Losers for 21 December 2022 from 00:00:00 until 23:59:59

Losers for 21 December 2022 from 00:00:00 until 23:59:59

American Stock Exchange (AMEX) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
PSLV Sprott Physical Silver Trust ETV 8.21 11.68 B -0.07 -0.85 5.47 M
SIM Grupo Simec S.A. DE C.V. ADR 30.74 4.62 B -0.42 -1.35 613
SEB Seaboard Corporation 3631.4414 4.54 B -46.5652 -1.27 600
IE Ivanhoe Electric Inc 12.40 1.48 B -0.41 -3.2 242.36 K
CTGO Contango Ore Inc 22.81 459.11 M -0.128 -0.56 874
CIX Compx International Inc 14.6984 335.06 M -0.3197 -2.13 4.4 K
FRD Friedman Industries Inc 9.6759 239.59 M -0.0779 -0.8 16.3 K
GENC Gencor Industries IN 10.96 216.93 M -0.30 -2.66 7.79 K
NEN New England Realty Associates 63.5027 207.58 M -0.4175 -0.65 1 K
ESP Espey Mfg. & Electronics 12.3519 197.91 M -0.17 -1.36 5 K
PED Pedevco Corp 22.20 158.29 M -0.20 -0.89 8.47 K
USBC USBC, Inc. 46.00 119.9 M -2.80 -5.74 6.04 K
MHH Mastech Holdings Inc 12.52 93.83 M -0.39 -3.02 2.66 K
SRXH Srx Health Solutions Inc 15.1111 77.82 M -0.2963 -1.92 1.83 K
CVU CPI Aerostructures 3.36 63.14 M -0.04 -1.18 30.95 K
AREN The Arena Group Holdings Inc 9.29 53.32 M -0.26 -2.72 34.8 K
UAVS Ageagle Aerial Systems Inc 350.00 48.15 M -10.00 -2.78 625
LGL LGL Group 4.05 45.07 M -0.05 -1.22 28.7 K
TOON Kartoon Studios Inc 5.39 43.75 M -0.11 -2 121.36 K
CCEL Cryo-Cell Intl Inc 3.81 30.93 M -0.2101 -5.23 5.6 K
COHN Cohen & CO Inc 5.4231 30.18 M -0.1027 -1.86 8.02 K
BESS Bimergen Energy Corporation 8.40 28.18 M -1.40 -14.29 86
SER Serina Therapeutics Inc 19.5714 27.3 M -0.7857 -3.86 568
BURU Nuburu Inc 1802.00 25.24 M -248.00 -12.1 270
ACCS Access Newswire Inc 25.66 25.23 M -0.46 -1.76 4.97 K
PLAG Planet Green Holdings Corp 6.70 25.19 M -0.20 -2.9 1.75 K
MYND Mynd.Ai Inc ADR 3.7643 18.84 M -0.023 -0.61 200
REED Reed's, Inc. 24.09 12.45 M -1.17 -4.63 5.14 K
TOVX Theriva Biologics Inc 11.00 11.02 M -0.75 -6.38 6.04 K
PHGE Biomx Ltd 37.05 4.66 M -4.56 -10.96 1.42 K
PW Power REIT 4.39 3.4 M -0.04 -0.9 8.17 K
VTAK Catheter Precision Inc 847.40 3.26 M -104.50 -10.98 1.22 K
CLDI Calidi Biotherapeutics Inc 1200.00 2.89 M -13.20 -1.09 1
OGEN Oragenics Inc 234.00 2.58 M -54.00 -18.75 1.06 K
FOXO Foxo Technologies Inc 55.9588 -3.8009 -6.36 718
PCG-P-I Pacific Gas & Electric Company. 4.36% 1st Preferred Stock 14.6999 -0.4001 -2.65 1.42 K
PCG-P-D Pacific Gas & Electric Company. 5% 1st Red. Preferred Stock 16.54 -0.4099 -2.42 6.89 K
BCV-P-A Bancroft Fund Limited 5.375% Series A Cumulative Preferred Shares 23.30 -0.36 -1.52 372
SCCD Sachem Capital Corp 6.00% 16.2587 -0.1959 -1.19 5.5 K
SCCE Sachem Capital Corp 6.00% Notes Due 2027 15.4917 -0.1164 -0.75 4.7 K
PCG-P-A Pacific Gas & Electric Company. 6% Preferred Stock 20.20 -0.12 -0.59 13.63 K

Cryptocurrencies (CC) Unknown

Symbol Company Name Price U Capital Δ U Δ % Volume
BTC-USD Bitcoin 16817.5352 1.18 T -88.7695 -0.53 14.88 B
SOL-USD Solana 12.129 -0.1515 -1.23 167.97 M

Canadian Securities Exchange (CN) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
QNTM Quantum BioPharma Ltd Ordinary Shares - Class B (Sub Voting) 69.55 36.71 M -1.30 -1.83 242

Commodities (COMM) Unknown

Symbol Company Name Price U Capital Δ U Δ % Volume
RU Rubber 210.60 -4.40 -2.05 0

Global Indices (INDX) Unknown

Symbol Company Name Price U Capital Δ U Δ % Volume
NCI Nasdaq Crypto Index 1023.90 6.57 B -5.84 -0.57 0
MOVE Merrill Lynch Option Volatility Estimate 115.00 132.93 M -4.92 -4.1 0

