Losers for 23 August 2021 from 00:00:00 until 23:59:59

Losers for 23 August 2021 from 00:00:00 until 23:59:59

American Stock Exchange (AMEX) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
CQP Cheniere Energy Partners LP 29.4968 29.5 B -0.6223 -2.07 168.04 K
CBOE CBOE Global Markets Inc 118.4475 25.4 B -3.1871 -2.62 520.7 K
BMNR Bitmine Immersion Technologies Inc 26.9921 7.58 B -2.9991 -10 5
SIM Grupo Simec S.A. DE C.V. ADR 23.21 4.62 B -0.8764 -3.64 3.22 K
NHC National Healthcare Corp 64.622 3.3 B -0.3414 -0.53 20.7 K
TMP Tompkinstrustco 67.2656 1.36 B -0.4144 -0.61 22.1 K
BKTI Bk Technologies Inc 14.7077 321.93 M -0.1892 -1.27 5.44 K
BRBS Blue Ridge Bankshare 15.5166 317.39 M -0.3112 -1.97 27.28 K
ELLO Ellomay Capital Ltd 27.56 254.99 M -0.22 -0.79 548
ARMP Armata Pharmaceuticals Inc 3.70 237.89 M -0.10 -2.63 3.7 K
GENC Gencor Industries IN 11.42 218.69 M -0.06 -0.52 13.78 K
ESP Espey Mfg. & Electronics 12.9695 201.78 M -0.367 -2.75 400
INFU Infusystems Holdings 14.86 194.75 M -0.47 -3.07 240.1 K
FLYX Flyexclusive Inc Cl A 9.68 192.07 M -0.05 -0.51 105
ACU Acme United Corp 35.2198 181.83 M -1.0679 -2.94 15.2 K
WYY Widepoint Corp 5.14 173.03 M -0.08 -1.53 161.28 K
GLU Gabelli Global Utility 14.923 115.03 M -0.2542 -1.67 16.2 K
EP Empire Petroleum Corp 5.84 106.64 M -0.24 -3.95 1.15 K
BDL Flanigan's Enterprises 22.4732 83.34 M -0.5326 -2.32 12.62 K
FSP Franklin Street Properties 3.9155 53.4 M -0.0497 -1.25 412.4 K
LGL LGL Group 3.9857 45.26 M -0.0678 -1.67 15.38 K
COHN Cohen & CO Inc 13.0578 34.09 M -0.3938 -2.93 111.35 K
CCEL Cryo-Cell Intl Inc 8.3016 25.7 M -0.1203 -1.43 7.3 K
ACCS Access Newswire Inc 27.61 25.23 M -0.26 -0.93 6.42 K
REED Reed's, Inc. 196.02 15.06 M -3.63 -1.82 1.09 K
AIRI Air Industries Group Inc 11.70 14.65 M -0.10 -0.85 12.95 K
UUU Universal Security Instruments 4.5469 13.9 M -0.0421 -0.92 54.8 K
DSS Document Security Systems 21.8116 5.93 M -0.8655 -3.82 60.27 K
SING Singlepoint 343200.00 7.98 K -10400.00 -2.94 0
PCG-P-A Pacific Gas & Electric Company. 6% Preferred Stock 29.00 -0.26 -0.89 481
PCG-P-B Pacific Gas & Electric Company. 5 1/2% Preferred Stock 26.77 -0.24 -0.89 700

National Association of Securities Dealers Automated Quotations (NASDAQ) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
WMT Walmart Inc. Common Stock 47.4096 901.33 B -0.315 -0.66 16.17 M
COST Costco Wholesale 432.4367 414.86 B -3.8593 -0.88 1.84 M
AZN Astrazeneca Plc ADR 106.6911 294.07 B -1.0705 -0.99 3.06 M
SNY Sanofi-Aventis S.A. ADR 44.5846 102.12 B -0.5954 -1.32 3.09 M
DASH Doordash Inc Cl A 183.08 80.4 B -1.00 -0.54 2.94 M
ORLY O'Reilly Automotive 40.1735 76.32 B -0.254 -0.63 5.4 M
AEP American Electric Power Company 76.4099 74.44 B -0.8139 -1.05 3.05 M
