Name Last Change Change % Volume Year Range
CAN Uncon Fix Inc (M) 100/100 (PS1) logo
0P00016V0Z CAN Uncon Fix Inc (M) 100/100 (PS1)
- - - -
GWL Balanced (IVZ)75/75 (P) logo
0P0001EGI8 GWL Balanced (IVZ)75/75 (P)
19.9 -0.04 -0.2186% 0
CI Global GIF Class A logo
0P000071FG CI Global GIF Class A
- - - -
Clarica SF CI Pacific logo
0P000071EU Clarica SF CI Pacific
33.53 -0.61 -1.7943% 0
Empire Life Bond - Class D logo
0P0000F4PZ Empire Life Bond - Class D
57.64 -0.23 -0.4059% 0
SunWise Essential Portfolio Select 20i80e Managed Segregated Fund logo
0P0000Q3DE SunWise Essential Portfolio Select 20i80e Managed Segregated Fund
- - - -
Sun Life Granite Conservative - Est Ser O logo
0P00015IJZ Sun Life Granite Conservative - Est Ser O
16.03 -0.04 -0.2608% 0
Counsel Balanced Portfolio Series A logo
0P000072CS Counsel Balanced Portfolio Series A
19.99 -0.06 -0.2853% 0
GWL Income (Mackenzie) 75/100 (PS2) logo
0P00014E2A GWL Income (Mackenzie) 75/100 (PS2)
24.11 -0.06 -0.235% 0
Co-operators Mawer Balanced Fund N100100 logo
0P00018L24 Co-operators Mawer Balanced Fund N100100
167.72 -0.55 -0.3261% 0
Mackenzie Ivy Canadian Balanced Fund - PWT8 logo
0P0001030A Mackenzie Ivy Canadian Balanced Fund - PWT8
7.52 -0.02 -0.2389% 0
Manulife Emerging Markets Series T6 logo
0P00017G4F Manulife Emerging Markets Series T6
- - - -
LON Foreign Equity (MF) 75/100(PS2) logo
0P00014BNZ LON Foreign Equity (MF) 75/100(PS2)
- - - -
GWL Corporate Bond (Portico) 100/100 (PS2) logo
0P00014E60 GWL Corporate Bond (Portico) 100/100 (PS2)
- - - -
Beutel Goodman Global Equity Class D logo
0P0000TUET Beutel Goodman Global Equity Class D
- - - -
Canada Life Risk-Managed Growth Portfolio 75/75 PP logo
0P0001KWMD Canada Life Risk-Managed Growth Portfolio 75/75 PP
- - - -
GWL Global Income (Sentry) 100/100 logo
0P0000M559 GWL Global Income (Sentry) 100/100
- - - -
iA Global Dividend (Dynamic) Hybrid SRP 75/100 Prestige F-Class logo
0P0001IOAC iA Global Dividend (Dynamic) Hybrid SRP 75/100 Prestige F-Class
- - - -
Desjardins SocieTerra Environment Fund I logo
0P0001HG1G Desjardins SocieTerra Environment Fund I
- - - -
Sun MFS Glob Gro - Inv Ser A logo
0P00015IQZ Sun MFS Glob Gro - Inv Ser A
- - - -
Fidelity U.S. Growth Opportunities Class - S8 logo
0P0001J4B5 Fidelity U.S. Growth Opportunities Class - S8
- - - -
BMO Global Equity Class Advisor logo
0P0000IMC2 BMO Global Equity Class Advisor
- - - -
IA Clarington Strategic Equity Income Class Ser L8 logo
0P000165YE IA Clarington Strategic Equity Income Class Ser L8
- - - -
Manulife Fundamental Income Seg Fund MLIA Class A logo
0P00016LJ0 Manulife Fundamental Income Seg Fund MLIA Class A
- - - -
CAN FT Bal Income (PSG) 75/100 logo
0P0000M6I4 CAN FT Bal Income (PSG) 75/100
22.69 -0.04 -0.1659% 0
Manulife S2 Ideal Aggressive Portfolio 75 logo
0P0000WV1W Manulife S2 Ideal Aggressive Portfolio 75
- - - -
IG Mackenzie Strategic Income B logo
0P0000XXI3 IG Mackenzie Strategic Income B
15.98 +0 +0.0138% 0
CAN Balanced (BT) 100/100 (PS1) logo
0P0000W7PR CAN Balanced (BT) 100/100 (PS1)
18.93 -0.04 -0.2009% 0
BMO Global Balanced GIF 100/100 Class A logo
0P0001HG9Z BMO Global Balanced GIF 100/100 Class A
12 -0.01 -0.0616% 0
GWL U.S. Low Vol (Put) 75/75 (P) logo
0P0001EGN6 GWL U.S. Low Vol (Put) 75/75 (P)
- - - -
RBC U.S. Mid-Cap Growth Equity Fund A logo
0P0000716T RBC U.S. Mid-Cap Growth Equity Fund A
52.11 +1.01 +1.9846% 0
Assumption Life SmartSeries 2030 Fund B logo
0P0001ESDM Assumption Life SmartSeries 2030 Fund B
16.66 +0.04 +0.2479% 0
GWL Balanced Income Portfolio Fund (PSG) 75/100 (PS2) logo
0P00014DYY GWL Balanced Income Portfolio Fund (PSG) 75/100 (PS2)
27.4 -0.08 -0.2937% 0
Manulife Global Dividend Seg Fund MLIA A logo
0P00014IPB Manulife Global Dividend Seg Fund MLIA A
25.1 -0 -0.0195% 0
Mackenzie Canadian Small Cap Fund PW logo
0P0000ZWPZ Mackenzie Canadian Small Cap Fund PW
- - - -
Equitable Life Canadian Stock Fund logo
0P0000716L Equitable Life Canadian Stock Fund
85.62 +0.39 +0.4615% 0
Manulife S2 Ideal Fidelity Dividend Fd 75PL logo
0P0000WV2V Manulife S2 Ideal Fidelity Dividend Fd 75PL
32.12 -0.06 -0.1998% 0
Sun CI Cambdge Cdn Eq-Inv Sr A logo
0P00015IOA Sun CI Cambdge Cdn Eq-Inv Sr A
23.88 +0.21 +0.8983% 0
Sun RBC NA Val - Inv Ser F logo
0P00015IS1 Sun RBC NA Val - Inv Ser F
- - - -
GWL Canadian Bond (Portico) 75/75 (PS2) logo
0P00014E16 GWL Canadian Bond (Portico) 75/75 (PS2)
- - - -
CDSPI Global Real Estate Fund (Invesco) logo
0P0000VUBO CDSPI Global Real Estate Fund (Invesco)
- - - -
Fidelity Global Class A logo
0P000072G5 Fidelity Global Class A
- - - -
Manulife Diversified Investment GIF Select IncPlus v2.0 logo
0P0000M5O0 Manulife Diversified Investment GIF Select IncPlus v2.0
- - - -
Manulife Simplicity Bal Port GIF Sel Orig 75 E logo
0P0000KWGX Manulife Simplicity Bal Port GIF Sel Orig 75 E
- - - -
Canada Life Sustainable Conservative Portfolio W5 logo
0P0001ND78 Canada Life Sustainable Conservative Portfolio W5
- - - -
DFS GIF Gr Franklin Quotential 8 logo
0P0001D53I DFS GIF Gr Franklin Quotential 8
- - - -
CI Signature Global Inc&Grwth Corp Cl logo
0P000087HC CI Signature Global Inc&Grwth Corp Cl
- - - -
CAN U.S. Grth (PUT)100/100 (PP) logo
0P0001EG69 CAN U.S. Grth (PUT)100/100 (PP)
- - - -
iA Focus Growth SRP 75/100 Prestige F-Class logo
0P0001IO95 iA Focus Growth SRP 75/100 Prestige F-Class
- - - -
Canada Dividend Fund (Mackenzie) 75/75 P logo
0P0001IOXB Canada Dividend Fund (Mackenzie) 75/75 P
- - - -

