ltd ADR 20.40 52.96 M -4.77 -18.95 9.91 K
BDMD Baird Medical Investment Holdings Limited 5.34 50.43 M -0.18 -3.26 84.1 K
INKT Mink Therapeutics Inc 7.59 50.02 M -0.22 -2.82 12.28 K
ALCY Alchemy Investments Acquisition Corp 1 Cl A 11.30 49.23 M -0.06 -0.53 841
WETO Webus International Limited Ordinary Shares 3.89 49.01 M -0.11 -2.75 1.4 K
QVCGB QVC Group Inc. 275.00 48.56 M -2.50 -0.9 336
TCBS Texas Community Bancshares Inc 15.793 48.42 M -0.2369 -1.48 2.3 K
QETA Quetta Acquisition Corp 10.67 44.75 M -0.10 -0.93 100
ENGS Energys Group Limited Ordinary Shares 4.80 44.38 M -0.04 -0.83 37.03 K

New York Stock Exchange (NYSE) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
T American Telephone and Telegraph Inc. 26.1925 169.75 B -0.1975 -0.75 77.74 M
KR Kroger Company 64.5119 42.12 B -0.5292 -0.81 13.4 M
RKT Rocket Companies Inc Cl A 12.75 36.9 B -0.44 -3.34 25.97 M
AWK American Water Works 135.588 24.38 B -1.8241 -1.33 2.99 M
DG Dollar General Corp 84.7078 23.39 B -1.6544 -1.92 9.41 M
MAA-PI Mid-America Apartment Communities Inc 49.4151 11.93 B -0.5037 -1.01 1.45 K
CMS-PB Consumers Energy Company 73.5816 6.65 B -1.6509 -2.19 324
TAL Tal Education Group ADR 9.65 6.42 B -0.13 -1.33 14.59 M
AKO-A Embotelladora Andina S.A 14.9926 3.63 B -0.2061 -1.36 11.65 K
HMKIY Huhtamaki Oyj 8.8936 3.51 B -0.2519 -2.75 100
CYD China Yuchai International 13.701 1.89 B -0.7231 -5.01 531 K
NGL-PC NGL Energy Partners LP 21.557 1.79 B -0.8042 -3.6 140 K
GDV-PH The Gabelli Dividend & Income Trust 21.4189 1.58 B -0.1577 -0.73 21.21 K
AGM-A Federal Agricultural Mortgage Corporation 114.6755 1.49 B -5.5045 -4.58 709
AGL Agilon Health Inc 129.50 1.45 B -4.50 -3.36 411.06 K
FINV Finvolution Group ADR 7.6992 1.14 B -0.106 -1.36 2.3 M
GTN-A Gray Television Inc 6.5622 1.08 B -0.4155 -5.95 177
AHH-PA Armada Hoffler Properties Inc 19.501 993.4 M -0.1017 -0.52 22.75 K
NMAX Newsmax, Inc. 34.71 932.38 M -4.50 -11.48 4.98 M
GTNA Gray Television Inc 6.79 854.7 M -0.43 -5.96 177
MSC Studio City Intl Holdings Ltd ADR 3.38 491.1 M -0.20 -5.59 10.43 K
ZKH Zkh Group Limited ADR 3.08 458.72 M -0.24 -7.23 95 K
ABP ABPRO CORP 7.80 443.67 M -3.546 -31.25 227.99 K
LEO Dreyfus Strategic Municipals 5.5752 388.69 M -0.0286 -0.51 365.9 K
BLND Blend Labs Inc Cl A 3.17 382.54 M -0.02 -0.63 4.02 M
KTF Scudder Municiple Income Trust 8.2197 350.6 M -0.0643 -0.78 224.8 K
BGS B&G Foods Holdings 5.0542 331.97 M -0.1014 -1.97 3.83 M