MDLZ Mondelez Intl Inc 55.7311 74.25 B -0.3445 -0.61 4.78 M
XEL XCEL Energy Inc 59.2618 50.13 B -1.3916 -2.29 2.81 M
EXC Exelon Corp 29.8468 47.7 B -0.1824 -0.61 5.17 M
IDXX Idexx Laboratories 671.11 41.53 B -11.03 -1.62 472.16 K
COIN Coinbase Global Inc Class A 256.00 38.52 B -1.32 -0.51 5.71 M
KMB Kimberly-Clark Corp 115.095 36.44 B -0.6279 -0.54 1.3 M
RPRX Royalty Pharma Plc Cl A 34.6789 32.29 B -0.314 -0.9 1.28 M
ILMN Illumina Inc 465.3015 26.6 B -8.1518 -1.72 1.14 M
DXCM Dexcom 128.18 25.99 B -1.5675 -1.21 1.88 M
PSNYW Polestar Automotive Holding UK Limited Class C-1 48.30 23.36 B -1.50 -3.01 6.77 K
EVRG Evergy Inc 57.421 19.92 B -0.2917 -0.51 1.58 M
LNT Alliant Energy Corp 52.5817 19.7 B -1.0435 -1.95 1.11 M
SITM Sitime Corp 202.03 19.68 B -4.35 -2.11 284.9 K
SBAC SBA Communications 333.0222 18.72 B -3.7851 -1.12 293.6 K
TSCO Tractor Supply Company 36.5469 16.58 B -0.581 -1.56 4.71 M
WMG Warner Music Group Corp Cl A 32.6959 14.12 B -0.1986 -0.6 737.86 K
ICLR Icon Plc 244.98 13.3 B -2.83 -1.14 524.53 K
IONS Ionis Pharmaceuticals 39.03 13.1 B -0.23 -0.59 722.2 K
ERIE Erie Indemnity Company 158.4721 12.54 B -3.6764 -2.27 56.6 K
DRS Leonardo DRS, Inc. Common Stock 10.7225 11.38 B -0.2075 -1.9 382.3 K
GLXY Galaxy Digital Inc 17.6371 10.68 B -0.3689 -2.05 220.59 K
PODD Insulet Corp 293.54 10.55 B -1.74 -0.59 312.3 K
SIRI Sirius XM Holdings 52.6295 9.94 B -0.5061 -0.95 1.56 M
FCFS First Cash Fin Svcs 78.7228 9.48 B -0.4615 -0.58 127.84 K
BSY Bentley Systems Incorporated Cl B 62.3002 9.08 B -0.6363 -1.01 675.6 K
ALKS Alkermes Plc 30.05 8.73 B -0.20 -0.66 1.43 M
FDS FactSet Research Systems Inc 349.6131 8.38 B -2.2601 -0.64 157.3 K
SFM Sprouts Farmers Mark 24.77 7.95 B -0.18 -0.72 1.15 M
POOL Pool Corp 447.6006 7.83 B -10.8672 -2.37 203.8 K
ETSY Etsy Inc 196.58 7.15 B -2.69 -1.35 2.44 M
ROAD Construction Partners Inc Cl A 32.52 6.71 B -0.34 -1.03 96.69 K
LKQ LKQ Corp 45.0736 6.71 B -0.2311 -0.51 1.34 M
CACC Credit Acceptance 571.59 6.66 B -8.34 -1.44 125.74 K
CPB Campbell Soup Company 35.4973 6.64 B -0.6345 -1.76 3.21 M
RGTI Rigetti Computing Inc 9.635 6.42 B -0.055 -0.57 11.3 K
GLBE Global-E Online Ltd 69.00 5.83 B -2.73 -3.81 930.18 K
NOVT Novanta Inc 146.64 5.78 B -2.83 -1.89 67.7 K
PECO Phillips Edison & Company Inc 25.4429 5.77 B -0.4273 -1.65 273.6 K
ERAS Erasca Inc 20.86 5.7 B -0.11 -0.52 346.6 K
BZ Kanzhun Ltd ADR 31.5598 5.62 B -0.2553 -0.8 714.05 K
DUOL Duolingo Inc 124.01 5.36 B -2.02 -1.6 151.9 K
ALHC Alignment Healthcare Inc 17.88 4.92 B -0.66 -3.56 206.2 K
IEP Icahn Enterprises 22.9098 4.85 B -0.1296 -0.56 298.3 K
GRFS Grifols S.A. ADR 14.647 4.82 B -0.118 -0.8 483.99 K
SLMBP SLM Cp Srs B Pfd 41.3567 4.76 B -0.5555 -1.33 997
BELFB BEL Fuse Inc Cl B 13.1805 4.74 B -0.135 -1.01 148.9 K