Stock Quotes & Prices FAQ

During regular market hours, stock prices update continuously as buy and sell orders are matched on the exchange. For real-time quote services, updates occur with each trade. In contrast, delayed quote services update at regular intervals, usually every 15 minutes. After-market or pre-market trading data may also be displayed separately, but those sessions typically have lower volume and wider spreads.

A ticker symbol is a unique series of letters that represents a publicly traded company on a stock exchange. For example, AAPL refers to Apple Inc., while TSLA represents Tesla. When entering a quote search, using the correct ticker ensures you're viewing data for the right company, especially when names are similar or when multiple companies operate in the same industry. Tickers are standardized within each exchange, making it easier to pull up quotes, historical data, and charts efficiently.

Market capitalization, or market cap, represents the total value of a company's outstanding shares and is calculated by multiplying the current share price by the number of shares in circulation. While not always shown directly in every quote display, many platforms include it as a key metric alongside the price. Market cap helps investors understand a company's relative size and is often used to categorize stocks as large-cap, mid-cap, or small-cap. It can also give insight into volatility levels, as smaller-cap stocks often experience more dramatic price swings.

Volume represents the number of shares traded during a specific period, usually the trading day. High volume often indicates strong investor interest and can confirm the strength of a price move. Sudden spikes in volume may signal breaking news, earnings releases, or significant institutional activity. Conversely, low volume might suggest limited interest or caution in the market. Volume is often used in combination with price trends to assess momentum or spot reversals.

A company may be listed on more than one exchange, or it may be traded internationally via depositary receipts or dual listings. Quotes may vary slightly between exchanges due to currency conversion, trading hours, or local demand. For example, a stock traded on the New York Stock Exchange (NYSE) and the London Stock Exchange (LSE) may have different price levels based on regional factors. Most online platforms consolidate this information, but it's important to confirm you're viewing the quote for the correct exchange when analyzing price data.

While exchanges and regulators implement strict rules to prevent market manipulation, short-term price distortions can occur due to coordinated buying or selling, low-volume conditions, or misleading news. For example, "pump and dump" schemes may temporarily inflate a stock's price to attract buyers before insiders sell at a profit. This is more common in thinly traded or over-the-counter stocks. For this reason, it's important to verify the credibility of price movements using volume data, news sources, and reliable quote platforms.