National Association of Securities Dealers Automated Quotations (NASDAQ) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
PANW Palo Alto Networks Inc 73.71 238.87 B -0.93 -1.25 8.39 M
WDC Western Digital Cp 23.6169 232.79 B -0.5268 -2.18 6.26 M
STX Seagate Technology 45.8387 229.92 B -0.7026 -1.51 2.08 M
CRWD Crowdstrike Holdings Inc 107.35 172.76 B -2.48 -2.26 6.79 M
VRTX Vertex Pharmaceutic 290.55 121.87 B -2.68 -0.91 1.54 M
FTNT Fortinet Inc 50.01 109.85 B -0.46 -0.91 6.8 M
MAR Marriot International 144.0597 99.91 B -1.6077 -1.1 2.28 M
ABNB Airbnb Inc Class A 87.07 84.21 B -0.55 -0.63 5.59 M
WDAY Workday Inc 170.08 28.1 B -2.01 -1.17 2.54 M
SYM Symbotic Inc 11.91 24.61 B -0.41 -3.33 150.9 K
FFIV F5 Networks Inc 142.11 21.78 B -0.86 -0.6 448.03 K
INCY Incyte Corp 80.52 21.48 B -0.55 -0.68 1.15 M
ZS Zscaler Inc 112.77 20.02 B -0.77 -0.68 2.34 M
RIVN Rivian Automotive Inc 21.03 19.95 B -0.37 -1.73 13.44 M
FITBI Fifth Third Bancorp 19.3386 17.6 B -0.0989 -0.51 40.4 K
HST Host Marriott Financial Trust 13.1511 17.33 B -0.853 -6.09 15.79 M
AKAM Akamai Technologies 83.76 16.41 B -0.74 -0.88 1.73 M
NTNX Nutanix Inc 28.90 12.69 B -1.47 -4.84 4.51 M
TXRH Texas Roadhouse Inc 94.1724 12.53 B -0.9799 -1.03 826.44 K
DKNG Draftkings Inc 11.77 11.46 B -0.06 -0.51 9 M
BMRN Biomarin Pharmaceuticals 104.62 11.08 B -1.68 -1.58 1.46 M
CTRE Caretrust REIT Inc 16.0678 9.4 B -0.1778 -1.09 854.1 K
RZB Reinsurance Group of America, Incorporated 20.3278 8.86 B -0.1245 -0.61 34.91 K
KTOS Kratos Defns 9.44 8.69 B -0.08 -0.84 692 K
CBC Central Bancompany, Inc. Class A Common Stock 11.8844 7.03 B -0.3442 -2.81 1.25 K
PTCT Ptc Therapeutics 37.86 7.01 B -1.40 -3.57 465.33 K
HQY Healthequity 61.77 6.99 B -0.39 -0.63 647.74 K
GTX Garrett Motion Inc 7.3504 6.55 B -0.0488 -0.66 166.2 K
RRR Red Rock Resorts Inc 36.2225 6.44 B -0.5686 -1.55 286.1 K
CAR Avis Budget Group 158.9719 5.84 B -3.981 -2.44 733 K
GLBE Global-E Online Ltd 20.11 5.77 B -0.11 -0.54 827.08 K
MARA Marathon Digital Holdings 3.65 5.29 B -0.26 -6.65 14.76 M
APLS Apellis Pharmaceuticals Inc 52.16 5.22 B -0.64 -1.21 889.85 K
DNTH Dianthus Therapeutics Inc 5.80 5.01 B -0.48 -7.64 566.07 K
RDNT Radnet Inc 19.37 4.72 B -0.19 -0.97 230.09 K
ERAS Erasca Inc 4.20 4.65 B -0.14 -3.23 1.56 M
LIVN Livanova Plc OR Sh 53.97 4.45 B -1.21 -2.19 386.59 K
DAVE Dave Inc 8.336 4.1 B -0.096 -1.14 20.69 K
QLYS Qualys Inc 112.56 4.09 B -1.17 -1.03 261.48 K
ACAD Acadia Pharmaceutica 15.31 4.06 B -0.14 -0.91 1.16 M
SKYW Skywest Inc 15.67 3.9 B -0.15 -0.95 624.52 K
RLAY Relay Therapeutics Inc 14.82 3.89 B -0.90 -5.73 2.36 M
PTEN Patterson-Uti Energy 14.698 3.71 B -0.3007 -2 3.84 M
FLNC Fluence Energy Inc Cl A 19.03 3.57 B -0.60 -3.06 851.3 K
VEON Veon Ltd ADR 11.25 3.56 B -0.25 -2.17 28.72 K
BELFA BEL Fuse Cl A 32.5083 3.41 B -0.3754 -1.14 2.3 K
DYN Dyne Therapeutics Inc 13.38 3.41 B -0.24 -1.76 215.12 K
ARQT Arcutis Biotherapeutics Inc 13.96 3.34 B -0.24 -1.69 713.3 K
CHRN ChronoScale Corporation 18.15 3.22 B -0.90 -4.72 1.53 K