BHR-PD Braemar Hotels & Resorts Inc 16.4902 236.96 M -0.233 -1.39 5.64 K
CIO City Office REIT Inc 4.3809 222.74 M -0.0769 -1.73 438.7 K
MPV Massmutual Participation Investors 14.6282 179.27 M -0.3046 -2.04 33.8 K
FOA Finance of America Companies Inc Cl A 18.92 167.87 M -0.13 -0.68 145.4 K
RMMZ Rivernorth Managed Duration Municipal Income Fun 14.16 124.37 M -0.08 -0.56 52.4 K
CXE Colonial High Income Muni Trust 3.3051 115.62 M -0.0187 -0.56 184.3 K
AKA A.K.A. Brands Holding Corp 12.11 110.78 M -0.10 -0.82 26.92 K
VHC Virnetx Holding Corp 9.00 69.97 M -0.19 -2.07 13.9 K
CXH Colonial Investment Grade Muni Trust 7.2332 64.12 M -0.0379 -0.52 21 K
CNF Cnfinance Holdings Ltd ADR 7.00 57.15 M -0.20 -2.78 1.56 K
STG Sunlands Online Education Group ADR 4.6001 40.68 M -0.6566 -12.49 2.72 K
LOCL Local Bounti Corp 3.75 40.58 M -0.08 -2.09 46.7 K
CCM Concord Medical Services ADR 4.2013 22.58 M -0.0287 -0.68 2.4 K
BHV Blackrock Virginia Muni Trust 9.8314 17.95 M -0.0564 -0.57 4.2 K
MTR Mesa Royalty Trust 5.1121 7.55 M -0.0857 -1.65 2.9 K
COE China Online Education Group ADR 17.07 -0.71 -3.99 13.92 K
NGL-P-C NGL-P-C 21.557 -0.8042 -3.6 140 K
EFC-PD Ellington Financial Inc. 19.9082 -0.5499 -2.69 1.23 K
EFC-P-D EFC-P-D 21.4184 -0.5916 -2.69 1.23 K
IMPTV Imperial Petroleum Inc. 8.75% Series A Cumulative Redeemable Perpetual Preferred Shares When Issued 21.751 -0.579 -2.59 4.36 K
GJR Strats Sm Trust For The Procter & Gamble Co. Sec 23.3175 -0.591 -2.47 705
SACH-PA Sachem Capital Corp. 14.7754 -0.3546 -2.34 5.54 K
CMS-P-B CMS Energy Corporation Preferred Stock 78.00 -1.75 -2.19 324
NREF-P-A NREF-P-A 22.01 -0.49 -2.18 2.59 K
NREF-PA NexPoint Real Estate Finance Inc. 22.01 -0.49 -2.18 2.59 K
BW-PA Babcock & Wilcox Enterprises Inc. 4.91 -0.0864 -1.73 53.31 K
BW-P-A BW-P-A 5.57 -0.098 -1.73 53.31 K
CUBB Customers Bancorp Inc 5.375% 18.0154 -0.2948 -1.61 3 K
HF Dga Absolute Return ETF 20.0164 -0.3234 -1.59 2.12 K
JBK Lehman Abs Corp 24.0249 -0.3573 -1.47 3.71 K
PRIF-PD Priority Income Fund Inc 24.00 -0.35 -1.44 2.87 K
PRIF-P-D PRIF-P-D 24.00 -0.35 -1.44 2.87 K
BHR-P-D Braemar Hotels Resorts Inc 825 PRF PERPETUAL USD 25 Ser D 18.40 -0.26 -1.39 5.64 K
LFT-PA Lument Finance Trust Inc. 19.5266 -0.2731 -1.38 938
LFT-P-A LFT-P-A 21.45 -0.30 -1.38 938
RHLD Resolute Holdings Management, Inc. 26.96 -0.37 -1.35 54.3 K
RIV-P-A RIV-P-A 23.0958 -0.3042 -1.3 8.77 K
