Losers for 17 May 2022 from 00:00:00 until 23:59:59

Losers for 17 May 2022 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 40.5579 29.3 B -1.1149 -2.68 134.89 K
CBOE CBOE Global Markets Inc 102.8616 25.35 B -0.7776 -0.75 528.2 K
PHYS Sprott Physical Gold Trust 14.12 14.62 B -0.18 -1.26 4.14 M
SEB Seaboard Corporation 3876.2297 4.54 B -36.283 -0.93 600
ESBA Empire State Realty Op LP 7.4395 1.49 B -0.0931 -1.24 1.8 K
VKI Invesco Advantage Muni Income Trust II 7.153 418.03 M -0.0394 -0.55 141.6 K
ELMD Electromed Inc 12.01 343.29 M -0.19 -1.56 5.5 K
INTT Intest Corp 7.50 208.82 M -0.05 -0.66 62.7 K
PED Pedevco Corp 23.20 204.97 M -3.20 -12.12 69.71 K
EVI Evi Industries Inc 10.6348 186.6 M -0.5014 -4.5 18.4 K
NINE Nine Energy Service, Inc. 3.04 179.4 M -0.02 -0.65 827.95 K
VFL Delaware Florida Insured Muni 9.1965 126.71 M -0.0734 -0.79 39.6 K
USBC USBC, Inc. 60.00 120.67 M -4.80 -7.41 383
SRXH Srx Health Solutions Inc 64.2963 77.82 M -1.1852 -1.81 32.62 K
CEV Eaton Vance California Muni Income Trust 8.4672 73.64 M -0.0574 -0.67 14.09 K
DXR Daxor Corp 12.25 58.52 M -0.75 -5.77 408
AGIG AGIG 33.90 44.9 M -1.00 -2.87 437.8 K
INDO Indonesia Energy Corp Ltd 16.68 42.01 M -0.86 -4.9 3.12 M
BESS Bimergen Energy Corporation 18.20 27.54 M -2.80 -13.33 692
ACCS Access Newswire Inc 21.50 26.55 M -0.28 -1.29 23.02 K
CCEL Cryo-Cell Intl Inc 5.0531 23.36 M -0.1204 -2.33 11.7 K
RVP Retractable Technologies 3.79 20.88 M -0.21 -5.25 212.7 K
MYND Mynd.Ai Inc ADR 4.1666 18.7 M -0.023 -0.55 250
REED Reed's, Inc. 62.07 14.82 M -1.44 -2.27 1.54 K
AMBO Ambow Education Holding Ltd ADR 6.965 7.52 M -0.192 -2.68 31.11 K
AMZE Amaze Holdings Inc 81.65 6.08 M -1.15 -1.39 1.82 K
PW Power REIT 21.99 3.7 M -3.01 -12.04 71.75 K
SBEV Splash Beverage Group Inc 86.80 2.23 M -3.20 -3.56 3.87 K
PCG-P-E Pacific Gas & Electric Company. 5% 1st A Preferred Stock 18.00 -1.73 -8.77 10.11 K
PCG-P-A Pacific Gas & Electric Company. 6% Preferred Stock 23.00 -0.69 -2.91 6.52 K
PCG-P-C Pacific Gas & Electric Company. 5% 1st Preferred Stock 19.51 -0.49 -2.45 100
PCG-P-B Pacific Gas & Electric Company. 5 1/2% Preferred Stock 21.7787 -0.5213 -2.34 260

Commodities (COMM) Unknown

Symbol Company Name Price U Capital Δ U Δ % Volume
T Crude Oil WTI 112.40 594.21 B -1.80 -1.58 252.63 K
CL Crude Oil 112.40 -1.80 -1.58 252.63 K
ZB U.S. Treasury Bond Futures 138.6563 -1.25 -0.89 348.42 K

National Association of Securities Dealers Automated Quotations (NASDAQ) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
WMT Walmart Inc. Common Stock 41.8698 920.67 B -5.3744 -11.38 132.94 M
COST Costco Wholesale 468.4424 422.43 B -3.8777 -0.82 2.6 M
PEP Pepsico Inc 153.5377 193.27 B -0.8888 -0.58 5.01 M
DDOG Datadog Inc 95.05 85.35 B -2.14 -2.2 9.61 M
MDLZ Mondelez Intl Inc 59.0305 78.03 B -0.3683 -0.62 10.05 M
KDP Keurig Dr Pepper Inc 32.2728 45.44 B -0.9062 -2.73 18.92 M
EXPE Expedia Group Inc 121.5827 31.54 B -1.0096 -0.82 7.65 M
WDAY Workday Inc 173.34 30.68 B -2.72 -1.54 4.59 M
KHC Kraft Heinz Company 35.4481 28.1 B -0.7556 -2.09 7.86 M
MDB Mongodb Inc Cl A 247.28 25.26 B -4.72 -1.87 2.7 M
DLTR Dollar Tree Inc 156.35 23.8 B -5.10 -3.16 2.98 M
OKTA Okta Inc. 87.48 21.6 B -1.89 -2.11 3.37 M
TEAM Atlassian 174.43 19.98 B -2.57 -1.45 2.89 M
GH Guardant Health Inc 34.47 19.79 B -0.62 -1.77 2.56 M
SBAC SBA Communications 304.2631 19.49 B -2.8615 -0.93 523.3 K