UPST Upstart Holdings Inc 14.03 3.16 B -0.37 -2.57 3.62 M
ARLP Alliance Resource Pt 15.1491 3.14 B -0.3095 -2 483.77 K
PLMR Palomar Holdings Inc 47.32 3.12 B -0.86 -1.78 250.7 K
HOVNP Hovnanian Entr Dep A 13.0551 3.09 B -0.1523 -1.15 2.51 K
CLMT Calumet Specialty Pr 13.57 2.99 B -0.12 -0.88 307.78 K
TRMD Torm Plc Cl A 18.1648 2.84 B -0.1224 -0.67 200 K
TARS Tarsus Pharmaceuticals Inc 14.42 2.77 B -0.12 -0.83 97.9 K
AGYS Agilysys Inc 78.87 2.75 B -0.41 -0.52 108.4 K
IRON Disc Medicine Inc 15.40 2.68 B -0.60 -3.75 5.55 K
OUST Ouster Inc 9.49 2.66 B -0.61 -6.04 152.66 K
ESTA Establishment Labs Holdings Inc 64.37 2.62 B -1.01 -1.54 150.42 K
DXPE Dxp Enterprise 27.47 2.59 B -0.19 -0.69 68 K
BHFAP Brighthouse Financial Inc Dep Shs Repstg 1/1000T 18.2982 2.58 B -0.0929 -0.51 45 K
DRH Diamondrock Hospitality Company Common Stock 7.2211 2.55 B -0.4295 -5.61 1.98 M
FRMEP First Merchants Corp ADR 20.0057 2.48 B -0.102 -0.51 1.9 K
PTON Peloton Interactive Inc 9.88 2.47 B -0.57 -5.45 11.38 M
WAFDP Washington Federal Inc 14.141 2.33 B -0.161 -1.13 29.1 K
PHVS Pharvaris N.V. 9.05 2.33 B -0.25 -2.69 243.6 K
MCRI Monarch Casino 69.7739 2.32 B -0.3666 -0.52 90.01 K
MRVI Maravai Lifesciences Holdings Inc Cl A 14.12 2.26 B -0.10 -0.7 2.1 M
BRZE Braze Inc Cl A 26.92 2.2 B -0.15 -0.55 208.5 K
IMNM Immunome Inc 3.14 2.2 B -0.61 -16.27 47.5 K
PIII P3 Health Partners Inc 114.00 2.17 B -13.50 -10.59 4.51 K
TILE Interface Inc 9.6982 2.06 B -0.1088 -1.11 292.4 K
HYMC Hycroft Mining Holding Corp 5.17 2 B -0.45 -8.01 274.58 K
LCID Lucid Group Inc 71.80 2 B -0.50 -0.69 2.7 M
PVLA Palvella Therapeutics, Inc 72.88 1.95 B -3.12 -4.11 1.81 K
IOVA Iovance Biotherapeutics Inc 6.05 1.88 B -0.05 -0.82 2.89 M
CMPS Compass Pathways Plc ADR 9.11 1.83 B -0.09 -0.98 157.57 K
GLUE Monte Rosa Therapeutics Inc 8.34 1.83 B -0.09 -1.07 106.6 K
RILYT B. Riley Financial Inc 6.00% Senior Notes Due 13.8755 1.82 B -0.1685 -1.2 21.9 K
NEO Neogenomics Inc 9.69 1.79 B -0.75 -7.18 1.5 M
GHRS Gh Research Plc 9.20 1.74 B -0.46 -4.76 41.1 K
BAND Bandwidth Inc 24.83 1.68 B -0.17 -0.68 433.96 K
URGN Urogen Pharma Ltd 7.65 1.68 B -0.13 -1.67 63.03 K
OPRA Opera Ltd ADR 4.6725 1.62 B -0.0306 -0.65 17.73 K
HLIT Harmonic Inc 13.25 1.61 B -0.10 -0.75 1.04 M
IMCR Immunocore Holdings Plc ADR 57.22 1.55 B -0.33 -0.57 257.7 K
FIVN Five9 Inc 67.77 1.49 B -0.53 -0.78 1.49 M
CDNA Caredx Inc 11.44 1.44 B -0.17 -1.46 707.97 K
GIII G-III Apparel Gp 13.0589 1.41 B -0.2781 -2.09 830.6 K
NVAX Novavax Inc 10.38 1.41 B -0.14 -1.33 4.87 M
DMRA Damora Therapeutics, Inc. 32.25 1.39 B -1.25 -3.73 2.34 K
AEVA Aeva Technologies Inc 7.00 1.36 B -0.10 -1.41 176.8 K
BLFS Biolife Solutions 18.03 1.34 B -0.42 -2.28 210.93 K
PNTG The Pennant Group Inc 10.87 1.25 B -0.50 -4.4 199.7 K
GLDD Great Lakes Drg Dock 6.14 1.22 B -0.30 -4.66 1.54 M
SDGR Schrodinger Inc 19.28 1.21 B -0.33 -1.68 662.9 K
IRMD Iradimed Cp 26.1135 1.2 B -0.3724 -1.41 73.3 K
ACVA Acv Auctions Inc Cl A 8.34 1.15 B -0.41 -4.69 1.88 M
CGEM Cullinan Management Inc 10.09 1.14 B -0.30 -2.89 188.8 K