IBOC Intl Bancshares 36.9925 4.72 B -0.3585 -0.96 203.56 K
NWE Northwestern Corp 51.4394 4.41 B -0.45 -0.87 203.5 K
DLO Dlocal Ltd Cl A 61.9324 3.82 B -1.8387 -2.88 1.51 M
ICUI I C U Medical Inc 196.84 3.66 B -1.23 -0.62 64.97 K
OSIS O S I Systems Inc 98.33 3.6 B -1.56 -1.56 52.94 K
KEEL Bitfarms Ltd. 5.74 3.47 B -0.16 -2.71 8.84 M
GRBK Green Brick Partners 24.81 3.45 B -0.32 -1.27 270.25 K
WDFC WD-40 Company 220.5895 3.28 B -1.4161 -0.64 50 K
PRVA Privia Health Group Inc 29.46 3.24 B -0.91 -3 195.3 K
CRVL Corvel Cp 52.9666 3.17 B -0.35 -0.66 64.91 K
NMIH Nmi Holdings Inc 22.19 3.12 B -0.20 -0.89 279.31 K
VLYPP Valley National Bancorp Pfd Series A 21.5215 3.11 B -0.2952 -1.35 7.89 K
FA First Advantage Corp 21.083 3.1 B -0.4773 -2.21 177.9 K
VERA Vera Therapeutics Inc Cl A 18.29 3.08 B -0.61 -3.23 11.55 K
MGEE Mge Energy Inc 73.948 3.08 B -0.442 -0.59 45.1 K
HWKN Hawkins Inc 35.2578 2.97 B -0.6608 -1.84 32.59 K
TRMD Torm Plc Cl A 4.1634 2.67 B -0.0645 -1.53 11.8 K
FBNC First Bancorp [Nc] 37.4608 2.65 B -0.2069 -0.55 85.54 K
BWIN The Baldwin Insurance Group Inc 33.89 2.59 B -0.36 -1.05 133 K
PTON Peloton Interactive Inc 106.59 2.56 B -1.48 -1.37 6.6 M
HTO H2O America 61.2678 2.54 B -0.3822 -0.62 28.8 K
BLBD Blue Bird Corp 20.49 2.5 B -0.20 -0.97 87.89 K
CENTA Central Garden & Pet 34.296 2.43 B -0.192 -0.56 235.57 K
MRVI Maravai Lifesciences Holdings Inc Cl A 59.61 2.3 B -1.01 -1.67 854.4 K
RNW Renew Energy Global Plc Class A Shares 8.85 2.28 B -0.09 -1.01 161.6 K
DHC Diversified Healthcare Trust 3.242 2.25 B -0.0183 -0.56 616.22 K
PLUS Eplus Inc 52.2865 2.18 B -1.2284 -2.3 64.38 K
HRMY Harmony Biosciences Holdings Inc 32.82 2.11 B -0.27 -0.82 219.2 K
TH Target Hospitality Corp 3.42 2.03 B -0.05 -1.44 103.31 K
ECPG Encore Capital Group 46.60 2 B -0.75 -1.58 125.7 K
ALKT Alkami Technology Inc 26.56 1.94 B -0.35 -1.3 81.3 K
QFIN 360 Finance Inc ADR 15.2167 1.92 B -0.6613 -4.16 4.44 M
SRPT Sarepta Therapeutics 73.32 1.9 B -1.99 -2.64 1.26 M
STGW Stagwell Inc 6.74 1.84 B -0.15 -2.18 273.34 K
ABSI Absci Corporation 22.39 1.81 B -0.13 -0.58 207.5 K
OPRA Opera Ltd ADR 6.9398 1.78 B -0.1149 -1.63 89.55 K
HLIT Harmonic Inc 9.77 1.77 B -0.06 -0.61 881.25 K
PSNY Gores Guggenheim Inc Unit Cl A 292.80 1.72 B -1.80 -0.61 40.64 K
CNOB Connectone Bancorp 25.6011 1.68 B -0.1492 -0.58 243.5 K
INVA Innoviva Inc 15.64 1.68 B -0.30 -1.88 1.18 M
HLMN Hillman Solutions Corp 11.83 1.66 B -0.17 -1.42 837.7 K
WINA Winmark Corp 186.9365 1.51 B -2.1963 -1.16 3.68 K
LGIH LGI Homes Inc 152.70 1.48 B -1.16 -0.75 146.45 K
HURN Huron Consulting 49.38 1.46 B -0.51 -1.02 133.72 K
LWLG Lightwave Logic Inc 6.99 1.46 B -0.26 -3.59 288.8 K
JBIO JBIO 401.0687 1.35 B -21.1447 -5.01 2.07 K
