Name Last Change Change % Volume Year Range
CAN Global Equity (S) 75/75 (PP) logo
0P0001EG4Q CAN Global Equity (S) 75/75 (PP)
- - - -
Manulife Trimark Europlus GIF Select Original 75 logo
0P0000KWFO Manulife Trimark Europlus GIF Select Original 75
- - - -
LON 2040 Profile (PSG) 100/100 logo
0P0000M5KY LON 2040 Profile (PSG) 100/100
27.76 -0.01 -0.0518% 0
Mackenzie Global Growth Fund T5 logo
0P0001N8IY Mackenzie Global Growth Fund T5
16.77 -0.07 -0.3867% 0
Manulife Corporate Bond GIF Select InvPlus E DSC logo
0P0000Q6AE Manulife Corporate Bond GIF Select InvPlus E DSC
- - - -
CAN Corp Bond (Port) 75/100 (P) logo
0P0001EFYX CAN Corp Bond (Port) 75/100 (P)
11.37 +0.01 +0.0502% 0
Wellington Global High Yield Bond Fund S CAD Acc Hedged logo
0P0001DHOY Wellington Global High Yield Bond Fund S CAD Acc Hedged
14.29 -0.01 -0.0392% 0
Fidelity Conservative Managed Risk Portfolio S5 logo
0P000198FM Fidelity Conservative Managed Risk Portfolio S5
- - - -
Clarica MVP CI European Growth logo
0P000070XY Clarica MVP CI European Growth
20.64 -0.06 -0.2962% 0
LON Global Balanced (M) 75/75(PS2) logo
0P00014BLG LON Global Balanced (M) 75/75(PS2)
39.89 -0.17 -0.4207% 0
GWL Mackenzie Balanced Income (PSG) 100/100 logo
0P0000M6IZ GWL Mackenzie Balanced Income (PSG) 100/100
- - - -
LON Balanced Profile (PSG) 75/100(PS2) logo
0P00014BH0 LON Balanced Profile (PSG) 75/100(PS2)
- - - -
Co-operators Very Aggressive Portfolio N7575 logo
0P00018L3K Co-operators Very Aggressive Portfolio N7575
- - - -
Fidelity Long/Short Alternative Fund - O logo
0P0001KYJF Fidelity Long/Short Alternative Fund - O
21.73 -0 -0.0032% 0
Mackenzie Emerging Markets Fund logo
0P0001N8FM Mackenzie Emerging Markets Fund
36.38 +0.12 +0.3307% 0
CAN Pathways US Con Eq (A) 75/100PS2 logo
0P0001HUVY CAN Pathways US Con Eq (A) 75/100PS2
23.74 -0.04 -0.156% 0
DFS GIF - Balanced 7 logo
0P0001265F DFS GIF - Balanced 7
- - - -
RBC Retirement 2020 Portfolio T5 logo
0P00018PW8 RBC Retirement 2020 Portfolio T5
- - - -
CIBC Sustainable Global Equity Fund logo
0P0001MOYZ CIBC Sustainable Global Equity Fund
- - - -
GWL Canadian Bond (Portico) 75/100 logo
0P0000M5BC GWL Canadian Bond (Portico) 75/100
12.73 +0.01 +0.0511% 0
Canada Life Sustainable Balanced Portfolio A logo
0P0001ND7N Canada Life Sustainable Balanced Portfolio A
- - - -
Manulife CIBC Monthly Income GIF Select Original 75 E logo
0P0000HKRN Manulife CIBC Monthly Income GIF Select Original 75 E
21.14 +0.02 +0.0757% 0
Manulife TD Diversified Monthly Income GIF Select Original IncPlus logo
0P0000XO0E Manulife TD Diversified Monthly Income GIF Select Original IncPlus
21.25 -0.02 -0.0795% 0
SEI International Equity Fund Class O logo
0P000074GS SEI International Equity Fund Class O
12.08 +0.03 +0.2224% 0
Russell Investments Focused Canadian Equity Pool Sr E logo
0P0000Y9L3 Russell Investments Focused Canadian Equity Pool Sr E