AKAM Akamai Technologies 98.39 16.47 B -0.53 -0.54 1.84 M
MEDP Medpace Holdings Inc 138.45 15.05 B -1.55 -1.11 359.56 K
TIGO Millicom International Cellular S.A. 19.84 14.95 B -0.1773 -0.89 52.4 K
ICLR Icon Plc 209.15 13.01 B -1.37 -0.65 725 K
COKE Coca Cola Bot Cons 50.3818 12.52 B -0.4026 -0.79 287.25 K
AGNC Agnc Investment Corp 6.8392 12.51 B -0.1017 -1.47 15.32 M
AUR Aurora Innovation Inc 3.83 12.47 B -0.09 -2.3 3.4 M
GLXY Galaxy Digital Inc 6.61 11.41 B -0.0899 -1.34 424.99 K
CYTK Cytokinetics 42.15 11.16 B -1.25 -2.88 1.13 M
BPYPP Brookfield Property Partners LP Pfd Unit Ltd Par 14.0469 10.57 B -0.106 -0.75 11 K
RZB Reinsurance Group of America, Incorporated 19.9768 8.86 B -0.1511 -0.75 38.85 K
AGNCM Agnc Investment Corp Cum Red Pfd Ser D Fixed To 15.0799 8.78 B -0.341 -2.21 50.1 K
LNTH Lantheus Holdings 66.20 7.15 B -0.69 -1.03 935 K
CPB Campbell Soup Company 43.0569 6.78 B -0.3254 -0.75 2.91 M
CZR Caesars Entertainment Inc 51.40 6.15 B -0.59 -1.13 5.12 M
BLTE Belite Bio Inc ADR 13.40 5.96 B -0.40 -2.9 76.5 K
DUOL Duolingo Inc 81.27 5.66 B -3.83 -4.5 1.17 M
APPF Appfolio Inc 87.33 5.5 B -2.43 -2.71 157.36 K
NICE Nice Ltd ADR 193.01 5.39 B -2.78 -1.42 296.04 K
PEGA Pegasystems Inc 24.7173 5.14 B -0.2575 -1.03 1.3 M
GLNG Golar Lng Ltd 21.1673 5.06 B -0.9215 -4.17 1.23 M
GRFS Grifols S.A. ADR 12.7091 5.03 B -0.2164 -1.67 612.02 K
DFTX Definium Therapeutics, Inc. 11.61 4.9 B -0.405 -3.37 136.41 K
CELC Celcuity Inc 5.50 4.87 B -0.16 -2.83 208.84 K
WING Wingstop Inc 77.7102 4.54 B -0.5502 -0.7 691.7 K
BHFAL Brighthouse Financial Inc 6.25% Junior 18.264 3.37 B -0.2704 -1.46 30.91 K
TENB Tenable Holdings Inc 44.78 3.33 B -1.50 -3.24 1.69 M
MZTI MZTI 120.4661 3.18 B -2.9196 -2.37 123.7 K
HOVNP Hovnanian Entr Dep A 12.6055 3.1 B -0.2438 -1.9 3.3 K
RARE Ultragenyx Pharmaceu 54.35 3.03 B -0.91 -1.65 521.31 K
TRMD Torm Plc Cl A 6.7958 2.74 B -0.1396 -2.01 516.4 K
BHFAP Brighthouse Financial Inc Dep Shs Repstg 1/1000T 17.8603 2.58 B -0.1989 -1.1 55.4 K
INOD Innodata Inc 6.98 2.41 B -0.23 -3.19 140.64 K
BRZE Braze Inc Cl A 31.74 2.37 B -0.99 -3.02 638.4 K
NN Nextnav Inc 4.68 2.35 B -0.03 -0.64 672.55 K
WAFDP Washington Federal Inc 13.6705 2.34 B -0.3933 -2.8 58.9 K
PIII P3 Health Partners Inc 247.00 2.3 B -3.50 -1.4 2.68 K
VNET 21Vianet Group Inc ADR 5.99 2.18 B -0.05 -0.83 1.99 M
STOK Stoke Therapeutics Inc 15.82 1.99 B -0.08 -0.5 246.2 K
GLPG Galapagos NV ADR 57.97 1.86 B -0.86 -1.46 563.62 K
TSHA Taysha Gene Therapies Inc 3.30 1.82 B -0.02 -0.6 170.7 K
IMKTA Ingles Markets Inc 88.6985 1.7 B -0.9868 -1.1 102.46 K
SONO Sonos Inc 21.48 1.62 B -0.25 -1.15 3.14 M
APPN Appian Corp Cl A 52.00 1.61 B -1.30 -2.44 608.83 K
HROW Harrow Health Inc 5.78 1.57 B -0.07 -1.2 156.6 K
REAL The RealReal Inc. 3.71 1.47 B -0.03 -0.8 5.32 M
JJSF J J Snack Foods 112.4827 1.42 B -2.4759 -2.15 82.1 K
ABTC American Bitcoin Corp 874.00 1.29 B -46.00 -5 469
CCEC Capital Clean Energy Carriers Corp 13.7819 1.24 B -0.1921 -1.37 52 K
DMLP Dorchester Minls 18.9957 1.24 B -0.1248 -0.65 128.11 K
PZZA Papa John's Intl 71.5165 1.21 B -0.4942 -0.69 291.18 K
ACVA Acv Auctions Inc Cl A 8.40 1.21 B -0.08 -0.94 2.9 M
IRMD Iradimed Cp 30.5263 1.2 B -0.9402 -2.99 78.36 K
ELE Elemental Royalty Corporation Common Stock 10.6609 1.05 B -0.1198 -1.11 2.08 K