New York Stock Exchange (NYSE) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
BAC-PE Bank of America Corporation 14.7643 227.44 B -0.1613 -1.08 29.91 K
TM Toyota Motor Corp Ltd 133.5213 217.01 B -1.3308 -0.99 238.73 K
CVS CVS Corp 82.5167 133.54 B -0.7715 -0.93 6.28 M
HDB Hdfc Bank Ltd ADR 30.9483 130.24 B -0.3126 -1 2.8 M
IBN Icici Bank Ltd ADR 21.4376 104.5 B -0.2147 -0.99 8.07 M
NEM Newmont Mining Corp 43.5415 101.79 B -0.276 -0.63 6.27 M
HLT Hilton Inc 126.0444 77.53 B -2.2188 -1.73 3.1 M
BAM Brookfield Asset Management Inc 25.129 71.31 B -1.0337 -3.95 3.03 M
SOJE Southern Company Series 2020C 4.20% 15.0397 65.41 B -0.1071 -0.71 85.2 K
TGT Target Corporation 126.9069 63.39 B -0.8472 -0.66 3.51 M
IX Orix Corp ADR 12.66 42.21 B -0.069 -0.54 160.5 K
RKT Rocket Companies Inc Cl A 7.1352 41.82 B -0.1041 -1.44 3.14 M
SYY Sysco Corp 70.0723 38.66 B -1.0356 -1.46 3.31 M
KB KB Financial Group Inc ADR 34.9458 35.47 B -0.2933 -0.83 273.05 K
HMC Honda Motor Company ADR 20.362 33.92 B -0.4345 -2.09 2.37 M
DTG Dte Energy Company 2021 Sr E 15.2938 26.73 B -0.1245 -0.81 22.6 K
NMR Nomura Holdings Inc ADR 3.1596 25.69 B -0.0174 -0.55 1.02 M
DRI Darden Restaurants 124.5862 24.37 B -1.0521 -0.84 990.5 K
SOJC Southern Company Series 2017B 5.25% Junior 18.6816 21.37 B -0.1331 -0.71 44.57 K
DLR-PJ Digital Realty Trust Inc 17.3971 21.27 B -0.1234 -0.7 13.67 K
SQM Sociedad Quimica Y Minera S.A. ADR 79.3727 20.88 B -0.8564 -1.07 1.24 M
TSN Tyson Foods 54.2858 20.35 B -0.5539 -1.01 3.08 M
FIS Fidelity National Information Services 60.9062 19.57 B -0.793 -1.29 5.86 M
IONQ Ionq Inc 3.69 18.87 B -0.02 -0.54 2.05 M
H Hyatt Hotels Corp 90.699 18.55 B -2.27 -2.44 909.3 K
FLUT Flutter Entertainment Plc 136.00 16.68 B -1.635 -1.19 1.5 K
DOCN DigitalOcean Holdings Inc 25.94 15.17 B -0.61 -2.3 1.22 M
SWK Stanley Black & Decker Inc 64.3287 14.35 B -1.194 -1.82 2.03 M
AFGE American Financial Group Inc 4.500% 15.7108 9.81 B -0.1885 -1.19 4.7 K
LEVI Levi Strauss & Co. Cl A 13.9364 9.23 B -0.1183 -0.84 1.65 M
FRO Frontline Ltd 9.0878 8.56 B -0.2202 -2.37 3.75 M
RHP Ryman Hospitality Properties REIT 69.7346 8.26 B -3.169 -4.35 1.1 M
EGO Eldorado Gold Corp 8.2963 7.93 B -0.0599 -0.72 1.78 M
ATH-PA Athene Holding Ltd 18.3674 7.46 B -0.1352 -0.73 105.27 K
GAP Gap Inc 10.5529 7.28 B -0.2033 -1.89 7.83 M
ACA Arcosa Inc 54.7709 7.12 B -0.4065 -0.74 196.15 K
CMS-PB Consumers Energy Company 72.5626 6.43 B -1.3197 -1.79 244
IFS Intercorp Financial Services Inc 20.1886 6.2 B -0.1054 -0.52 158.85 K
SLG-PI SL Green Realty Corp 20.20 6.18 B -0.30 -1.46 29.45 K
BB Blackberry Ltd 3.75 6.06 B -0.40 -9.64 23.82 M
MCY Mercury General Corp 31.2921 5.77 B -0.2113 -0.67 366.8 K
AIR AAR Corp 43.12 5.51 B -2.09 -4.62 700.5 K
TKC Turkcell Iletisim Hizmetleri As ADR 3.8058 5.24 B -0.0969 -2.48 372.3 K
GAB-PG The Gabelli Equity Trust Inc. PFD-G 18.165 4.46 B -0.236 -1.28 1.72 K
RXO Rxo Inc 16.03 4.44 B -0.26 -1.6 770.1 K
TPC Tutor Perini Corp 7.597 4.31 B -0.0699 -0.91 219.4 K
LMND Lemonade Inc 15.34 4.3 B -0.17 -1.1 900.9 K
CMBT Euronav NV 10.867 4.23 B -0.2536 -2.28 934.8 K
GPGI GPGI, Inc. 3.5283 4.2 B -0.2696 -7.1 93.31 K
INSW International Seaways Inc 26.3803 4.03 B -0.4201 -1.57 370.5 K