RIV-PA RiverNorth Opportunities Fund Inc. 23.0958 -0.3042 -1.3 8.77 K
ETP Energy Transfer Partners L.P 16.1623 -0.1825 -1.12 100
MAA-P-I Mid-America Apartment Communities Inc. 8.50% Series I Cumulative Redeemable Preferred Stock 53.465 -0.545 -1.01 1.45 K
OPP-PA RiverNorth/DoubleLine Strategic Opportunity Fund Inc. 17.24 -0.17 -0.98 16 K
KIM-P-N KIM-P-N 56.94 -0.49 -0.85 1.67 K
KIM-PN Kimco Realty Corporation 53.5545 -0.4608 -0.85 1.67 K
GDV-P-H The Gabelli Dividend Income Trust 5375 Series H Cumulative Preferred Shares 22.7227 -0.1673 -0.73 21.21 K
SAY Saratoga Investment Corp 8.125% Notes Due 2027 25.20 -0.18 -0.71 7.2 K
KTH Lehman Abs Corp 27.166 -0.1708 -0.62 3.5 K
PRIF-PJ Priority Income Fund Inc. 22.76 -0.1213 -0.53 3.41 K
PRIF-P-J PRIF-P-J 22.76 -0.1213 -0.53 3.41 K
SAT Saratoga Investment Corp 6.00% 24.45 -0.13 -0.53 17.6 K
CICB CION Investment Corporation 22.7305 -0.1206 -0.53 14 K
AHRT-PA Armada Hoffler Properties, Inc. 19.501 -0.1017 -0.52 22.75 K
RWTP Redwood Trust, Inc. 23.956 -0.124 -0.51 47.5 K
RWTO Redwood Trust Inc 9.00% 23.59 -0.12 -0.51 18.4 K

Toronto Stock Exchange (TSX) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
FORA.TO Verticalscope Holdings Inc 5.20 -2.41 -31.67 771.1 K
HQD.TO Betapro Nasdaq 100 2X Daily Bear ETF 11.71 -3.55 -23.26 6.51 M
HUV.TO Betapro Sp500 VIX ST Ftrs ETF 11.73 -3.11 -20.96 598.6 K
HSD.TO Betapro Sp500 2X Daily Bear ETF 17.50 -3.97 -18.49 7.02 M
HED.TO Betapro S&P TSX Cap Engy 2X Dly Bear ETF 28.13 -5.85 -17.22 63.86 K
HND.TO Betapro Nat Gas 2X Daily Bear ETF 5.60 -1.13 -16.79 7.59 M
HGD.TO Betapro CDN Gold Miners 2X Dly Bear ETF 17.07 -2.65 -13.44 326.51 K
HOD.TO Betapro Crude Oil 2X Daily Bear ETF 7.29 -1.02 -12.27 3.16 M
HXD.TO Betapro S&P TSX 60 2X Daily Bear ETF 24.92 -2.90 -10.42 949.62 K
HFD.TO Betapro S&P TSX Cap Fncl 2X Dly Bear ETF 6.89 -0.73 -9.58 97.4 K
HIU.TO Betapro Sp500 Daily Inverse ETF 11.76 -1.22 -9.4 812.61 K
BITI.TO Betapro Inverse Bitcoin ETF 23.62 -2.08 -8.09 54.7 K
HZD.TO Betapro Silver 2X Daily Bear ETF 6.94 -0.53 -7.1 223.79 K
HBD.TO Betapro Gold Bullion 2X Daily Bear ETF 19.53 -1.40 -6.69 202.09 K
PRM.TO Big Pharma Split Corp 9.6325 -0.6705 -6.51 3.6 K
TTTX.TO Global X Innov Bluechip Top 10 Ind ETF 19.37 -1.1488 -5.6 2.2 K
MUSC.TO Manulife Multifactor U.S. Small Cap Index ETF 28.8965 -1.6509 -5.4 3.5 K
HIX.TO Betapro S&P TSX 60 Daily Inverse ETF 25.81 -1.39 -5.11 89.86 K
FINC.TO Forstrong Global Income ETF 20.6229 -0.6919 -3.25 276