MSEX Middlesex Water Company 82.3239 1.03 B -0.5179 -0.63 97.71 K
JBSS John B Sanfilippo 66.4012 1.02 B -0.8294 -1.23 46.74 K
DRTS Alpha Tau Medical Ltd Cl A 6.22 982.75 M -0.72 -10.37 34.1 K
PHAR Pharming Group N.V. ADR 7.86 942.12 M -0.30 -3.68 1.8 K
ALOY REalloys Inc. 6.36 898.61 M -0.32 -4.79 99.2 K
ADSE Ads-Tec Energy Plc 5.75 862.52 M -0.15 -2.54 8 K
TRNS Transcat Inc 67.39 861.49 M -0.83 -1.22 69.7 K
HPK Highpeak Energy Inc 26.9913 857.97 M -4.6593 -14.72 1.54 M
HNRG Hallador Energy Company 4.32 826.2 M -0.08 -1.82 166.03 K
METC Ramaco Resources Inc 9.6679 820.31 M -0.2858 -2.87 1.35 M
IBCP Independent Bk Cp 16.2026 746.56 M -0.417 -2.51 78.07 K
DJTWW Trump Media & Technology Group Corp WT 14.34 699.97 M -0.10 -0.69 168.52 K
CCOI Cogent Comm Hlds 46.8117 671.54 M -0.4128 -0.87 423.7 K
BWMX Betterware DE Mexico Da DE Cv 9.2044 665.18 M -0.4512 -4.67 48.9 K
DRUG Bright Minds Biosciences Inc 5.10 645.54 M -0.25 -4.67 9.44 K
VLGEA Village Super Mkt 20.2005 624.96 M -0.2598 -1.27 22.4 K
FDMT 4D Molecular Therapeutics Inc 8.10 606.4 M -0.36 -4.26 196.6 K
OSPN Onespan Inc 10.7064 524.95 M -0.5262 -4.68 265.67 K
BWMN Bowman Consulting Group Ltd 16.25 523.83 M -0.45 -2.69 15.9 K
RPD Rapid7 Inc 67.74 508.58 M -0.77 -1.12 516.27 K
OBT Orange County Bancor 17.171 495.42 M -0.3222 -1.84 1.6 K
RZLT Rezolute Inc 3.35 485.31 M -0.18 -5.1 54 K
SLN Silence Therapeutics Plc ADR 9.725 478.96 M -0.355 -3.52 7.1 K
CVGW Calavo Growers Inc 29.794 466.33 M -0.2109 -0.7 92.4 K
WILC G Willi-Food Intl 14.2124 448 M -0.0987 -0.69 607
DCTH Delcath Systems Inc 4.46 446.71 M -0.23 -4.9 39.2 K
BNTC Benitec Biopharma Ltd ADR 17.85 424.96 M -0.51 -2.78 1.67 K
NEWT Newtek Bus Svcs 18.4344 423.94 M -0.1479 -0.8 322.06 K
INDP Indaptus Therapeutics Inc 68.60 386.16 M -0.56 -0.81 477
NECB Northeast Community Bancorp 9.6417 384.31 M -0.099 -1.02 50.03 K
ALLT Allot Communications 5.10 382.09 M -0.23 -4.32 933.43 K

New York Stock Exchange (NYSE) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
WMT Wal-Mart Stores 41.7045 911.34 B -5.3531 -11.38 132.94 M
JPM-PC JPMorgan Chase & Co 20.0756 330.04 B -0.184 -0.91 293.47 K
JPM-PD JPMorgan Chase & Co 19.5005 326.09 B -0.4023 -2.02 286.79 K
BML-PG Bank of America Corporation 14.4606 256.79 B -0.2041 -1.39 10.81 K
BAC-PB Bank of America Corporation 18.2381 251.86 B -0.2046 -1.11 198.12 K
BML-PJ Bank of America Corporation 15.8763 229.38 B -0.3142 -1.94 11.52 K
MUFG Mitsubishi Ufj Financial Group Inc ADR 4.906 227.34 B -0.1574 -3.11 3.03 M
MCD McDonald's Corporation 220.4834 191.67 B -2.1991 -0.99 3.2 M
WFC-PY Wells Fargo & Company 22.2231 191.51 B -0.1697 -0.76 119.77 K
WFC-PL Wells Fargo & Company 1139.1172 185.64 B -8.4563 -0.74 6.27 K
SMFG Sumitomo Mitsui Financial Group Inc ADR 5.2076 151.4 B -0.0436 -0.83 3.88 M
WFC-PC Wells Fargo & Company 17.1076 115.19 B -0.1885 -1.09 247.77 K
DUK Duke Energy Corp 94.4362 100.1 B -0.5873 -0.62 4.08 M
SHW Sherwin-Williams Company 259.6086 84.86 B -2.0343 -0.78 1.6 M
NET Cloudflare Inc Cl A 56.27 84.21 B -1.09 -1.9 9.53 M
GS-PA The Goldman Sachs Group Inc 14.8153 70.11 B -0.0941 -0.63 50.08 K
USB-PP U.S. Bancorp 23.039 68.82 B -0.1914 -0.82 49.08 K
MS-PI Morgan Stanley 24.108 67.07 B -0.2194 -0.9 129.11 K
MS-PK Morgan Stanley 23.3123 65.92 B -0.2389 -1.01 192.46 K
MS-PE Morgan Stanley 24.4066 64.03 B -0.2849 -1.15 94.08 K