APLE Apple Hospitality REIT Inc 12.1513 4 B -0.368 -2.94 1.85 M
AXS-PE AXIS Capital Holdings Limited 16.6875 3.83 B -0.1747 -1.04 71.01 K
CNK Cinemark Holdings Inc 8.8147 3.78 B -0.2561 -2.82 4.38 M
PBI-PB Pitney Bowes Inc. NT 43 15.135 3.77 B -0.2057 -1.34 30.52 K
STNG Scorpio Tankers Inc 49.7273 3.76 B -0.624 -1.24 774.2 K
SF-PB Stifel Financial Corp 24.4377 3.56 B -0.2063 -0.84 2.7 K
HP Helmerich & Payne 41.5885 3.4 B -0.3809 -0.91 780.5 K
PEB-PE Pebblebrook Hotel Trust 17.4354 3.05 B -0.38 -2.13 23.63 K
PEB-PF Pebblebrook Hotel Trust 17.4955 2.96 B -0.1125 -0.64 10.75 K
PK Park Hotels & Resorts Inc 7.6357 2.93 B -0.5577 -6.81 8.1 M
DHT Dht Holdings 6.7594 2.91 B -0.1044 -1.52 1.23 M
RNG Ringcentral Inc 35.3069 2.91 B -0.3294 -0.92 1.8 M
RLJ-PA RLJ Lodging Trust 24.0824 2.9 B -0.2155 -0.89 22.29 K
DX Dynex Capital 8.1832 2.82 B -0.063 -0.76 2.84 M
BBU Brookfield Business Partners LP 15.2689 2.81 B -0.3081 -1.98 97.59 K
ERO Ero Copper Corp 13.66 2.75 B -0.15 -1.09 41.95 K
CVI Cvr Energy Inc 25.2912 2.75 B -0.3892 -1.52 768.1 K
MPT Medical Properties Trust, Inc. 8.1284 2.6 B -0.0983 -1.19 13.23 M
DRH Diamondrock Hospitality Company 7.2211 2.55 B -0.4295 -5.61 1.98 M
TY-P Tri-Continental Corporation PFD $2.50 45.2601 2.48 B -0.4735 -1.04 1.75 K
TNK Teekay Tankers Ltd 28.1766 2.43 B -0.6565 -2.28 219.83 K
SHAK Shake Shack Inc 45.44 2.36 B -1.36 -2.91 619.9 K
BHVN Biohaven Pharmaceutical Holding Ltd 13.53 2.31 B -0.58 -4.11 687.41 K
NSA-PA National Storage Affiliates Trust 22.1673 2.29 B -0.231 -1.03 12.57 K
OUST Ouster Inc 9.49 2.17 B -0.61 -6.04 152.66 K
SHO Sunstone Hotel Investors 8.3913 2.16 B -0.3741 -4.27 3.58 M
PEB Pebblebrook Hotel Trust 13.0556 2.14 B -1.2166 -8.52 6.85 M
SRG-PA Seritage Growth Properties 23.3608 2.08 B -0.124 -0.53 6.25 K
XHR Xenia Hotels & Resorts Inc 11.5544 1.99 B -0.5649 -4.66 737.7 K
VRE Veris Residential Inc 15.99 1.98 B -0.25 -1.54 527.6 K
LXP-PC Lexington Realty Trust 37.6676 1.98 B -0.3333 -0.88 1.48 K
LTC Ltc Properties 29.5337 1.97 B -0.3793 -1.27 331.2 K
AHL-PE Aspen Insurance Holdings Limited 14.8632 1.89 B -0.155 -1.03 33.88 K
SNDA Sonida Senior Living Inc 11.40 1.86 B -0.39 -3.31 13.4 K
RLJ Rlj Lodging Trust 8.5418 1.76 B -0.4056 -4.53 2.5 M
SLVM Sylvamo Corp 49.61 1.57 B -0.31 -0.62 645.2 K
DV Doubleverify Holdings Inc 22.55 1.53 B -0.18 -0.79 611.72 K
PRSU Pursuit Attractions and Hospitality, Inc. 27.25 1.49 B -0.25 -0.91 90.94 K
ASAN Asana Inc Cl A 13.35 1.47 B -0.36 -2.63 2.8 M
GHM Graham Corp 9.73 1.44 B -0.35 -3.47 40.05 K
BFS-PD Saul Centers Inc 15.2772 1.39 B -0.3038 -1.95 245
ECVT Pq Group Holdings Inc 9.10 1.33 B -0.09 -0.98 629.4 K
DOLE Dole Plc 8.7971 1.31 B -0.12 -1.35 465.2 K
IRS Irsa Inversiones Y Representaciones S.A. ADR 3.1197 1.3 B -0.1246 -3.84 171.88 K
HCXY Hercules Capital Inc 6.25% Notes Due 2033 19.4572 1.3 B -0.4236 -2.13 2.46 K
GAB-PH The Gabelli Equity Trust Inc 18.1842 1.28 B -0.228 -1.24 4.91 K
AI C3.Ai Inc Cl A 11.79 1.27 B -0.11 -0.92 2.18 M
CDRE Cadre Holdings Inc 20.1606 1.21 B -0.1441 -0.71 119.5 K
CXM Sprinklr Inc 8.30 1.15 B -0.08 -0.95 369.2 K
GLOP-PB GasLog Partners LP 17.0781 1.09 B -0.0991 -0.58 5.09 K