PAHC Phibro Anl Htlh A 21.4875 1.27 B -0.9727 -4.33 172.73 K

New York Stock Exchange (NYSE) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
BRK-A Berkshire Hathaway Inc (Class A) 425000.00 1.08 T -5007.0625 -1.16 999
LLY Eli Lilly and Company 256.7822 1.07 T -2.9626 -1.14 2.44 M
WMT Wal-Mart Stores 47.2223 892.19 B -0.3139 -0.66 16.17 M
UNH Unitedhealth Group Inc 394.9253 377.45 B -4.0388 -1.01 2.38 M
PG Procter & Gamble Company 135.6633 341.47 B -0.6954 -0.51 4.52 M
PM Philip Morris International Inc 80.4977 281.96 B -0.4549 -0.56 2.78 M
BML-PJ Bank of America Corporation 19.3881 230.53 B -0.1595 -0.82 5.04 K
NVO Novo Nordisk A/S ADR 103.3379 212.27 B -0.6633 -0.64 1.4 M
NEE Nextera Energy 80.8547 183.05 B -1.8011 -2.18 8.84 M
DHR Danaher Corp 276.2241 134.82 B -2.5315 -0.91 3.09 M
PLD Prologis Inc 116.3262 126.94 B -0.75 -0.64 1.58 M
LOW Lowe's Companies 189.0997 123.69 B -1.973 -1.03 4.2 M
SO Southern Company 56.4643 107.89 B -0.5505 -0.97 4.8 M
GSK Glaxosmithkline Plc ADR 34.5074 105.04 B -0.2994 -0.86 4.64 M
MDT Medtronic Inc 110.8421 100.14 B -1.225 -1.09 5.03 M
DUK Duke Energy Corp 88.8142 98.68 B -1.1582 -1.29 2.71 M
WM Waste Management 140.9566 89.5 B -1.096 -0.77 1.34 M
SHW Sherwin-Williams Company 292.6329 84.92 B -2.2471 -0.76 686.8 K
NGG National Grid Transco Plc ADR 50.1483 82.47 B -0.3548 -0.7 170.2 K
AMT American Tower Corp 249.0864 76.21 B -1.9944 -0.79 1.07 M
CL Colgate-Palmolive Company 69.9716 73.36 B -0.3749 -0.53 3.16 M
TRV The Travelers Companies Inc 145.7009 70.2 B -0.8565 -0.58 622.7 K
GM General Motors Company 46.3758 69.5 B -0.5968 -1.27 30.15 M
VALE Vale S.A. ADR 14.4735 64.03 B -0.2586 -1.76 28.67 M
BSX Boston Scientific Corp 43.99 63.44 B -0.45 -1.01 10.14 M
SRE Sempra 56.7841 60.61 B -0.6329 -1.1 2.42 M
D Dominion Resources 63.8356 60.06 B -0.8648 -1.34 4.15 M
O Realty Income Corp 53.9793 57.78 B -0.5843 -1.07 3.25 M
PSA Public Storage 260.4457 55.89 B -2.4728 -0.94 633.1 K
VST Vistra Energy Corp 16.4599 53.49 B -0.0913 -0.55 2.24 M
ETR Entergy Corp 48.4054 52.59 B -0.2547 -0.52 3.36 M
AZO Autozone 1622.98 52.17 B -17.78 -1.08 120.31 K
EW Edwards Lifesciences Corp 116.96 52.09 B -1.99 -1.67 2.32 M
VTR Ventas Inc 46.1454 43.17 B -0.3063 -0.66 1.28 M
WCN Waste Connections Inc 122.8304 42.35 B -0.6954 -0.56 465.6 K
ED Consolidated Edison Company of New York 64.8226 40.77 B -0.9921 -1.51 1.66 M
PEG Public Service Enterprise Group Inc 54.9236 40.44 B -0.5207 -0.94 1.91 M
WEC Wisconsin Energy Corp 82.158 38.03 B -1.5439 -1.84 1.13 M
PCG Pacific Gas & Electric Company 8.9798 37.04 B -0.1676 -1.83 12.74 M
KMB Kimberly-Clark Corp 115.095 36.44 B -0.6279 -0.54 1.3 M
HSY Hershey Foods Corp 160.0526 35.59 B -1.1461 -0.71 755.3 K