NU Nu Holdings Ltd Class A 4.08 64.03 B -0.27 -6.21 100.28 M
TGT Target Corporation 189.6072 63.76 B -2.7038 -1.41 6.64 M
DUK-PA Duke Energy Corporation 20.1343 60.59 B -0.2742 -1.34 129.72 K
CTA-PB E. I. du Pont de Nemours and Company 67.9515 58.85 B -2.5889 -3.67 1.1 K
PSA Public Storage 261.0981 56.96 B -2.2359 -0.85 632.17 K
SCHW-PD The Charles Schwab Corporation 23.4391 50 B -0.3252 -1.37 154.57 K
CTA-PA E. I. du Pont de Nemours and Company 54.6397 47.83 B -0.7251 -1.31 139
PFH Prudential Financial Inc 4.125% Junior 16.3763 44.89 B -0.196 -1.18 57.05 K
PRS Prudential Financial Inc 5.625% Junior 19.6916 43.26 B -0.1902 -0.96 65.49 K
LYV Live Nation Entertainment 85.69 41.76 B -1.28 -1.47 4.62 M
AU Anglogold Ashanti Ltd ADR 15.6368 41.27 B -0.2324 -1.46 2.32 M
MET-PE MetLife Inc Preferred Stock Series E 19.8859 39.81 B -0.1745 -0.87 183.63 K
MET-PA MetLife Inc Preferred Stock Series A 16.567 39.54 B -0.2844 -1.69 52.48 K
HSY Hershey Foods Corp 203.7572 36.33 B -3.5344 -1.71 1.25 M
PSA-PH Public Storage 24.2011 35.65 B -0.1726 -0.71 48.04 K
KR Kroger Company 39.496 35.39 B -1.5188 -3.7 11.79 M
RBLX Roblox Corp Cl A 31.94 34.05 B -0.20 -0.62 48.15 M
ALL-PB The Allstate Corporation 18.2947 32.93 B -0.1326 -0.72 67.98 K
CNC Centene Corp 84.10 32.46 B -0.62 -0.73 3.01 M
DTE Dte Energy Company 113.3253 32.13 B -0.6645 -0.58 1.9 M
PSA-PK Public Storage 20.5893 30.79 B -0.378 -1.8 15.84 K
GFI Gold Fields Ltd ADR 9.8708 29.99 B -0.0606 -0.61 4.6 M
DTG Dte Energy Company 2021 Sr E 15.4523 26.64 B -0.331 -2.1 29.2 K
DG Dollar General Corp 212.6381 26.36 B -6.1861 -2.83 2.23 M
DTB Dte Energy Company 2020 Series G 4.375% Junior S 15.0017 26.33 B -0.2223 -1.46 39.8 K
CHD Church & Dwight Company 92.58 23.59 B -1.7014 -1.8 1 M
DLR-PK Digital Realty Trust Inc 19.5695 23 B -0.2272 -1.15 9.46 K
RBA Ritchie Bros. Auctioneers Inc 56.9174 21.48 B -0.3969 -0.69 364.1 K
DLR-PJ Digital Realty Trust Inc 18.367 21.23 B -0.2441 -1.31 35.77 K
GIS General Mills 63.4726 19.22 B -0.4788 -0.75 4.17 M
HIG-PG The Hartford Financial Services Group Inc 19.7559 18.49 B -0.2794 -1.39 41.73 K
STT-PG State Street Corporation 23.3348 17.02 B -0.3224 -1.36 52.59 K
NLY Annaly Capital Management Inc 14.7303 16.82 B -0.5481 -3.59 28.96 M
TOST Toast Inc Cl A 13.51 15.71 B -0.39 -2.81 7.57 M
JHX James Hardie Industries Se ADR 26.4853 15.45 B -0.4546 -1.69 95.41 K
HRL Hormel Foods Corp 46.4891 14.59 B -0.4486 -0.96 1.47 M
RF-PC Regions Financial Corporation 21.6141 14.2 B -0.3631 -1.65 108.3 K
DVA Davita Healthcare Partners Inc 98.79 13.93 B -1.11 -1.11 964.47 K
TLK P.T. Telekomunikasi Indonesia Tbk ADR 23.3804 13.9 B -0.4207 -1.77 248 K
TME Tencent Music Entertainment ADR 3.8981 13.74 B -0.0572 -1.45 21.43 M
NLY-PF Annaly Capital Management Inc 21.4723 13.44 B -0.198 -0.91 72.16 K
NLY-PG Annaly Capital Management Inc 20.5189 13.43 B -0.1119 -0.54 49.68 K
DT Dynatrace Inc 32.81 12.64 B -0.69 -2.06 6.57 M
SJM J.M. Smucker Company 125.7664 12.33 B -0.7629 -0.6 997.5 K
CPT Camden Property Trust 123.3726 11.53 B -0.8962 -0.72 1.14 M
BJ Bj's Wholesale Club Holdings Inc 63.81 11.35 B -0.52 -0.81 2.2 M
HMY Harmony Gold Mining Co. Ltd ADR 3.4138 9.81 B -0.0481 -1.39 4.78 M
AFGE American Financial Group Inc 4.500% 15.3423 9.79 B -0.1808 -1.16 2.77 K
VNO-PL Vornado Realty Trust 19.2078 9.65 B -0.4167 -2.12 41.23 K