Toronto Exchange (TO) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
DHT-U DRI Healthcare Trust 4.7723 -1.2928 -21.32 25.9 K
BB Blackberry Ltd 5.10 -0.53 -9.41 5.37 M
BN-PFL Brookfield Corporation 9.373 -0.7776 -7.66 5.9 K
CIU-PC CU Inc Pref C 11.0064 -0.7407 -6.31 5 K
HMM-A Hammond Manufacturing Company Limited 4.0126 -0.1855 -4.42 400
IE Ivanhoe Electric Inc 16.74 -0.74 -4.23 5.4 K
BCT Briacell Therapeutics Corp 1038.4508 -43.0833 -3.98 39
BAM Brookfield Asset Management Ltd 34.2129 -1.3821 -3.88 1.12 M
ELE Elemental Royalty Corporation 12.9767 -0.4991 -3.7 12.21 K
PBL Pollard Banknote Ltd 16.7463 -0.6126 -3.53 5.9 K
ESP Brompton Energy Split Corp. Class A Shares 4.0217 -0.1329 -3.2 9.07 K
BN-PFK Brookfield Corporation 13.2519 -0.436 -3.19 4 K
APS Aptose Biosciences Inc 9.45 -0.30 -3.08 12.1 K
NOU Nouveau Monde Graphite Inc 5.51 -0.17 -2.99 45.6 K
DTOL D2L Inc 6.50 -0.20 -2.99 15.3 K
STC Sangoma Technologies Corp 5.23 -0.16 -2.97 40.4 K
CURA Curaleaf Holdings Inc 5.35 -0.15 -2.73 612.5 K
BRAG Bragg Gaming Group Inc 5.46 -0.15 -2.67 7.15 K
WRG Western Energy Services Corp 3.15 -0.08 -2.48 6.5 K
VCM Vecima Networks Inc 18.0821 -0.4568 -2.46 1.7 K
BN-PT Brookfield Corporation 11.8708 -0.2482 -2.05 7.9 K
DII-B Dorel Industries Inc 4.86 -0.10 -2.02 443.7 K
FORA Verticalscope Holdings Inc 5.01 -0.10 -1.96 2.1 K
MARI Marimaca Copper Corp 3.11 -0.06 -1.89 3.3 K
BBU-UN Brookfield Business Partners L.P. 20.7915 -0.3947 -1.86 153.5 K
BBD-PD Bombardier Inc Pref D 16.9094 -0.3207 -1.86 2.53 K
PWI-PA Sustainable Power & Infrastructure Split Corp. 8.2305 -0.1512 -1.8 3.1 K
TCS Tecsys Inc J 24.7595 -0.4361 -1.73 82.5 K
RFA-PI RFA Financial Inc. 18.0056 -0.3125 -1.71 516
BPO-PC Brookfield Office Properties Inc Pref C 16.2716 -0.2693 -1.63 7 K
VLN Velan Inc Sv 4.8479 -0.0768 -1.56 19 K
IFP Interfor Corp 20.96 -0.33 -1.55 229.5 K
SPPP Sprott Physical Platinum Palladium CAD 17.88 -0.28 -1.54 100
LCFS Tidewater Renewables Ltd 10.85 -0.16 -1.45 2.2 K
SEC Senvest Capital 335.00 -4.93 -1.45 300
ERO Ero Copper Corp 18.61 -0.25 -1.33 289.6 K
CSW-A Corby Spirit and Wine Limited 13.3093 -0.1575 -1.17 5.21 K
MFC-PM Manulife Financial Corp Pref M 14.2301 -0.1682 -1.17 5.76 K
XAU Goldmoney Inc 8.60 -0.10 -1.15 3.26 K
BN-PC Brookfield Corporation 9.2322 -0.1046 -1.12 900
TCL-A Transcontinental Inc 11.7462 -0.126 -1.06 189.89 K
TWM Tidewater Midstream and Infras Ltd 394.6888 -3.8319 -0.96 1.46 K
BN-PB Brookfield Asset Mgmt 2 Cl A Prf 9.2585 -0.0898 -0.96 9.8 K
SYZ Sylogist Ltd 6.0983 -0.0589 -0.96 77.6 K
NUAG New Pacific Metals Corp 3.13 -0.03 -0.95 60.93 K
WPRT Westport Fuel Systems Inc 10.50 -0.10 -0.94 4.88 K
RPR-UN Ravelin Properties REIT 4.0099 -0.0372 -0.92 212.3 K
SFC Sagicor Financial Company Ltd 4.6836 -0.0422 -0.89 2.1 K
CSW-B Corby Spirit and Wine Limited 11.1951 -0.0966 -0.86 8.45 K
TRP-PF TC Energy Corp Pref Series 2 11.3322 -0.0975 -0.85 2.5 K
BBD-PC Bombardier Inc Pref C 13.6298 -0.1151 -0.84 3.01 K
BCE-PR BCE Inc Pref R 12.4689 -0.1013 -0.81 281
SAP Saputo Inc 30.722 -0.249 -0.8 413.7 K
BIP-PF Brookfield Infrastructure Partners Pref Class A 15.0791 -0.1206 -0.79 2.5 K
BGI-UN Brookfield Global Infrastructure Securities Income Fund 3.3377 -0.0264 -0.78 99.7 K
CPX-PE Capital Power Corporation Pref E 16.2579 -0.1278 -0.78 4.15 K
TRP-PC TC Energy Corp Pref Series 5 10.0167 -0.0787 -0.78 4.12 K
FTS-PF Fortis 1St Cum Red Srs F Prf 15.8268 -0.1226 -0.77 3.15 K
HOM-U BSR Real Estate Investment Trust 11.3111 -0.086 -0.75 30.52 K
FRX Fennec Pharmaceuticals Inc 13.21 -0.10 -0.75 400
RIC Richmont Mines 36.8289 -0.2723 -0.73 18.33 K
IFC-PE Intact Financial Corp Pref Series 5 16.7147 -0.1235 -0.73 6.2 K
PSLV Sprott Physical Silver Trust CAD 11.18 -0.08 -0.71 48 K
BEP-PM Brookfield Renewable Partners LP Series 13 Pref Class A 16.8683 -0.1184 -0.7 16.53 K
ET Evertz Technologies Ltd 7.446 -0.05 -0.67 23.1 K
BN-PK Brookfield Asset Management Inc Pref K 9.2734 -0.0598 -0.64 6.8 K
MRG-UN Morguard North American Residential Real Estate Investment Trust 13.7101 -0.0859 -0.62 24.58 K
BCE-PQ BCE Inc Pref Q 15.4079 -0.0965 -0.62 9.55 K
PMET Patriot Battery Metals Inc 6.46 -0.04 -0.62 219.5 K
LCS-PA Brompton Lifeco Split Corp Pref A 7.9177 -0.0481 -0.6 2.96 K
EMA-PA Emera Inc Pref A 11.5097 -0.0694 -0.6 1.7 K
LFE-PB Canadian Life Companies Split Corp Pref B 7.8121 -0.0467 -0.59 4.1 K
PTI Patheon Inc(PTI.TO 5.6863 -0.0327 -0.57 174.14 K
MI-UN Minto Apartment Real Estate Investment Trust 13.2573 -0.0753 -0.56 186.73 K
ENB-PFE Enbridge Inc Pref 13 12.5816 -0.0713 -0.56 2.7 K
AQN-PD Algonquin Power & Utilities Corp 14.5957 -0.0802 -0.55 3.12 K
ELD Eldorado Gold 11.2813 -0.0599 -0.53 368.92 K
GDV-PA Global Dividend Growth Split Corp 8.023 -0.042 -0.52 5.5 K

