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Monthly What's Not

United States|Canada
English|French

Monthly Trending Down by Volatility

Sym Name Standard Deviation High Last Change Percent Last Update
AGF923.CF AGF Short-Term Income Class Mutual Fund Ser - DS -6.12 14.17 14.17 +0.00 unch 12/10/19
AGF272.CF AGF Short-Term Income Class Mutual Fund Ser - LL -6.12 14.17 14.17 +0.00 unch 12/10/19
AGF223.CF AGF Short-Term Income Class Mutual Fund Ser - FE -6.12 14.17 14.17 +0.00 unch 12/10/19
NBC1756.CF Nbc Fixed Roc Ns Ish S&P/Tsx 60 Idx F 11/29/19 - -4.53 79.50 79.50 +1.00 +1.27% 11/29/19
TML5098.CF Franklin Mutual European Fund Series Pf U$ Adm - -4.29 4.42 4.42 -2.79 -38.71% 11/15/19
TML3840.CF Franklin Mutual European Fund Series Pf U$ - NL -4.29 4.42 4.42 -2.79 -38.71% 11/15/19
TML3837.CF Franklin Mutual European Fund Series AU$ -4.01 4.83 4.83 -2.00 -29.28% 11/15/19
TML3835.CF Franklin Mutual European Fund Series AU$ -4.01 4.83 4.83 -2.00 -29.28% 11/15/19
TML3836.CF Franklin Mutual European Fund Series AU$ -4.01 4.83 4.83 -2.00 -29.28% 11/15/19
TML5027.CF Franklin Mutual European Fund Series F U$ Adm - -3.94 5.12 5.12 -1.99 -27.93% 11/15/19
TML3838.CF Franklin Mutual European Fund Series F U$ - NL -3.94 5.12 5.12 -1.99 -27.93% 11/15/19
NBC2706.CF Nbc Bonus Twostep Ns Euro Stoxx 50 Ix 11/29/19-D -3.73 100.00 100.00 +1.00 +1.01% 11/29/19
NBC2902.CF Nbc Euro Mkt Gic SL 2015-2 -3.16 100.00 100.00 unch unch 12/10/19
NBC2912.CF Nbc Euro Mkt Series Sl-12 051021 -3.16 100.00 100.00 unch unch 12/10/19
NBC3273.CF Nbc Auto Callable Ns CDN Gold Minin Com 100719-D -3.11 100.00 100.00 -35.00 -25.93% 10/07/19
SPA271.CF Mmcap Canadian Fund Class A U$ -2.60 21.52 21.52 -1.44 -6.25% 10/31/19
SPA261.CF Mmcap Canadian Fund Class A -2.58 21.50 21.50 -1.42 -6.21% 10/31/19
SPA273.CF Mmcap Canadian Fund Class F U$ -2.56 22.48 22.48 -1.48 -6.17% 10/31/19
SPA265.CF Mmcap Canadian Fund Class I -2.56 21.88 21.88 -1.44 -6.17% 10/31/19
SPA263.CF Mmcap Canadian Fund Class F -2.54 22.38 22.38 -1.46 -6.13% 10/31/19
TML3310.CF Franklin Bissett CDN All Cap Balanced Fund T - F -2.31 9.98 9.98 -0.00 -0.02% 11/22/19
TML3304.CF Franklin Bissett Canadian All Cap Balanced Fd A- -2.31 12.67 12.67 -0.00 -0.02% 11/22/19
TML3305.CF Franklin Bissett Canadian All Cap Balanced Fd A- -2.31 12.67 12.67 -0.00 -0.02% 11/22/19
TML3311.CF Franklin Bissett CDN All Cap Balanced Fund T - L -2.31 9.98 9.98 -0.00 -0.02% 11/22/19
TML3306.CF Franklin Bissett Canadian All Cap Balanced Fd A- -2.31 12.67 12.67 -0.00 -0.02% 11/22/19
TML3312.CF Franklin Bissett CDN All Cap Balanced Fund T - D -2.31 9.98 9.98 -0.00 -0.02% 11/22/19
TML3308.CF Franklin Bissett Canadian All Cap Balanced Fd I- -2.29 13.58 13.58 -0.00 -0.02% 11/22/19
TML3307.CF Franklin Bissett Canadian All Cap Balanced Fd F- -2.27 14.28 14.28 -0.00 -0.02% 11/22/19
TML3883.CF Franklin Bissett CDN All Cap Balanced Fund Pf - -2.27 9.82 9.82 -0.00 -0.02% 11/22/19
TML3309.CF Franklin Bissett Canadian All Cap Balanced Fd O- -2.24 16.31 16.31 -0.00 -0.02% 11/22/19
TML3841.CF Franklin Mutual European Fund Series O U$ - NL -2.10 6.49 6.49 +0.04 +0.60% 11/15/19
JHI097.CF BMO Am Market Neutral Global Equity Series I -1.75 7.64 7.64 -0.09 -1.21% 11/08/19
GOC15051.CF Canoe Energy Alpha Fund LP Class A - FE -1.71 17.46 17.46 -0.87 -4.76% 10/31/19
INA4511.CF iA Real Return Bond Ecoflex - Charge Back -1.56 9.14 9.14 -0.03 -0.29% 10/25/19
INA4510.CF iA Real Return Bond Ecoflex - DSC -1.56 9.14 9.14 -0.03 -0.29% 10/25/19
INA4512.CF iA Real Return Bond Ecoflex - NL -1.56 9.14 9.14 -0.03 -0.29% 10/25/19
INA34515.CF iA Real Return Bond SRP 75/100-Fe -1.55 9.28 9.28 -0.03 -0.29% 10/25/19
INA54510.CF iA Real Return Bond SRP Other - DSC -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA54513.CF iA Real Return Bond SRP Other - Cb5 -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA74515.CF iA Real Return Bond SRP Other - FE -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA54511.CF iA Real Return Bond SRP Other - NL -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA34511.CF iA Real Return Bond SRP 75/100 -1.55 9.28 9.28 -0.03 -0.29% 10/25/19
INA34513.CF iA Real Return Bond SRP 75/100-Cb5 -1.55 9.28 9.28 -0.03 -0.29% 10/25/19
INA74513.CF iA Real Return Bond SRP Other - Cb5 -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA54515.CF iA Real Return Bond SRP Other - FE -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA74511.CF iA Real Return Bond SRP Other - NL -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA64515.CF iA Real Return Bond SRP Other - FE -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA34510.CF iA Real Return Bond SRP 75/100-DSC -1.55 9.28 9.28 -0.03 -0.29% 10/25/19
INA64511.CF iA Real Return Bond SRP Other - NL -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
INA64510.CF iA Real Return Bond SRP Other - DSC -1.55 9.26 9.26 -0.03 -0.29% 10/25/19
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