CUBE Cubesmart 35.123 9.39 B -0.2896 -0.82 1.32 M
AIZN Assurant Inc 5.25% Subordinated Notes Due 2061 16.4535 9.36 B -0.0851 -0.51 8.7 K
LTH Life Time Group Holdings Inc 14.69 9.13 B -0.27 -1.8 460.86 K
DDS Dillard's 262.8298 9.03 B -1.3714 -0.52 220.5 K
QGEN Qiagen N.V. 42.058 8.13 B -0.4216 -0.99 869.1 K
REXR Rexford Industrial Realty Inc 57.8215 7.95 B -0.417 -0.72 1.29 M
FRO Frontline Ltd 5.7746 7.91 B -0.2529 -4.2 2.04 M
FRT-PC Federal Realty Investment Trust 18.1173 7.83 B -0.2605 -1.42 14.1 K
TAP Molson Coors Brewing Company 49.2072 7.78 B -0.8017 -1.6 1.77 M
FLR Fluor Corp 25.20 7.49 B -1.98 -7.28 4.93 M
GS-PC The Goldman Sachs Group Inc. PFD 1/1000 C 14.929 7.32 B -0.4095 -2.67 14.57 K
VOYA-PB Voya Financial Inc 22.665 7.24 B -0.1321 -0.58 58.4 K
SFB Stifel Financial Corp 5.20% Senior Notes 16.9338 7 B -0.3371 -1.95 8.95 K
CAG Conagra Brands Inc 28.3996 6.74 B -0.2655 -0.93 5.13 M
ACI Albertsons Companies Inc Cl A 19.7626 6.72 B -0.4393 -2.17 2.88 M
NSA National Storage Affiliates Tru 39.9853 6.67 B -0.2124 -0.53 834.8 K
PCOR Procore Technologies Inc 43.48 6.32 B -0.59 -1.34 830.2 K
NE Noble Corp Plc 29.5732 6.12 B -0.4826 -1.61 899.14 K
BXSL Blackstone Secured Lending Fund 16.4637 5.58 B -0.1953 -1.17 537.6 K
VAL Valaris Ltd 59.52 5.29 B -0.31 -0.52 890.1 K
OAK-PB Oaktree Capital Group LLC 22.3947 5.25 B -0.187 -0.83 4.22 K
UNMA Unum Group 6.250% Junior 18.6017 5.14 B -0.2008 -1.07 65.03 K
MGR Affiliated Managers Group Inc 18.1233 5.06 B -0.1203 -0.66 25.2 K
ZETA Zeta Global Holdings Corp Cl A 7.80 4.73 B -0.17 -2.13 1.28 M
BBWI Bath & Body Works Inc 42.5389 4.61 B -1.2762 -2.91 15.51 M
KTB Kontoor Brands Inc 36.2802 4.6 B -0.5903 -1.6 1.1 M
FCN Fti Consulting 167.36 4.55 B -1.89 -1.12 207.1 K
PLNT Planet Fitness 71.48 4.19 B -0.52 -0.72 776.11 K
CMBT Euronav NV 6.6943 4.09 B -0.3129 -4.47 1.71 M
PHI Philippine Long Distance Telephone ADR 27.6331 3.9 B -0.7247 -2.56 44.3 K
DTW Dte Energy Company 2017 Series E 5.25% Jr 18.2759 3.79 B -0.1051 -0.57 48.72 K

Toronto Exchange (TO) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
WMT Walmart CDR [Cad Hedged] 18.7501 -2.3725 -11.23 77.53 K
TINY Tiny Ltd 42.64 -3.36 -7.3 150
WFC Wall Financial 8.672 -0.5861 -6.33 600
TSND Terrascend Corp 4.69 -0.31 -6.2 74.9 K
FCD-UN Firm Capital Property Trust 4.8834 -0.3195 -6.14 276.3 K
PWI Sustainable Power Infra Split Corp Cl A 5.3075 -0.2942 -5.25 31.6 K
CSCI Cosciens Biopharma Inc 24.00 -1.00 -4 1.02 K
KBL Kbro Linen Inc 27.8891 -1.1242 -3.87 5.7 K
BBD-PD Bombardier Inc Pref D 15.642 -0.4912 -3.04 3.5 K
CURA Curaleaf Holdings Inc 7.37 -0.22 -2.9 338.5 K
PSI Pason Systems Inc 13.5404 -0.3686 -2.65 185.28 K
FORA Verticalscope Holdings Inc 19.35 -0.50 -2.52 6.1 K
XAU Goldmoney Inc 7.85 -0.20 -2.48 9.5 K
PVS-PK Partners Value Split Corp. 19.7318 -0.4975 -2.46 12.8 K
BU Burcon Nutrascience Corp 14.7229 -0.3309 -2.2 3.55 K
ELO Eloro Resources Ltd 3.38 -0.07 -2.03 90.8 K
AVNT Avant Brands Inc 7.50 -0.15 -1.96 1.67 K
GDL Goodfellow Inc 7.8782 -0.1525 -1.9 5 K
DTOL D2L Inc 7.31 -0.14 -1.88 2.5 K
ATD Alimentation Couche-Tard Inc. 55.7474 -1.0206 -1.8 1.44 M
TPX-B Molson Coors Canada Inc 62.9433 -1.1468 -1.79 1.43 K
IS Infrastructure Dividend Split Corp 11.9202 -0.2086 -1.72 2.67 K
KPT Kp Tissue Inc 7.8509 -0.1327 -1.66 7.6 K
MXG Maxim Power Corp 3.283 -0.0542 -1.62 8.9 K
MRU Metro Inc 65.3247 -1.0574 -1.59 435.27 K