- - - -
NBI Floating Rate Income Fund - Inv_2 logo
0P0001M5LC NBI Floating Rate Income Fund - Inv_2
10.07 +0 +0.0328% 0
Sun TD Dividend Inc - Est Sr F logo
0P00015IMQ Sun TD Dividend Inc - Est Sr F
22.78 +0.03 +0.142% 0
CAN Pathways US Eq (P) 75/75 PS2 logo
0P0001HUTN CAN Pathways US Eq (P) 75/75 PS2
30.35 -0.05 -0.1559% 0
Equitable Life Money Market Fund Select logo
0P0000Z6F8 Equitable Life Money Market Fund Select
11.26 +0 +0.0044% 0
LON Income (P) 75/75 (P) logo
0P0001EH1B LON Income (P) 75/75 (P)
- - - -
iA Indexia Growth SRP 75/100 Prestige logo
0P0001CBSA iA Indexia Growth SRP 75/100 Prestige
18.92 -0.03 -0.1409% 0
GWL Real Return Bond (Portico) 75/100 (PS1) logo
0P0000ZLJQ GWL Real Return Bond (Portico) 75/100 (PS1)
10.68 +0 +0.029% 0
PIMCO GIS Diversified Income Fund Institutional CAD (Hedged) Accumulation logo
0P0000UU84 PIMCO GIS Diversified Income Fund Institutional CAD (Hedged) Accumulation
12.24 -0.03 -0.2445% 0
CAN Global Equity (IVZ) 75/75 logo
0P0000M5Q7 CAN Global Equity (IVZ) 75/75
42.36 -0.08 -0.1977% 0
Clarica SF CI International Value logo
0P000072I2 Clarica SF CI International Value
22.28 -0.07 -0.2948% 0
Desjardins Melodia Moderate Income Portfolio A-Class Units logo
0P0000YSHF Desjardins Melodia Moderate Income Portfolio A-Class Units
- - - -
CI Signature Global Energy Corp Class logo
0P000070JZ CI Signature Global Energy Corp Class
84.55 +0.84 +1.0093% 0
SunWise CI International Value Comb logo
0P0000722H SunWise CI International Value Comb
22.88 -0.07 -0.296% 0
Manulife Dividend Income Plus GIF Select InvP Elite logo
0P0001H0KB Manulife Dividend Income Plus GIF Select InvP Elite
20.21 -0.05 -0.2271% 0
CAN Long Term Bond (Port) 100/100 logo
0P0000ZLUL CAN Long Term Bond (Port) 100/100
9.68 +0 +0.032% 0
Sun Life Granite Balanced - Est Ser A logo
0P00015IJQ Sun Life Granite Balanced - Est Ser A
16.67 -0.02 -0.1426% 0
Sun MFS Glob Val - Est Ser A logo
0P00015IL2 Sun MFS Glob Val - Est Ser A
26.29 +0.01 +0.0506% 0
Mackenzie International Dividend Fund PWR logo
0P0001ILYJ Mackenzie International Dividend Fund PWR
- - - -
CAN U.S. Grth (Putnam) 75/100 (PS2) logo
0P00014CX6 CAN U.S. Grth (Putnam) 75/100 (PS2)
- - - -
CAN Intl Equity (T) 75/100 (PP) logo
0P0001EG7E CAN Intl Equity (T) 75/100 (PP)
- - - -
CI Signature High Income Corporate Class PT8 logo
0P0001FKM9 CI Signature High Income Corporate Class PT8
- - - -
Assumption/Louisbourg Fixed Income C logo
0P000072EG Assumption/Louisbourg Fixed Income C
- - - -
Co-operators NEI Select Balanced RS Portfolio N7575 logo
0P00018L0O Co-operators NEI Select Balanced RS Portfolio N7575
- - - -
GWL Moderate Income Portfolio Fund (PSG) NL logo
0P00007732 GWL Moderate Income Portfolio Fund (PSG) NL
- - - -
LON American Grth (A) 75/75 (PP) logo
0P0001EGS5 LON American Grth (A) 75/75 (PP)
- - - -

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.