United States Stock Exchanges (US) USD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
TOYOF Toyota Motor Corporation 13.2464 218.18 B -0.129 -0.96 7.62 K
TOELF Tokyo Electron Limited 309.46 210.68 B -4.70 -1.5 700
SAPGF SAP SE 103.48 175.59 B -0.55 -0.53 3.2 K
IBDSF Iberdrola S.A 11.0665 159.78 B -0.1476 -1.32 81.86 K
ATEYY Advantest Corporation 68.54 156.73 B -0.35 -0.51 14.1 K
MRAAY Murata Manufacturing Co. Ltd 12.83 130.15 B -0.24 -1.84 169.2 K
MRAAF Murata Manufacturing Co. Ltd 51.25 129.1 B -1.07 -2.05 400
IVSBF Investor AB (publ) 17.80 124.71 B -0.49 -2.68 27.3 K
SNEJF Sony Group Corporation 77.15 116.09 B -0.71 -0.91 11 K
KYCCF Keyence Corporation 395.13 115.64 B -6.87 -1.71 3.5 K
HNHPF Hon Hai Precision Industry Co. Ltd 6.45 113.07 B -0.05 -0.77 53 K
ATLPF Atlas Copco AB 11.75 100.35 B -0.345 -2.85 13.35 K
EBBNF Enbridge Inc 18.9662 96.48 B -0.5896 -3.01 6.24 K
CHDRY Christian Dior SE 180.01 93.46 B -1.79 -0.98 100
PROSF Prosus N.V 66.11 90.07 B -0.615 -0.92 1.7 K
OVCHY Oversea-Chinese Banking Corporation Limited 17.80 86.07 B -0.11 -0.61 11.3 K
TKOMY Tokio Marine Holdings Inc 21.65 81.11 B -0.21 -0.96 36.1 K
SHECF Shin-Etsu Chemical Co. Ltd 125.69 80.72 B -1.61 -1.26 1 K
SHECY Shin-Etsu Chemical Co. Ltd 31.76 80.7 B -0.27 -0.84 80.1 K
JPPTY JAPAN POST BANK Co.Ltd 8.19 66.61 B -0.17 -2.03 980
PCRFF Panasonic Corporation 8.60 65.91 B -0.385 -4.28 2.22 K
JAPAY Japan Tobacco Inc 10.55 65.04 B -0.11 -1.03 156.1 K
BHKLY BOC Hong Kong (Holdings) Limited 66.71 60.81 B -1.22 -1.8 5.5 K
CRARF Crédit Agricole S.A 10.19 59.89 B -0.11 -1.07 5.8 K
SMTOY Sumitomo Electric Industries Ltd 11.30 58.63 B -0.33 -2.84 2.4 K
SCBFF Standard Chartered PLC 7.3846 58.01 B -0.1016 -1.36 21.55 K
HOCPF HOYA Corporation 98.00 57.99 B -2.50 -2.49 100
DSCSY Disco Corporation 57.82 56.07 B -1.32 -2.23 54.2 K
ENAKF E.ON SE 9.70 54.01 B -0.17 -1.72 1.2 K
BAYZF Bayer Aktiengesellschaft 52.00 52.07 B -0.72 -1.37 300
BAYRY Bayer Aktiengesellschaft 12.98 51.68 B -0.15 -1.14 636.4 K
CRZBY Commerzbank AG 9.39 48.06 B -0.10 -1.05 17.5 K
LGRVF Legrand SA 78.84 46.38 B -2.41 -2.97 6.6 K
MARUY Marubeni Corporation 115.40 46.13 B -0.75 -0.65 5.4 K
VLKAF Volkswagen AG 160.11 46.04 B -1.84 -1.14 2.5 K
TTDKY TDK Corporation 33.33 45.02 B -0.95 -2.77 25.8 K
VWAGY Volkswagen AG 15.95 44.31 B -0.205 -1.27 726.8 K
CTPCY CITIC Limited 4.96 44.22 B -0.08 -1.59 2.8 K
BAIDF Baidu Inc 13.48 43.42 B -0.325 -2.35 5.65 K
FANUF Fanuc Corporation 148.00 42.87 B -1.25 -0.84 100
PPCCY PICC Property and Casualty Company Limited 23.10 41.59 B -0.225 -0.96 6.2 K
FANUY Fanuc Corporation 15.02 41.38 B -0.09 -0.6 347.6 K
TYIDY Toyota Industries Corporation 54.47 38.72 B -1.18 -2.12 6 K
ERIXF Telefonaktiebolaget LM Ericsson (publ) 5.74 37.89 B -0.03 -0.52 10.3 K
WEGZY WEG S.A 7.3328 37.59 B -0.0388 -0.53 16 K
KMTUF Komatsu Ltd 22.50 35.43 B -0.35 -1.53 700
OTSKY Otsuka Holdings Co. Ltd 16.62 35.42 B -0.17 -1.01 40.7 K
KMTUY Komatsu Ltd 22.34 34.61 B -0.34 -1.5 65.4 K
HNDAF Honda Motor Co. Ltd 23.00 34.22 B -0.95 -3.97 100.4 K
FJTSF Fujitsu Limited 129.84 34.18 B -1.16 -0.89 3.1 K
NIPNF NEC Corporation 34.09 31.59 B -0.91 -2.6 100
DNZOF DENSO Corporation 50.28 31.43 B -2.87 -5.4 100
DNZOY DENSO Corporation 25.32 30.55 B -0.68 -2.62 34.2 K
FINMF Leonardo S.p.a 8.11 30.53 B -0.39 -4.59 500
KYOCY Kyocera Corporation 49.77 30.16 B -0.85 -1.68 23.9 K