DXN.TO Dynamic Active Global Infrastructure ETF 19.819 -0.6362 -3.11 1 K
ICAE.TO Invesco TSX Canadian Dividend Aristocrats ESG IN 21.9076 -0.6707 -2.97 188
NREA.TO Nbi Global Real Assets Income ETF 22.2584 -0.6744 -2.94 8.22 K
XCLN.TO Ishares Global Clean Energy Index ETF 24.8985 -0.747 -2.91 691
QEBL.TO Mackenzie Emerging Mkts Local Cur Bd ETF 69.2613 -2.0699 -2.9 1.7 K
PGIC.TO Premium Global Income Split Corp 5.8296 -0.1714 -2.86 2 K
FCII.TO Franklin Clearbridge Sust Glbl Act ETF 20.6578 -0.5508 -2.6 400
CVG.TO Clairvest Group 65.8834 -1.3839 -2.06 600
H.TO Hydro One Ltd 46.0876 -0.9553 -2.03 1.82 M
QTLT.TO Mackenzie US Govt Long Bond Index ETF 96.6858 -2.0039 -2.03 90.4 K
XDRV.TO Ishares Glbl Electric Autonomous Veh ETF 30.7167 -0.6205 -1.98 100
UMI.TO CI Wisdomtree US Midcap Div Idx ETF 27.7933 -0.5453 -1.92 3.5 K
CVD.TO Ishares Convertible Bond Index ETF 16.284 -0.2952 -1.78 3.7 K
DXBU.TO Dynamic Active U.S. Investment Grade Corporate B 20.0253 -0.3547 -1.74 100
PMM.TO Purpose Multi Strategy Mkt Neutral Fund 22.67 -0.38 -1.65 1.6 K
GIQG.TO Guardian I3 Global Quality Growth ETF 24.2452 -0.3999 -1.62 600
TULB.TO TD US Long Term Treasury Bond ETF 107.9601 -1.7488 -1.59 8.09 K
ACD.TO Accord Financial 3.15 -0.05 -1.56 6.5 K
HCRE.TO Horizons Eql Wght Can REIT Index ETF 23.94 -0.38 -1.56 225
PLDI.TO Pimco Low Duration Monthly Inc ETF 17.568 -0.2779 -1.56 200
ZZZD.TO BMO Tactical Dividend ETF Fund 25.5397 -0.4032 -1.55 4.5 K
PRN.TO Profound Medical Corp 6.34 -0.10 -1.55 10.7 K
HTB.TO Horizons US 7 To 10 Yr Treasury Bond ETF 59.60 -0.94 -1.55 20.6 K
ZRR.TO BMO Real Return Bond Index ETF 13.6528 -0.2108 -1.52 6.2 K
EMA.TO Emera Incorporated 55.1504 -0.8511 -1.52 2.36 M
RUQS.TO RBC Target 2030 US Corp Bond ETF 20.9678 -0.3216 -1.51 7.9 K
RUQQ.TO RBC Target 2028 U.S. Corporate Bond ETF 20.6562 -0.3101 -1.48 4.1 K
ZHU.TO BMO Equal Weight US Health Care Idx ETF 37.0592 -0.5471 -1.45 1.6 K
XAGG.TO Ishares US Aggregate Bond Index ETF 36.5855 -0.5189 -1.4 2.15 K
QLB.TO Mackenzie CDN Govt Long Bond Index ETF 97.8547 -1.3636 -1.37 200
RUDC.TO RBC U.S. Dividend Covered Call ETF 18.281 -0.2528 -1.36 500
XSTP.TO Ishares 0 To 5 Year TIPS Bond Index ETF 42.4034 -0.5496 -1.28 11.75 K
Y.TO Yellow Pages Ltd 9.2462 -0.1196 -1.28 1 K
IFRF.TO IA Clarington Floating Rate Income ETF 7.8241 -0.0995 -1.26 600
NXTG.TO First Trust Indxx Nextg ETF 10.58 -0.13 -1.21 1 K