CCI Crown Castle International Corp 155.8847 33.05 B -1.6626 -1.06 1.34 M
UI Ubiquiti Networks 289.9128 32.32 B -4.4391 -1.51 25.46 K
AEE Ameren Corp 76.1312 31.28 B -1.7739 -2.28 1.49 M
CPNG Coupang Inc Class A 30.55 31.18 B -0.74 -2.36 14.47 M
CNP Centerpoint Energy Inc 23.3408 28.81 B -0.1427 -0.61 4.01 M
ATO Atmos Energy Corp 87.4515 28.76 B -0.8493 -0.96 629.3 K
EIX Edison International 47.827 28.65 B -0.2992 -0.62 1.82 M
FE Firstenergy Corp 32.3084 27.5 B -0.2331 -0.72 2.39 M
WSM Williams-Sonoma 73.9932 27.45 B -0.6436 -0.86 1.79 M
PPL PPL Corp 24.6084 27.35 B -0.4637 -1.85 5.38 M
ES Eversource Energy 75.5634 27.18 B -0.821 -1.07 1.66 M
AVB Avalonbay Communities 189.5295 26.77 B -1.257 -0.66 332.7 K
PHM Pultegroup 50.1052 26.14 B -0.258 -0.51 1.71 M
AWK American Water Works 165.8523 25.7 B -1.7295 -1.03 993.51 K
WST West Pharmaceutical Services 441.028 25.36 B -2.9036 -0.65 243.2 K
MKL Markel Corp 1258.83 24.44 B -10.05 -0.79 24.8 K
AXIA-P Centrais Elétricas Brasileiras S.A. - Eletrobrás 4.2305 24.15 B -0.0419 -0.98 3.9 K
AXIA Centrais Elétricas Brasileiras S.A. - Eletrobrás 6.0627 23.75 B -0.0687 -1.12 755.9 K
CMS Cms Energy Corp 55.3049 23.63 B -0.6387 -1.14 2.85 M
DGX Quest Diagnostics Inc 137.0855 23.46 B -1.3387 -0.97 1.25 M
LH Laboratory Corp of America Holdings 248.6141 22.96 B -2.0874 -0.83 396.5 K
CHD Church & Dwight Company 80.5057 22.96 B -1.0428 -1.28 895.3 K
NI NiSource Inc 21.6838 22.8 B -0.3166 -1.44 2.53 M
LEN Lennar Corp 86.27 22.29 B -0.7186 -0.83 1.79 M
LEN-B Lennar Corporation 75.4644 21.85 B -0.607 -0.8 44.39 K
MKCV McCormick & Company, Incorporated 81.4813 21.54 B -0.7457 -0.91 892
PKG Packaging Corp of America 127.6707 21.23 B -1.1466 -0.89 555.7 K
STE Steris Corp 203.9064 20.52 B -1.597 -0.78 455.4 K
IP International Paper Company 45.1705 20.17 B -0.2318 -0.51 2.01 M
TSN Tyson Foods 68.6331 20.16 B -0.3538 -0.51 1.12 M
FN Fabrinet 99.01 20.14 B -5.04 -4.84 310.44 K
ESS Essex Property Trust 266.9013 20.1 B -2.054 -0.76 136.9 K
ROL Rollins Inc 36.1253 20.1 B -0.8942 -2.42 862.3 K
AMCR Amcor Plc 50.4144 20.04 B -0.4374 -0.86 2.16 M
BURL Burlington Stores Inc 342.03 19.94 B -5.49 -1.58 608.9 K
LII Lennox International 312.9032 19.94 B -2.191 -0.7 163.51 K
GIS General Mills 50.7028 18.57 B -0.5955 -1.16 2.28 M
NVR NVR Inc 5130.27 18.39 B -30.46 -0.59 13.44 K
FLUT Flutter Entertainment Plc 185.00 17.72 B -1.425 -0.76 42.1 K
ZTO Zto Express Cayman Inc ADR 23.0941 17.07 B -0.3635 -1.55 4.15 M
MAA Mid-America Apartment Communities 160.017 16.58 B -1.4596 -0.9 510.7 K
GPC Genuine Parts Company 107.3072 16.41 B -1.1297 -1.04 357.49 K
BR Broadridge Financial Solutions Llc 159.0336 15.84 B -1.8807 -1.17 421.7 K
SUI Sun Communities 166.7563 15.33 B -1.9444 -1.15 476.2 K