ELVA Electrovaya Inc 3.15 -0.05 -1.56 13.84 K
HOM-U BSR Real Estate Investment Trust 14.396 -0.2108 -1.44 46.55 K
L Loblaw CO 26.3934 -0.3775 -1.41 1.98 M
TA-PJ TransAlta Corp Pref J 17.9351 -0.2496 -1.37 900
CG Centerra Gold Inc 6.4215 -0.0882 -1.35 580.7 K
STC Sangoma Technologies Corp 11.22 -0.15 -1.32 20 K
GGEP Guardian Directed Equity Path Portfolio 15.0963 -0.1932 -1.26 0
PHYS Sprott Physical Gold Trust CAD 18.13 -0.23 -1.25 91.6 K
PSK Prairiesky Royalty Ltd 12.136 -0.1539 -1.25 469.8 K
PVS-PJ Partners Value Split Corp. 19.678 -0.2491 -1.25 3.3 K
BRE Bridgemarq Real Estate Services Inc 9.6837 -0.1218 -1.24 5.7 K
DOL Dollarama Inc 70.3231 -0.8505 -1.19 562.5 K
BPO-PN Brookfield Offi Pro Cl Aaa N Prf 12.1106 -0.1464 -1.19 2.29 K
GBT Bmtc Group Inc 13.3665 -0.1525 -1.13 1.4 K
CAR-UN Canadian Apartment Properties Real Estate Investment Trust 39.7237 -0.4413 -1.1 835.59 K
PNP Pinetree Capital Ltd 3.77 -0.04 -1.05 33.2 K
ENB-PFU Enbridge Inc Pref L 18.0951 -0.1905 -1.04 27.11 K
RFA-PI RFA Financial Inc. 17.7861 -0.1804 -1 700
MID-UN MINT Income Fund 5.2503 -0.0532 -1 31.49 K
DXT Dexterra Group Inc 4.8054 -0.0483 -1 277.2 K
BN-PT Brookfield Corporation 14.7821 -0.1426 -0.96 3.71 K
PPL-PFA Pembina Pipeline Corp Pref Series 21 19.2591 -0.1801 -0.93 2.72 K
IAU I-80 Gold Corp 3.27 -0.03 -0.91 342.36 K
PWF-PZ Power Financial Corp 17.4249 -0.1563 -0.89 1.5 K
COST Costco CDR [Cad Hedged] 22.3799 -0.1907 -0.84 29.28 K
BRF-PB Brookfield Renewable Power Preferred Equity Inc Pref B 12.6322 -0.107 -0.84 2.5 K
RBA Rb Global Inc 72.7626 -0.6072 -0.83 118.26 K
DRM Dream Unlimited Corp 37.7299 -0.3057 -0.8 23.2 K
BABY Else Nutrition Holdings Inc 12.50 -0.10 -0.79 4.15 K
TXG Torex Gold Resources Inc 12.5858 -0.0996 -0.79 287.68 K
EMP-A Empire Company Limited 38.6783 -0.3058 -0.78 314.4 K
IPCO International Petroleum Corp 12.83 -0.10 -0.77 131.7 K
BCE-PC BCE Inc Pref AC 14.2537 -0.1064 -0.74 1.8 K
AMC Arizona Metals Corp 5.37 -0.04 -0.74 118.1 K
HAI Haivision Systems Inc 5.41 -0.04 -0.73 38.1 K
NPI Northland Power Inc 29.82 -0.218 -0.73 567.55 K
BLN Blackline Safety Corp 4.20 -0.03 -0.71 10.2 K
BN-PX Brookfield Corporation 13.5157 -0.0914 -0.67 4.37 K
BLX Boralex Inc 32.4047 -0.2152 -0.66 318.51 K
PPL-PFE Pembina Pipeline Corp Pref Series 25 19.035 -0.1231 -0.64 7.1 K
HOM-UN BSR Real Estate Investment Trust 18.6445 -0.1181 -0.63 31.75 K
WN George Weston Limited 48.3226 -0.3039 -0.62 668.51 K
SEA Seabridge Gold Inc 13.8494 -0.0844 -0.61 96.25 K
BTO B2Gold Corp 4.3345 -0.0252 -0.58 2.56 M
INC-UN Income Financial Trust 8.796 -0.0463 -0.52 939
ISC Information Services Corp 17.3508 -0.0913 -0.52 3.4 K
EMA-PE Emera Inc Pref E 15.1945 -0.0783 -0.51 2.96 K

United States Stock Exchanges (US) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
LRLCF L'Oréal S.A 342.90 227.87 B -3.17 -0.92 300
TOYOF Toyota Motor Corporation 15.0947 225.61 B -0.1926 -1.26 194.26 K
ALIZF Allianz SE 210.00 175.1 B -3.70 -1.73 600
GLAXF GlaxoSmithKline plc 21.60 101.52 B -0.20 -0.92 600
MIELY Mitsubishi Electric Corporation 21.65 74.34 B -0.50 -2.26 143.7 K
MKGAF MERCK Kommanditgesellschaft auf Aktien 169.05 73.26 B -0.95 -0.56 100
SCGLF Société Générale Société anonyme 24.48 64.27 B -0.38 -1.53 5.9 K
CRARF Crédit Agricole S.A 10.90 60.46 B -0.09 -0.82 4.2 K
ANCTF Alimentation Couche-Tard Inc 45.03 60.33 B -0.845 -1.84 4.8 K