FTS.TO Fortis Inc 60.5078 -0.7433 -1.21 2.54 M
MULC.TO Manulife Mltfactor US Large Cap Hgd ETF 44.3943 -0.5451 -1.21 200
ZTIP.TO BMO Short Term US TIPS Index ETF 32.0073 -0.3863 -1.19 1.06 K
GWO.TO Great-West Lifeco Inc 50.2031 -0.5748 -1.13 2.04 M
GFP.TO Greenfirst Forest Products Inc 3.50 -0.04 -1.13 1.3 K
XRB.TO Ishares CDN Real Return Bond Index ETF 22.4861 -0.2542 -1.12 5.62 K
ETP.TO First Trust Global Risk Managed Inc ETF 16.1627 -0.1826 -1.12 100
XFLB.TO Ishares Core CDN 15 Year Fed Bnd Idx ETF 45.9208 -0.5143 -1.11 3.78 K
TUSB.TO TD Select U.S. Short Term Corporate Bond 13.6648 -0.1525 -1.1 6.2 K
PRA.TO Purpose Diversified Real Asset Fund ETF 25.5828 -0.2826 -1.09 800
CDLB.TO CI Doubleline Total Return Bnd US HD ETF 15.9064 -0.1624 -1.01 1.04 K
CMDO.TO CI Alternative Diversified Opp ETF 18.0878 -0.1828 -1 6.9 K
FBT.TO First Trust NYSE Arca Biotechnology ETF 26.31 -0.26 -0.98 6 K
NUBF.TO Nbi Unconstrained Fixed Income ETF 19.6061 -0.1913 -0.97 107.1 K
ZUCM.TO BMO USD Cash Management ETF 30.1257 -0.2884 -0.95 7.6 K
BNKL.TO Horizons Enhnced Eql Wght Banks Idx ETF 21.3114 -0.2016 -0.94 4.9 K
QDXB.TO Mackenzie Dev Ex Na Agg Bond Idx Hgd ETF 86.0652 -0.8141 -0.94 300
ESGB.TO BMO ESG Corporate Bond Index ETF 26.4589 -0.25 -0.94 117
VGV.TO Vanguard CDN Government Bond Index ETF 21.7356 -0.2037 -0.93 1.9 K
LONG.TO CI Global Longevity Economy Fund ETF 32.31 -0.30 -0.92 100
QUB.TO Mackenzie US Aggregate Bond Indx Hgd ETF 77.4808 -0.7164 -0.92 2.4 K
DLR.TO Horizons US Dollar Currency ETF 13.8992 -0.1256 -0.9 786.1 K
RIFI.TO Russell Invt Fixed Income Pool ETF 17.0313 -0.1537 -0.89 24.06 K
CCBI.TO CIBC Canadian Bond Index ETF 17.5476 -0.1549 -0.88 6.4 K
CBND.TO Manulife Smart Corporate Bond ETF 8.7357 -0.0768 -0.87 7.9 K
HAL.TO Horizons Active CDN Dividend ETF 19.3058 -0.166 -0.85 5.5 K
NSCB.TO Nbi Sustainable Canadian Bond ETF 21.9368 -0.1856 -0.84 6.84 K
BOS.TO Airboss America J 3.4964 -0.0292 -0.83 13.12 K
PR.TO Lysander Slater Pref Share Activ ETF 9.1282 -0.076 -0.83 2.4 K
FLSD.TO Franklin Liberty Short Duration Bond ETF 18.5872 -0.1545 -0.82 3.11 K
BESG.TO Invesco ESG CDN Core Plus Bond ETF 15.2149 -0.1247 -0.81 1.6 K
VLB.TO Vanguard CDN Long Term Bond Index ETF 19.9907 -0.1635 -0.81 40.7 K
GCBD.TO Guardian Canadian Bond ETF 17.7654 -0.1451 -0.81 800
TCLB.TO TD Canadian Long Term Fed Bond ETF 114.0621 -0.9195 -0.8 18.5 K
DCP.TO Desjardins CDN Pref Share ETF 17.7702 -0.142 -0.79 100