UDR United Dominion Realty Trust 43.5312 14.79 B -0.3805 -0.87 1.12 M
DOC Physicians Realty Trust 24.6617 14.75 B -0.1553 -0.63 1.78 M
RTO Rentokil Initial Plc ADR 40.1643 14.4 B -0.7209 -1.76 17.2 K
AMH American Homes 4 Rent 35.9543 13.74 B -0.2733 -0.75 1.3 M
HRL Hormel Foods Corp 39.8082 13.66 B -0.2943 -0.73 1.01 M
MKC-V McCormick & Company Incorporated 84.6333 13.58 B -0.7699 -0.9 900
MKC Mccormick & Company 81.3536 13.56 B -0.7785 -0.95 979.06 K
MOG-A Moog Inc 74.4954 13.43 B -0.3827 -0.51 102.03 K
PNW Pinnacle West Capital Corp 63.9795 12.97 B -1.0135 -1.56 829.7 K
ELS Equity Lifestyle Properties 71.9987 12.91 B -1.0622 -1.45 397 K
EQH Axa Equitable Holdings Inc 26.7828 12.35 B -0.2053 -0.76 3.93 M
W Wayfair Inc 287.02 12.2 B -3.50 -1.2 572.88 K
SNN Smith & Nephew Snats ADR 33.8422 12.19 B -0.2627 -0.77 464.7 K
SJM J.M. Smucker Company 111.6242 12 B -1.0124 -0.9 614.7 K
MOH Molina Healthcare Inc 262.82 11.92 B -4.17 -1.56 159.11 K

Toronto Exchange (TO) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
MSCL Satellos Bioscience Inc 18.00 -2.40 -11.76 13.39 K
BOS Airboss America J 31.1438 -2.0405 -6.15 107.67 K
EAGR East Side Games Group 3.06 -0.19 -5.85 80.53 K
THNC Thinkific Labs Inc 12.69 -0.74 -5.51 36.7 K
ISC Information Services Corp 25.0372 -1.2196 -4.64 8.3 K
TPX-A Molson Coors Canada Inc 54.2351 -2.5328 -4.46 200
AIM Aimia Inc 4.10 -0.19 -4.43 67.2 K
BITF Bitfarms Ltd 7.29 -0.30 -3.95 2.13 M
WRG Western Energy Services Corp 34.80 -1.20 -3.33 8
DII-A Dorel Industries Inc Cl.A Mv (DII-A.TO 5.3783 -0.1806 -3.25 500
ACX Act Energy Technologies Ltd 3.22 -0.105 -3.16 143.87 K
EGLX Enthusiast Gaming Holdings Inc 5.71 -0.17 -2.89 827.8 K
MDA Mda Ltd 15.98 -0.44 -2.68 28.9 K
BYD Boyd Group Services Inc 241.9723 -6.642 -2.67 35.6 K
MI-UN Minto Apartment Real Estate Investment Trust 21.31 -0.5082 -2.33 314.59 K
STC Sangoma Technologies Corp 21.77 -0.49 -2.2 12.01 K
ELVA Electrovaya Inc 4.55 -0.10 -2.15 23.42 K
BDI Black Diamond Group Ltd 3.1427 -0.0657 -2.05 46.53 K
BABY Else Nutrition Holdings Inc 29.10 -0.60 -2.02 9.29 K
WSP WSP Global Inc 157.9197 -3.1422 -1.95 148.4 K
DHT-UN DRI Healthcare Trust 5.8449 -0.1149 -1.93 24.63 K
WCN Waste Connections Inc 155.4224 -3.0331 -1.91 320.1 K
NANO Nano One Materials Corp 3.13 -0.06 -1.88 105.6 K
LCFS Tidewater Renewables Ltd 14.45 -0.26 -1.77 89.1 K
AVNT Avant Brands Inc 17.40 -0.30 -1.69 8.17 K
STN Stantec Inc 57.5034 -0.8918 -1.53 185.45 K
ACD Accord Financial 7.8409 -0.1206 -1.51 700
DOL Dollarama Inc 58.9819 -0.8977 -1.5 738 K
TIH Toromont Ind 99.8637 -1.4992 -1.48 90.86 K
CUP-U Caribbean Utilities Company Ltd 11.6333 -0.1707 -1.45 100
IFC Intact Financial Corp 158.2808 -2.3206 -1.44 313.4 K
MRC Morguard Corp 131.4004 -1.9072 -1.43 2.75 K
