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NEO Market Movers - Price x Volume - 1 Year

Regular Market Sentiment

Gainers
26 (53%)
Losers
22 (44%)
Unchanged
1 (2%)
This session is not active.
Real-Time
Price x Volume
Symbol Name Price Change Change % Avg. Volume Chart
Cybin IncCYBN Cybin Inc13.85-5.91-29.91%285,810
Valour IncDEFI Valour Inc3.712.96394.67%856,983
Fidelity Global Small Cap Opportunities FundFCGS Fidelity Global Small Cap Opportunities Fund14.823.5131.03%147,130
Ninepoint Energy FundNNRG Ninepoint Energy Fund51.397.3616.72%26,965
Verano Holdings CorpVRNO Verano Holdings Corp1.74-4.84-73.56%216,454
Lululemon CDRLULU Lululemon CDR17.43-3.58-17.04%70,336
Palo Networks CDRPANW Palo Networks CDR20.67-2.12-9.30%39,326
RBC Core Plus Bond PoolRPLS RBC Core Plus Bond Pool20.450.371.84%39,544
BTQ Technologies CorpBTQ BTQ Technologies Corp3.903.26509.37%258,747
Verses AI IncVERS Verses AI Inc1.760.116.67%377,916
RBC Core Bond PoolRCOR RBC Core Bond Pool20.560.532.65%26,595
Cannabist Company Holdings IncCBST Cannabist Company Holdings Inc0.10-0.67-87.01%997,253
Fidelity Long Short Alternative FundFLSA Fidelity Long Short Alternative Fund11.781.6316.06%36,375
Abaxx Technologies IncABXX Abaxx Technologies Inc11.96-1.54-11.41%28,755
Servicenow CDRNOWS Servicenow CDR28.537.8037.63%15,505
Fidelity Greater Canada FundFCGC Fidelity Greater Canada Fund12.301.3111.92%27,472
Glass House Brands IncGLAS.A.U Glass House Brands Inc5.800.509.43%36,285
Ninepoint High Interest Savings FundNSAV Ninepoint High Interest Savings Fund50.340.040.08%5,691
Metaspere Labs IncLABZ Metaspere Labs Inc0.11-0.19-63.33%229,584
Fidelity Global Value Long Short FundFGLS Fidelity Global Value Long Short Fund7.86-1.89-19.38%26,357
Blackrock CDRBLK Blackrock CDR26.324.9122.93%8,737
Fidelity Canadian Large Cap FundFCLC Fidelity Canadian Large Cap Fund11.471.3413.23%17,414
RBC Conservative Bond PoolRCNS RBC Conservative Bond Pool20.470.422.09%8,174
Deere CDRDEER Deere CDR21.241.748.92%6,418
Constellation Brands CDRSTZ Constellation Brands CDR17.89-2.65-12.90%7,040
First Trust SMID Cap Rising Dividend Achievers ETFSDVY First Trust SMID Cap Rising Dividend Achievers ETF22.312.8314.53%15,484
Thermo Fisher CDRTMO Thermo Fisher CDR19.85-0.80-3.87%6,416
Base Carbon IncBCBN Base Carbon Inc0.445-0.085-16.04%179,068
GuardBonds 2027 Investment Grade Bond FundGBFD GuardBonds 2027 Investment Grade Bond Fund20.800.854.26%4,265
GuardBonds 2026 Investment Grade Bond FundGBFC GuardBonds 2026 Investment Grade Bond Fund20.890.884.40%3,642
Zefiro Methane CorpZEFI Zefiro Methane Corp0.65-1.00-60.61%86,763
Greenland Resources IncMOLY Greenland Resources Inc0.830.2953.70%85,659
Lithos Energy LtdLITS Lithos Energy Ltd0.05-0.58-92.06%182,337
GuardBonds 2025 Investment Grade Bond FundGBFB GuardBonds 2025 Investment Grade Bond Fund20.670.733.66%2,661
SolarBank CorporationSUNN SolarBank Corporation3.11-3.63-53.86%6,684
Fidelity Canadian Long Short Alternative FundFCLS Fidelity Canadian Long Short Alternative Fund11.701.8218.42%3,533
Gold Flora CorporationGRAM Gold Flora Corporation0.035-0.23-86.79%107,593
Mount Logan Capital IncMLC Mount Logan Capital Inc2.550.5527.50%11,134
Kontrol Technologies CorpKNR Kontrol Technologies Corp0.18-0.065-26.53%91,431
Carbon Streaming Corporation WTS BNETZ Carbon Streaming Corporation WTS B0.52-0.34-39.53%34,030
Denarius Metals CorpDMET Denarius Metals Corp0.700.1425.00%49,553
Global Crossing Airlines Group IncJET Global Crossing Airlines Group Inc0.70-0.09-11.39%24,788
Maritime Launch Services IncMAXQ Maritime Launch Services Inc0.05-0.05-50.00%236,692
Global Crossing Airlines Group IncJET.B Global Crossing Airlines Group Inc0.69-0.11-13.75%13,127
Forall Core & More US Equity IndexFORU Forall Core & More US Equity Index9.88-0.12-1.20%4,832
Canadian Manganese Company IncCDMN Canadian Manganese Company Inc0.04-0.01-20.00%115,010
Fidelity Long Short Alternative FundFLSA.U Fidelity Long Short Alternative Fund8.28-0.15-1.78%3,696
Ninepoint Diversified Bond FundNBND Ninepoint Diversified Bond Fund18.490.945.36%166
Interfield Global Software IncIFSS Interfield Global Software Inc0.035-0.135-79.41%45,016

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