GCNS.TO Ishares ESG Conservative Balanced ETF 42.4103 -0.3375 -0.79 296
QUIG.TO Mackenzie US Inv Grd Corp Bd Idx CAD Hgd 79.9984 -0.6056 -0.75 11 K
PINC.TO Purpose Multi Asset Income Fund 16.4558 -0.1236 -0.75 200
ZUP.TO BMO US Pref Share Index ETF 18.8865 -0.1417 -0.74 697
L.TO Loblaw CO 48.6781 -0.364 -0.74 2.69 M
ZFM.TO BMO Mid Federal Bond Index ETF 14.4596 -0.1077 -0.74 34.53 K
CORE.TO Pimco Canadian Core Bond Fund 19.4761 -0.145 -0.74 71.7 K
POW.TO Power Corporation of Canada 46.6151 -0.3457 -0.74 3.26 M
RGQR.TO RBC Target 2029 Government Bond ETF 19.8258 -0.1464 -0.73 896
ZDB.TO BMO Discount Bond ETF 14.7441 -0.1077 -0.73 256.1 K
CBH.TO Ishares 1-10 Yr Laddered Corp Bond ETF 17.2647 -0.1257 -0.72 2.3 K

United States Stock Exchanges (US) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
DOGEF Ørsted A/S 36.44 498.09 B -4.013 -9.92 600
RHHBF Roche Holding AG 304.50 330.18 B -2.215 -0.72 100
NVSEF Novartis AG 98.25 278.1 B -6.75 -6.43 20.7 K
RYDAF Royal Dutch Shell plc 31.19 239.82 B -0.88 -2.74 6.1 K
BTAFF British American Tobacco p.l.c 38.57 148.63 B -3.20 -7.66 1 K
SNEJF Sony Group Corporation 20.55 137.72 B -0.65 -3.07 600
BBVXF Banco Bilbao Vizcaya Argentaria S.A 11.10 133.9 B -0.49 -4.23 8.11 K
HTHIF Hitachi Ltd 19.02 133.05 B -1.21 -5.98 22.3 K
UNLYF Unilever PLC 58.8306 124.37 B -1.9694 -3.24 999
AAIGF AIA Group Limited 5.95 119.13 B -1.05 -15 54.3 K
IVSXF Investor AB (publ) 26.39 116.91 B -0.81 -2.98 400
ESOCF Enel SpA 7.45 116.2 B -0.19 -2.49 239
AAGIY AIA Group Limited 26.17 115.47 B -0.16 -0.61 1.42 M
GLAXF GlaxoSmithKline plc 15.54 103.19 B -1.46 -8.59 8.16 K
SNYNF Sanofi 95.674 102.19 B -4.876 -4.85 435
STOHF Equinor ASA 21.90 93.33 B -0.52 -2.32 350.62 K
CIXPF CaixaBank S.A 6.65 89.72 B -0.15 -2.21 12.34 K
SHECF Shin-Etsu Chemical Co. Ltd 27.14 86.66 B -0.54 -1.95 14 K
OVCHY Oversea-Chinese Banking Corporation Limited 21.74 81.18 B -0.21 -0.96 68.1 K
ENGQF ENGIE SA 19.50 80.92 B -0.39 -1.96 8.2 K
JAPAF Japan Tobacco Inc 28.70 75.02 B -1.05 -3.53 100
MRAAF Murata Manufacturing Co. Ltd 11.24 71.02 B -3.394 -23.19 13.79 K
NETTF NetEase Inc 17.79 70.33 B -1.956 -9.91 2.26 K
VOLVF AB Volvo (publ) 22.46 67.59 B -0.97 -4.14 5.1 K
MKGAF MERCK Kommanditgesellschaft auf Aktien 121.25 60.85 B -0.70 -0.57 723
TNCAF TC Energy Corporation 11.169 59.85 B -0.261 -2.28 330
RLXXF RELX PLC 43.66 59.71 B -1.44 -3.19 10.2 K
HOCPF HOYA Corporation 97.816 57.09 B -1.462 -1.47 2.3 K