NXR-UN Nexus Real Estate Investment Trust 8.3137 -0.1124 -1.33 354.7 K
SEC Senvest Capital 380.00 -5.00 -1.3 100
HFPC-U Helios Fairfax Partners Corporation 4.15 -0.05 -1.19 5.52 K
PPTA Perpetua Resources Corp 6.65 -0.08 -1.19 24.6 K
MPCT-UN Dream Impact Trust 24.3302 -0.2905 -1.18 5.17 K
HPS-A Hammond Power Solutions Inc 11.0794 -0.1305 -1.16 7.34 K
KBL Kbro Linen Inc 33.7227 -0.3962 -1.16 3.1 K
CU Canadian Utilities Ltd Cl A NV 28.3021 -0.3312 -1.16 802.01 K
RBA Rb Global Inc 71.1238 -0.7911 -1.1 94.78 K
GIB-A CGI Inc 111.0261 -1.2188 -1.09 308.85 K
FTS-PH Fortis Inc Pref H 13.1818 -0.1432 -1.07 2.6 K
CHP-UN Choice Properties Real Estate Investment Trust 11.5524 -0.1163 -1 259.7 K
CAR-UN Canadian Apartment Properties Real Estate Investment Trust 49.2088 -0.49 -0.99 257.3 K
ET Evertz Technologies Ltd 6.5727 -0.0647 -0.97 4.1 K
XTD-PA TDb Split Corp Pref A 7.8447 -0.0765 -0.97 3.5 K
REAL Real Matters Inc 12.36 -0.12 -0.96 309.79 K
PRN Profound Medical Corp 18.80 -0.18 -0.95 17.9 K
FTS Fortis Inc 48.3872 -0.4585 -0.94 4.73 M
GFP Greenfirst Forest Products Inc 20.7602 -0.195 -0.93 2.54 K
TSU Trisura Group Ltd 45.35 -0.42 -0.92 54.57 K
ACO-X ATCO Ltd 34.5136 -0.3176 -0.91 304.99 K
IFC-PE Intact Financial Corp Pref Series 5 20.763 -0.1898 -0.91 4.7 K
EVT Economic Investment 7.4098 -0.0672 -0.9 10 K
XTC Exco Tech 7.8188 -0.0695 -0.88 127.41 K
PBL Pollard Banknote Ltd 43.7373 -0.3861 -0.88 52.01 K
IIP-UN InterRent Real Estate Investment Trust 15.1025 -0.1309 -0.86 154.76 K
EMA-PA Emera Inc Pref A 14.0427 -0.1163 -0.82 1.95 K
BN Brookfield Corporation 36.329 -0.2924 -0.8 1.78 M
TRI Thomson Reuters Corp 132.6442 -1.0416 -0.78 305.26 K
PET Pet Valu Holdings Ltd 31.2361 -0.2451 -0.78 7.4 K
LNF Leons Furniture 19.5718 -0.1499 -0.76 12.83 K
PBY-UN Canso Credit Trust - Canso Credit Income Fund 12.912 -0.0988 -0.76 6.5 K
BPYP-PA Brookfield Property Preferred LP 20.4366 -0.1545 -0.75 4.93 K
III Imperial Metals Corp 4.08 -0.03 -0.73 10 K
GGEP Guardian Directed Equity Path Portfolio 16.9193 -0.1223 -0.72 100
AQN Algonquin Power and Utilities Corp 14.9245 -0.1049 -0.7 2.56 M
FIH-U Fairfax India Holdings Corporation 14.35 -0.10 -0.69 44 K
BIP-UN Brookfield Infrastructure Partners L.P 37.8549 -0.2618 -0.69 160.91 K
SRV-UN SIR Royalty Income Fund 5.9877 -0.04 -0.66 6.9 K
MRU Metro Inc 58.5421 -0.3868 -0.66 529.5 K
OTEX Open Text Corp 59.0853 -0.3827 -0.64 309.9 K
X TMX Group Ltd 25.0041 -0.1601 -0.64 286.02 K
BLN Blackline Safety Corp 7.91 -0.05 -0.63 1.6 K
MKP Mcan Mortgage Corp 11.2381 -0.0697 -0.62 16.1 K
KMP-UN Killam Apartment Real Estate Investment Trust 17.6771 -0.108 -0.61 132.66 K
FSV Firstservice Corp 231.5182 -1.4056 -0.6 25.8 K
CKI Clarke Inc 8.85 -0.05 -0.56 1 K