CMPGY Compass Group PLC 22.61 55.87 B -0.17 -0.75 823.3 K
LBLCF Loblaw Companies Limited 88.30 54.09 B -1.69 -1.88 800
UOVEF United Overseas Bank Limited 20.84 49.58 B -0.61 -2.84 100
HINKF Heineken N.V 98.14 45.47 B -2.54 -2.52 300
FSUMF Fortescue Metals Group Limited 13.56 41.57 B -0.08 -0.59 6.1 K
RBGLY Reckitt Benckiser Group plc 15.79 41.5 B -0.30 -1.86 5.03 M
RBGPF Reckitt Benckiser Group plc 76.06 41.28 B -1.14 -1.48 23.1 K
DKILF Daikin IndustriesLtd 157.90 40.58 B -2.17 -1.36 300
DLICY Dai-ichi Life Holdings Inc 19.218 38.84 B -0.39 -1.99 280
TYIDY Toyota Industries Corporation 63.26 38.72 B -0.54 -0.85 1.5 K
TSCDY Tesco PLC 10.35 38.37 B -0.21 -1.99 135.7 K
UNVGY Universal Music Group N.V 10.31 38.15 B -0.38 -3.55 26.33 K
JPPHY Japan Post Holdings Co. Ltd 7.18 37.8 B -0.07 -0.97 4.8 K
JDCMF Jd Com Inc 25.10 37.42 B -0.473 -1.85 3 K
DLMAF Dollarama Inc 55.40 36.71 B -0.49 -0.88 600
MSADF MS&AD Insurance Group Holdings Inc 29.23 36.53 B -1.14 -3.75 700
DTGHF Daimler Truck Holding AG 27.336 36.29 B -2.728 -9.07 379
HLBZF HeidelbergCement AG 54.13 36.18 B -1.31 -2.36 7.6 K
ADRNY Koninklijke Ahold Delhaize N.V 28.04 35.52 B -0.48 -1.68 84.6 K
ABMRF ABN AMRO Bank N.V 12.70 33.85 B -0.70 -5.22 234
NHOLF Sompo Holdings Inc 38.62 33.43 B -3.87 -9.11 100
SKFOF Sika AG 257.25 33.3 B -9.40 -3.53 2 K
MLYBY Malayan Banking Berhad 4.72 29.75 B -0.33 -6.53 300
GBOOY Grupo Financiero Banorte S.A.B. de C.V 33.29 28.92 B -0.19 -0.57 14.4 K
NVZMF Novozymes A/S 60.60 27.97 B -0.92 -1.5 600
SVNDY Seven & i Holdings Co. Ltd 21.51 27.3 B -0.31 -1.42 58.7 K
SUTNY Sumitomo Mitsui Trust Holdings Inc 3.09 25.66 B -0.08 -2.52 250.6 K
FUJIY FUJIFILM Holdings Corporation 54.17 25.42 B -0.58 -1.06 25.4 K
DASTF Dassault Systèmes SE 39.645 25.25 B -0.91 -2.24 1 K
MTSFY Mitsui Fudosan Co. Ltd 62.57 24.84 B -0.32 -0.51 11.4 K
VTAGY Vantage Towers AG 15.395 22.9 B -0.275 -1.75 259
AONNY Aeon Co. Ltd 18.16 22.16 B -0.29 -1.57 1.4 K
BOUYY Bouygues SA 6.55 21.75 B -0.125 -1.87 10.63 K
HKHHF Heineken Holding N.V 76.05 20.36 B -1.63 -2.1 18.4 K
FOJCY Fortum Oyj 3.476 19.04 B -0.094 -2.63 2.2 K
EBCOY Ebara Corporation 20.66 17.67 B -0.87 -4.04 800
CTTAF Continental Aktiengesellschaft 66.78 16.78 B -3.07 -4.4 3.91 K
TYNPF Nippon Sanso Holdings Corporation 18.318 16.54 B -0.352 -1.89 2.66 K
BDNNY Boliden AB (publ) 75.05 15.6 B -0.39 -0.52 6.3 K
DQJCY Pan Pacific International Holdings Corporation 14.74 15.32 B -0.29 -1.93 25.1 K
NRILY Nomura Research Institute Ltd 25.13 15.2 B -0.19 -0.75 1.6 K
KRYAY Kerry Group plc 106.84 14.8 B -1.48 -1.37 24.3 K
ASBRF Asahi Group Holdings Ltd 32.69 14.26 B -1.67 -4.86 1.3 K
KNBWY Kirin Holdings Company Limited 14.68 14.22 B -0.66 -4.3 90.9 K
NRXXY Nordex SE 5.656 13.83 B -0.844 -12.98 1.35 K
MTRAF Metro Inc 54.03 13.77 B -1.23 -2.23 200
SKHSF Sekisui House Ltd 17.156 13.43 B -0.142 -0.82 3.1 K
EVVTY Evolution AB (publ) 97.88 13.36 B -0.715 -0.73 142.9 K
JPXGY Japan Exchange Group Inc 7.21 12.85 B -0.05 -0.69 252.5 K
ATZAF Aritzia Inc 30.20 12.8 B -0.1605 -0.53 1.04 K
GJNSY Gjensidige Forsikring ASA 20.25 12.52 B -1.01 -4.75 300
BDWBY Budweiser Brewing Company APAC Limited 9.96 11.01 B -0.085 -0.85 1.8 K
QBCRF Quebecor Inc 22.04 10.89 B -0.20 -0.9 600
PTAIY PT Astra International Tbk 9.55 10.87 B -0.10 -1.04 18.3 K