SSUMF Sumitomo Corporation 20.05 56.43 B -0.50 -2.43 4.71 K
LTOUF Larsen & Toubro Limited 35.75 56.17 B -0.25 -0.69 200
FREJO Federal Home Loan Mortgage Corporation PFD 5.1% SAL 14.80 54.76 B -0.29 -1.92 500
LBLCF Loblaw Companies Limited 138.16 53.88 B -0.97 -0.7 18.5 K
GPDNF Danone S.A 77.35 53.67 B -0.55 -0.71 700
ENAKF E.ON SE 14.75 53.54 B -0.10 -0.67 400
SDVKF Sandvik AB (publ) 18.07 51.26 B -1.87 -9.38 2.3 K
TKPHF Takeda Pharmaceutical Company Limited 26.13 50.96 B -2.50 -8.73 229.4 K
UCBJY UCB SA 76.52 50.94 B -2.715 -3.43 83.8 K
BAIDF Baidu Inc 10.27 50.41 B -0.245 -2.33 128.8 K
DNBBF DNB Bank ASA 21.55 46.18 B -0.17 -0.78 7.3 K
FANUF Fanuc Corporation 23.00 46.09 B -1.88 -7.56 4.2 K
BAYZF Bayer Aktiengesellschaft 20.99 43.03 B -0.87 -3.98 4.59 K
HINKF Heineken N.V 74.45 42.4 B -6.15 -7.63 9.7 K
SHLAF Schindler Holding AG 293.15 41.81 B -28.86 -8.96 100
ACSAF ACS Actividades de Construcción y Servicios S.A 56.84 40.12 B -1.16 -2 200
JDCMF Jd Com Inc 16.00 40.02 B -0.55 -3.32 135.79 K
TSCDF Tesco PLC 4.21 39.03 B -0.05 -1.17 29.21 K
DLICY Dai-ichi Life Holdings Inc 11.60 36.96 B -0.90 -7.2 224.89 K
JPPHY Japan Post Holdings Co. Ltd 8.146 36.88 B -0.1426 -1.72 164
FJTSF Fujitsu Limited 19.53 35.32 B -0.71 -3.51 5.1 K
SHLRF Schindler Holding AG 296.76 34.55 B -21.24 -6.68 800
CKHUF CK Hutchison Holdings Limited 4.85 34.12 B -0.23 -4.53 23.9 K
DNZOF DENSO Corporation 10.35 33.48 B -1.32 -11.31 21.86 K
AMKBF A.P. Møller - Mærsk A/S 1337.03 33.15 B -156.22 -10.46 100
AMKAF A.P. Møller - Mærsk A/S 1425.00 32.93 B -89.65 -5.92 100
PSZKF Powszechna Kasa Oszczednosci Bank Polski Spólka Akcyjna 15.65 31.96 B -2.46 -13.58 237
TTNDF Techtronic Industries Company Limited 9.43 31.93 B -0.57 -5.7 15 K
SWSDF Swiss Life Holding AG 832.00 31.63 B -13.05 -1.54 153
PSZKY Powszechna Kasa Oszczednosci Bank Polski Spólka Akcyjna 16.582 31.49 B -0.618 -3.59 2.83 K
SBGOF Standard Bank Group Limited 10.3695 30.6 B -0.3905 -3.63 13.91 K
KNYJF KONE Oyj 51.70 30.07 B -2.45 -4.52 1.8 K
STMZF Scottish Mortgage Investment Trust PLC 10.75 29.52 B -0.17 -1.56 3.52 K
CICOY COSCO SHIPPING Holdings Co. Ltd 6.58 29.14 B -0.07 -1.05 3.6 K
DSKYF Daiichi Sankyo Company Limited 22.715 29.11 B -0.405 -1.75 15.98 K
ICTEF International Container Terminal Services Inc 5.69 27.8 B -0.31 -5.17 122
AJINY Ajinomoto Co. Inc 18.758 27.06 B -0.2071 -1.09 108.92 K
TEFOF Telefónica S.A 4.13 27.01 B -0.15 -3.5 1.2 K