DIR-UN Dream Industrial Real Estate Investment Trust 12.8122 -0.0698 -0.54 344.98 K
EMA Emera Incorporated 46.5778 -0.2412 -0.52 1.14 M

United States Stock Exchanges (US) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
AKRBF AKRBF 22.8827 19.37 B -2.5628 -10.07 400
ACRG American Clean Resources Group Inc. 3.90 63.46 M -0.35 -8.24 200
PWBK Pacific West Bancorp 15.00 33.28 M -0.75 -4.76 200
ELMSQ Electric Last Mile Solutions Inc 7.28 12.68 M -0.19 -2.54 886.65 K
TWOH Two Hands Corporation 3250.00 7.71 M -550.00 -14.47 168
RNVA Rennova Health Inc 70.00 4.31 M -14.00 -16.67 855
AJYG AJ1G Inc 5.2506 2.23 M -0.3894 -6.9 1.9 K
SIRC Solar Integrated Roofing Corporation 54.435 1.1 M -1.365 -2.45 10.52 K
BRBL Brewbilt Brewing Co 3.15 946.91 K -0.36 -10.26 20.44 K
AFFU Affluence Corporation 193.75 70.19 K -43.50 -18.34 97.32 K
HCANF Halo Collective Inc 336.00 15.08 K -34.00 -9.19 360
GTEH GenTech Holdings Inc 3.25 3.05 K -0.75 -18.75 20.92 K
HAVLF HAVN Life Sciences Inc 7.998 1.47 K -0.129 -1.59 1.49 K
SPOI SPO Networks Inc 4.50 1.24 K -0.70 -13.46 466
PEHD Perigee Holdings Inc. 3.10 130 -0.46 -12.92 1.27 K
LTSAP Osaic Financial Services, Inc. 12.3247 -0.2313 -1.84 8 K

Toronto Venture Exchange (V) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
SAG Sterling Metals Corp 3.60 10.81 M -0.30 -7.69 4.45 K
AERO Aero Energy Limited 23.00 4.71 M -1.00 -4.17 705
IMR iMetal Resources Inc 4.00 -0.50 -11.11 626
BILD Builddirect.com Tehcnologies Inc 3.50 -0.40 -10.26 2.44 K
RAGE Renegade Gold Inc. 20.40 -1.20 -5.56 1.81 K
ATLE Atlas Energy Corp. 3.40 -0.20 -5.56 215.78 K
PPP Prospector Metals Corp 3.96 -0.18 -4.35 16.87 K
IMM International Metals Mining Corp. 4.40 -0.20 -4.35 975
MANU Manhattan Uranium Discovery Corp. 23.00 -1.00 -4.17 705
TM Trigon Metals Inc 12.00 -0.50 -4 1.5 K
VRR VR Resources Ltd 3.70 -0.15 -3.9 383
THRM Therma Bright Inc 3.32 -0.12 -3.49 53.21 K
OPW Opawica Explorations Inc 3.40 -0.10 -2.86 70.78 K
MKO Mako Mining Corp 3.40 -0.10 -2.86 5.82 K
EVGN EverGen Infrastructure Corp 5.45 -0.15 -2.68 4.26 K
FCA-U Firm Capital Apartment Real Estate Investment Trust 8.0808 -0.1947 -2.35 500
GIP Green Impact Partners Inc 8.00 -0.15 -1.84 15.1 K
HAM Highwood Asset Management Ltd 15.00 -0.25 -1.64 100
IEI Imperial Equities Inc 3.6723 -0.055 -1.48 49.5 K
LORD St. James Gold Corp 3.70 -0.05 -1.33 1 K
DME Desert Mountain Energy Corp 4.45 -0.05 -1.11 28.04 K
SGML Sigma Lithium Corporation 9.00 -0.10 -1.1 15.7 K
SLI Standard Lithium Ltd 8.10 -0.08 -0.98 298.17 K
LA Los Andes Copper Ltd 7.00 -0.05 -0.71 1.5 K
STE Starr Peak Mining Ltd 3.04 -0.02 -0.65 56.9 K
VCG Visionary Copper and Gold Mines Inc. 3.29 -0.02 -0.6 11.5 K
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