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6 Month Worst

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6-Month Worst Funds

Symbole Nom Dernière Variation Pourcentage Pourcentage
6 mois
Dernière mise à jour
NBC1455.CF Nbc Global Blue Chip II Deposit Notes S23 - DSC 100,00 -99,38 -49,84% -48,14% 06/09/19
SPA765.CF Libertas Real Asset Opportunities Fund Cl Usxf - 2,01 -0,45 -18,43% -47,24% 31/07/19
SPA751.CF Libertas Real Asset Opportunities Fund Class A - 2,40 -0,55 -18,67% -46,58% 31/07/19
SPA761.CF Libertas Real Asset Opportunities Fund Class F - 2,16 -0,49 -18,59% -46,23% 31/07/19
NBC1709.CF Nbc Globe-Trotter Dep NTS With Low Point S15 - D 100,00 +1,00 +1,01% -42,51% 05/07/19
PFC5804.CF Purpose Special Opportunities Fund Series B - FE 2,39 +0,01 +0,34% -41,24% 12/09/19
PFC5800.CF Purpose Special Opportunities Fund Series A - LL 2,39 +0,01 +0,34% -41,24% 12/09/19
PFC5808.CF Purpose Special Opportunities Fund Series Y - FE 2,58 +0,01 +0,34% -41,09% 12/09/19
PFC5809.CF Purpose Special Opportunities Fund Series X - LL 2,55 +0,01 +0,35% -41,08% 12/09/19
PFC5801.CF Purpose Special Opportunities Fund Series F - NL 2,73 +0,01 +0,35% -40,92% 12/09/19
LGQ550.CF Kawartha Energy Opportunities Fund Series B 5,42 +0,05 +0,89% -39,95% 12/09/19
LGQ555.CF Kawartha Energy Opportunities Fund Series F 5,71 +0,05 +0,90% -39,80% 12/09/19
MAT802.CF Matco Small Cap Fund - O 9,81 +0,05 +0,48% -38,48% 13/09/19
NBC1609.CF Nbc Canadian Blue Chip III Deposit Notes S30 - D 100,00 +1,00 +1,01% -38,09% 06/09/19
LGQ600.CF Kawartha High Conviction Resource Fund Series B 8,50 +0,04 +0,51% -37,32% 12/09/19
MAT801.CF Matco Small Cap Fund - F 9,80 +0,05 +0,48% -37,28% 13/09/19
LGQ601.CF Kawartha High Conviction Resource Fund Series F 8,99 +0,05 +0,53% -36,95% 12/09/19
JHN9280.CF BMO Oil & Gas Step-Down Autocallable Parn S311F- 56,28 +0,42 +0,75% -33,71% 13/09/19
JHN9247.CF BMO Oil & Gas Step-Down Autocallable Parn S289F- 53,64 +0,38 +0,71% -32,98% 13/09/19
JHN9279.CF BMO Oil & Gas Step-Down Autocallable Parn S310-D 56,19 +0,41 +0,74% -32,15% 13/09/19
JHN9246.CF BMO Oil & Gas Step-Down Autocallable Parn S288-D 53,61 +0,38 +0,70% -31,57% 13/09/19
CHO400.CF Chou Bond Fund Series A - FE 6,10 +0,02 +0,28% -30,28% 13/09/19
CHO408.CF Chou Bond Fund Series A U$ - FE 4,59 -0,01 -0,21% -30,22% 13/09/19
CHO404.CF Chou Bond Fund Series F - NL 6,21 +0,02 +0,28% -30,21% 13/09/19
CHO412.CF Chou Bond Fund Series F U$ - NL 4,68 -0,01 -0,21% -30,14% 13/09/19
JHN9356.CF BMO Oil & Gas Step-Down Autocallable Parn S361-D 60,94 +0,49 +0,81% -29,82% 13/09/19
NBC3310.CF Nbc Auto Callable Ns Amer Energy Sec F01/02/20 - 56,88 +0,69 +1,23% -29,63% 13/09/19
NBC1947.CF Nbc Auto Cal Cont Roc Ns CDN Engy Sec F 081919 - 62,35 +1,00 +1,63% -29,36% 19/08/19
NBC3313.CF Nbc Auto Callable Ns American Engy Sec 011020 -D 57,47 +0,67 +1,18% -28,70% 13/09/19
MAT800.CF Matco Small Cap Fund - A 9,79 +0,05 +0,48% -27,96% 13/09/19
NBC1608.CF Nbc Canadian Blue Chip III Deposit Notes S29 - D 100,00 +1,00 +1,01% -26,63% 05/07/19
RCP301.CF Roundtable Growth Fund Class B 7,71 -0,65 -7,76% -26,44% 30/08/19
RCP311.CF Roundtable Growth Fund Class F 9,22 -0,77 -7,68% -26,04% 30/08/19
PFC4200.CF Marijuana Opportunities Fund Series A 23,74 +0,25 +1,05% -25,98% 13/09/19
VRT303.CF Vertex Fund Class B - DSC 4,94 -0,39 -7,31% -25,75% 30/08/19
VRT302.CF Vertex Fund Class B - FE 4,94 -0,39 -7,31% -25,75% 30/08/19
PFC4201.CF Marijuana Opportunities Fund Series F 24,27 +0,25 +1,05% -25,54% 13/09/19
WOF443.CF Growthworks Atlantic Balanced - DSC 1,75 -0,31 -15,05% -25,53% 30/08/19
VRT301.CF Vertex Fund Class F - NL 33,25 -2,60 -7,26% -25,37% 30/08/19
VRT300.CF Vertex Fund Class A. - FE 35,02 -2,73 -7,22% -25,34% 30/08/19
VRT602.CF Vertex Value Fund Class B - LL 13,54 +0,17 +1,30% -24,55% 13/09/19
VRT600.CF Vertex Value Fund Class B - FE 13,54 +0,17 +1,30% -24,55% 13/09/19
VRT601.CF Vertex Value Fund Class F-Nl 14,18 +0,18 +1,31% -24,14% 13/09/19
VRT103.CF Vertex Managed Value Portfolio Class B - DSC 5,27 -0,54 -9,23% -23,22% 30/08/19
VRT102.CF Vertex Managed Value Portfolio Class B - FE 5,27 -0,54 -9,23% -23,22% 30/08/19
MID127.CF Middlefield Global Energy Class Series A - LL 5,23 +0,02 +0,35% -23,06% 13/09/19
MID125.CF Middlefield Global Energy Class Series A - FE 5,23 +0,02 +0,35% -23,06% 13/09/19
MID130.CF Middlefield Global Energy Class Series A - DSC 5,23 +0,02 +0,35% -23,06% 13/09/19
VRT101.CF Vertex Managed Value Portfolio Class F - NL 14,61 -1,48 -9,17% -22,87% 30/08/19
VRT100.CF Vertex Managed Value Portfolio - FE 13,99 -1,41 -9,15% -22,86% 30/08/19
Displaying Top 50 Results