KHNGF Kuehne + Nagel International AG 205.58 26.96 B -3.05 -1.46 300
MTCPY MTR Corporation Limited 9.322 26.68 B -0.176 -1.85 1.15 K
WNGRF George Weston Limited 167.58 26.3 B -2.49 -1.46 200
AVVIY Aviva plc 12.1668 25.52 B -0.6132 -4.8 39.75 K
HRNNF Hydro One Limited 33.14 25.31 B -0.68 -2.01 41.24 K
AKRBF AKRBF 19.33 24.81 B -0.69 -3.45 14.6 K
OMVKY OMV Aktiengesellschaft 11.226 24.78 B -0.307 -2.66 41.91 K
HLMAF Halma plc 30.02 24.36 B -0.785 -2.55 28 K
HPGLY Hapag-Lloyd Aktiengesellschaft 65.10 24.33 B -3.16 -4.63 7.4 K
FUWAY Furukawa Electric Co. Ltd 15.76 24.31 B -0.14 -0.88 900
RYLPF Koninklijke Philips N.V 21.27 24.28 B -0.349 -1.61 2.9 K
SGSOF SGS SA 84.53 24.03 B -4.59 -5.15 600
TELNF Telenor ASA 13.22 23.63 B -0.63 -4.55 2.5 K
EPIPF Epiroc AB (publ) 15.90 23.17 B -1.40 -8.09 285
OMVJF OMV Aktiengesellschaft 46.25 23.14 B -5.59 -10.78 2.3 K
CNGKY CK Asset Holdings Limited 7.54 23.05 B -0.08 -1.05 7.7 K
NHYKF Norsk Hydro ASA 4.58 22.5 B -0.44 -8.76 12.5 K
LSRCF Lasertec Corporation 79.13 21.51 B -0.80 -1 200
ASCCF ASICS Corporation 19.02 21.37 B -1.47 -7.17 1.8 K
EMBVF Arca Continental S.A.B. de C.V 9.42 21.32 B -0.37 -3.78 1.3 K
JMHLY Jardine Matheson Holdings Limited 37.47 21.05 B -0.25 -0.66 35.5 K
TLSNY Telia Company AB (publ) 6.65 20.96 B -0.04 -0.6 74.4 K
IPOAF Industrias Peñoles S.A.B. de C.V 15.92 20.74 B -1.58 -9.03 500
FWONB Formula One Group 70.00 20.55 B -2.00 -2.78 300
JARLF Jardine Matheson Holdings Limited 34.12 20.44 B -4.88 -12.51 134
RCIAF Rogers Communications Inc 27.05 20.21 B -1.45 -5.09 215
SHWDY Showa Denko K.K 16.685 19.76 B -0.395 -2.31 7.11 K
STOSF Santos Limited 3.30 19.29 B -0.06 -1.79 33.8 K
ETTYF Essity AB (publ) 28.20 18.24 B -3.31 -10.5 2.82 K
SNLAY Sino Land Company Limited 4.86 17.87 B -0.19 -3.76 3.4 K
GXYEF Galaxy Entertainment Group Limited 3.30 17.65 B -0.32 -8.84 46.3 K
HGKGY Power Assets Holdings Limited 5.94 17.41 B -0.09 -1.49 4.9 K
KAJMY Kajima Corporation 19.497 17.18 B -0.203 -1.03 405
UPMKF UPM-Kymmene Oyj 23.00 17.02 B -1.88 -7.56 6 K

Toronto Venture Exchange (V) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
NFD-A Northfield Capital Corporation 5.70 -0.30 -5 4.7 K
PVF-UN Partners Value Investments LP 125.00 -5.00 -3.85 200
XRTX XORTX Therapeutics Inc 6.00 -0.20 -3.23 20
DE Decisive Dividend Corporation 5.5642 -0.1109 -1.95 174.67 K
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