TTNDY Techtronic Industries Company Limited 56.61 29.89 B -0.84 -1.46 68.3 K
MITEY Mitsubishi Estate Co. Ltd 12.67 29.36 B -0.20 -1.55 151.6 K
SMCAY SMC Corporation 21.86 28.12 B -0.11 -0.5 133.7 K
SMECF SMC Corporation 438.10 27.17 B -3.05 -0.69 1.7 K
SVNDY Seven & i Holdings Co. Ltd 20.87 27.16 B -0.16 -0.76 55.5 K
BRDCY Bridgestone Corporation 18.05 26.17 B -0.18 -0.99 47.2 K
AMADF Amadeus IT Group S.A 51.65 25.29 B -0.55 -1.05 2.1 K
DUAVF Dassault Aviation SA 166.57 25.01 B -7.242 -4.17 12
FUJIY FUJIFILM Holdings Corporation 50.68 24.96 B -0.68 -1.32 14.3 K
MTSFY Mitsui Fudosan Co. Ltd 53.31 24.28 B -2.09 -3.77 14.4 K
OLCLY Oriental Land Co. Ltd 27.31 24.25 B -0.80 -2.85 1.5 K
IPXHY Inpex Corporation 10.57 23.91 B -0.09 -0.84 44 K
OEZVY VERBUND AG 17.01 23.83 B -0.69 -3.9 300
NTOIY Neste Oyj 23.55 23.76 B -1.15 -4.66 44 K
NTOIF Neste Oyj 47.35 23.7 B -3.65 -7.16 1.2 K
ALPMY Astellas Pharma Inc 15.43 23.65 B -0.18 -1.15 34.1 K
EJPRY East Japan Railway Company 9.25 23.24 B -0.19 -2.01 32.5 K
SZKMY Suzuki Motor Corporation 130.14 23.05 B -3.80 -2.84 7 K
UNPRF Uniper SE 3.21 22.99 B -0.02 -0.62 992
HXGBF Hexagon AB (publ) 10.76 22.72 B -0.16 -1.47 10.3 K
BDRAF Bombardier Inc 39.60 22.01 B -0.99 -2.44 700
CMAKY China Minsheng Banking Corp. Ltd 3.34 21.57 B -0.05 -1.47 300
PGPHF Partners Group Holding AG 869.25 21.26 B -9.653 -1.1 100
SAUHF Straumann Holding AG 109.65 21.17 B -3.60 -3.18 4.01 K
SURYY Sumitomo Realty & Development Co. Ltd 11.75 20.55 B -2.33 -16.55 339
KLBAY Klabin S.A 7.3866 20.45 B -0.1376 -1.83 15
CJPRY Central Japan Railway Company 12.01 19.56 B -0.07 -0.58 27.5 K
KUBTY Kubota Corporation 70.38 19.31 B -1.19 -1.66 29.1 K
BKRIY Bank of Ireland Group plc 9.329 19.14 B -0.171 -1.8 14.8 K
KUBTF Kubota Corporation 13.3631 18.88 B -0.6136 -4.39 700
TRUMF Terumo Corporation 28.17 18.78 B -0.24 -0.84 3.1 K
JDHIF JD Health International Inc 9.14 18.68 B -1.94 -17.51 3.6 K
EDRVF EDP Renováveis S.A 21.56 17.97 B -1.58 -6.83 400
SINGF Singapore Airlines Limited 4.00 17.93 B -0.10 -2.44 1.3 K
EBCOY Ebara Corporation 18.52 17.9 B -0.39 -2.06 1.4 K
AMCCF Amcor plc 11.7137 17.27 B -0.0984 -0.83 275
GXYEF Galaxy Entertainment Group Limited 6.42 16.62 B -0.31 -4.61 1.8 K
NJDCY Nidec Corporation 13.65 16.61 B -0.35 -2.5 273.26 K
DWAHY Daiwa House Industry Co.Ltd 22.90 16.59 B -0.36 -1.55 63.4 K
GNMSF Genmab A/S 421.93 16.09 B -8.17 -1.9 600
TYNPF Nippon Sanso Holdings Corporation 14.712 16.02 B -0.408 -2.7 346
SGIOF Shionogi & Co. Ltd 49.75 16 B -0.45 -0.9 3.3 K
MONRY Moncler S.p.A 51.5302 15.81 B -2.9698 -5.45 980
SOMLY SECOM CO. LTD 14.50 15.77 B -0.16 -1.09 39.5 K
HLDCY Henderson Land Development Company Limited 3.40 15.59 B -0.04 -1.16 245.8 K

Toronto Venture Exchange (V) CAD

Symbol Company Name Price $ Capital Δ $ Δ % Volume
XRTX XORTX Therapeutics Inc 45.45 -3.60 -7.34 170
RAGE Renegade Gold Inc. 5.70 -0.30 -5 4.54 K
PTF Pender Growth Fund Inc 6.25 -0.25 -3.85 1.6 K
FHYD First Hydrogen Corp. 4.60 -0.18 -3.77 15.1 K
PAT Patriot One Technologies Inc 4.00 -0.15 -3.61 160
FCA-U Firm Capital Apartment Real Estate Investment Trust 4.70 -0.15 -3.09 800
ALTU Altura Energy Corp. 3.60 -0.10 -2.7 11.43 K
DE Decisive Dividend Corporation 3.7701 -0.0628 -1.64 3.74 K
ARTG Artemis Gold Inc 4.32 -0.04 -0.92 46.8 K
RX BioSyent Inc 6.5943 -0.0471 -0.71 3.1 K
EU enCore Energy Corp 3.15 -0.02 -0.63 70.2 K
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