SBHGF SBI Holdings Inc 20.72 10.83 B -0.20 -0.96 1.1 K
BDOUY BDO Unibank Inc 24.50 10.61 B -0.29 -1.17 1.7 K
POAHY Porsche Automobil Holding SE 7.71 10.16 B -0.08 -1.03 403.4 K
SRGHY Shoprite Holdings Limited 13.53 9.88 B -0.11 -0.81 200
SGGEF The Sage Group plc 7.98 9.82 B -0.08 -0.99 800
TKHVY Türk Hava Yollari Anonim Ortakligi 25.69 9.81 B -0.51 -1.95 200
ASGLY AGC Inc 7.30 9.74 B -0.17 -2.28 7.1 K
MTLHY Mitsubishi Chemical Holdings Corporation 30.18 9.43 B -0.72 -2.33 800
ISUZY Isuzu Motors Limited 11.51 9.37 B -0.14 -1.2 24.4 K
RKUNF Rakuten Group Inc 6.20 9.35 B -0.20 -3.13 18 K
JSAIY J Sainsbury plc 12.01 9.24 B -0.14 -1.15 53 K
AKBLF ALK-Abelló A/S 18.95 9.01 B -2.75 -12.67 100
STBFY Suntory Beverage & Food Limited 19.22 8.63 B -0.62 -3.13 17.9 K
RTLLF RATIONAL Aktiengesellschaft 561.85 8.58 B -30.90 -5.21 100
NCLTY Nitori Holdings Co. Ltd 9.93 8.53 B -0.086 -0.86 300.1 K
XROLF Xero Limited 59.99 8.18 B -0.35 -0.58 2.5 K
EMLAF Empire Company Limited 32.59 8.11 B -0.50 -1.51 600
SHKLY Sinotruk (Hong Kong) Limited 60.43 8.09 B -4.42 -6.82 3 K
FKKFY Fukuoka Financial Group Inc 8.595 8.06 B -0.145 -1.66 200
WEIGF The Weir Group PLC 18.40 8.05 B -1.75 -8.68 2 K
SCABY Svenska Cellulosa Aktiebolaget SCA (publ) 18.50 7.67 B -0.35 -1.86 500
WJRYY West Japan Railway Company 36.94 7.57 B -0.48 -1.28 4.4 K
DNOPY Dino Polska S.A 31.45 7.54 B -1.55 -4.7 1.63 K
MTHRY M3 Inc 14.44 7.27 B -0.38 -2.56 29.5 K
FMCCO Federal Home Loan Mortgage Corporation 4.80 7.03 B -0.11 -2.24 5 K
TYCMY Tingyi (Cayman Islands) Holding Corp 35.56 6.96 B -0.47 -1.3 1 K
CSXXY carsales.com Ltd 26.85 6.81 B -0.72 -2.61 700
NSANF Nissan Motor Co. Ltd 3.78 6.64 B -0.07 -1.82 2 K
NSANY Nissan Motor Co. Ltd 7.59 6.59 B -0.10 -1.3 126.9 K
SBFFY SBM Offshore N.V 15.86 6.33 B -0.09 -0.56 100
DIFTY Daito Trust Construction Co.Ltd 21.27 6.08 B -0.43 -1.98 54.9 K
DCYHY Discovery Limited 28.80 6.06 B -3.70 -11.38 100
PCG-PA Pacific Gas and Electric Company 21.8006 6.02 B -0.654 -2.91 6.52 K
CDEVY City Developments Limited 5.80 5.78 B -0.34 -5.54 2.8 K
PCG-PB Pacific Gas and Electric Company 20.6611 5.65 B -0.4945 -2.34 260
TOITF Topicus.com Inc 53.053 5.44 B -0.717 -1.33 2.6 K
MONOY MonotaRO Co. Ltd 15.24 5.38 B -0.462 -2.94 95.6 K

Toronto Venture Exchange (V) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
VRY Petro-Victory Energy Corp 3.71 -1.16 -23.82 7 K
OBUL One Bullion Limited 9.75 -2.75 -22 560
CGNT Copper Giant Resources Corp. 5.10 -0.50 -8.93 13.05 K
NU NeutriSci International Inc 4.08 -0.27 -6.21 100.28 M
ARCH Arch Biopartners Inc 3.35 -0.15 -4.29 20.5 K
GIP Green Impact Partners Inc 6.75 -0.30 -4.26 7.4 K
VITA Vitalist Inc. 3.50 -0.15 -4.11 153
PVT Pivotree Inc 3.53 -0.15 -4.08 11.4 K
ALTU Altura Energy Corp. 9.20 -0.30 -3.16 4.51 K
PEX Pacific Ridge Exploration Ltd 3.60 -0.10 -2.7 23.01 K
TOI Topicus.com Inc 66.7922 -1.5987 -2.34 59.3 K
RCK Rock Tech Lithium Inc 4.87 -0.10 -2.01 9.8 K
PTF Pender Growth Fund Inc 10.44 -0.16 -1.51 500
IEI Imperial Equities Inc 4.3995 -0.065 -1.46 700
CAMB Cambria Gold Mines Inc. 34.50 -0.50 -1.43 272.43 K
DE Decisive Dividend Corporation 3.2683 -0.0375 -1.13 7.58 K
VCI Vitreous Glass Inc 3.7152 -0.038 -1.01 1.1 K
MTA Metalla Royalty & Streaming Ltd 6.9652 -0.0498 -0.71 12.07 K
ARTG Artemis Gold Inc 5.80 -0.03 -0.51 64.28 K
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