Tuesday, November 19, 2019

 


1-Month Worst Funds
Sym Name Last Change Percent 1-Month
Percent
Last Update
NBC1455.CFNbc Global Blue Chip II Deposit Notes S23 - DSC100.00-99.38-49.84%-49.42%09/06/19
NBC1609.CFNbc Canadian Blue Chip III Deposit Notes S30 - D100.00+1.00+1.01%-38.87%09/06/19
TML5098.CFFranklin Mutual European Fund Series Pf U$ Adm -4.42-2.79-38.71%-36.85%11/15/19
TML3840.CFFranklin Mutual European Fund Series Pf U$ - NL4.42-2.79-38.71%-36.85%11/15/19
TML3835.CFFranklin Mutual European Fund Series AU$4.83-2.00-29.28%-27.22%11/15/19
TML3836.CFFranklin Mutual European Fund Series AU$4.83-2.00-29.28%-27.22%11/15/19
TML3837.CFFranklin Mutual European Fund Series AU$4.83-2.00-29.28%-27.22%11/15/19
TML3838.CFFranklin Mutual European Fund Series F U$ - NL5.12-1.99-27.93%-25.77%11/15/19
TML5027.CFFranklin Mutual European Fund Series F U$ Adm -5.12-1.99-27.93%-25.77%11/15/19
NBC3273.CFNbc Auto Callable Ns CDN Gold Minin Com 100719-D100.00-35.00-25.93%-25.09%10/07/19
RCP301.CFRoundtable Growth Fund Class B5.96-1.03-14.79%-14.79%10/31/19
RCP311.CFRoundtable Growth Fund Class F7.15-1.23-14.71%-14.71%10/31/19
JOV827.CFProsperity U.S. Equity Class B14.91unchunch-14.18%09/06/19
JHN6957.CFBMO Canadian Pipelines Autocallable Parn S900F -100.00-14.00-12.28%-11.95%10/24/19
TML5360.CFFranklin Mutual European Fund Series PA U$ - DSC6.78-1.13-14.29%-11.76%11/15/19
TML5358.CFFranklin Mutual European Fund Series PA U$ - ISC6.78-1.13-14.29%-11.76%11/15/19
TML5359.CFFranklin Mutual European Fund Series PA U$ - LL6.78-1.13-14.29%-11.76%11/15/19
JHN6923.CFBMO Canadian Pipelines Basket Auca Parn S886F -100.00-13.42-11.83%-11.50%10/03/19
ANF010.CFAlphanorth Growth Fund Series A 010 - NL1.28-0.04-3.34%-11.27%11/18/19
ANF012.CFAlphanorth Growth Fund Series D1.43-0.05-3.32%-11.27%11/18/19
ANF011.CFAlphanorth Growth Fund Series F 011 - NL1.54-0.05-3.32%-11.18%11/18/19
JHN6916.CFBMO Canadian Pipelines Basket Auca Parn S884 - D100.00-14.30-12.51%-11.09%09/26/19
PTL970.CFPortland Value Plus Fund Series A - FE7.98-0.95-10.65%-10.65%10/31/19
PTL980.CFPortland Value Plus Fund Series F - NL7.52-0.89-10.57%-10.57%10/31/19
PFC4200.CFMarijuana Opportunities Fund Series A17.29-0.39-2.18%-10.09%11/18/19
PFC4201.CFMarijuana Opportunities Fund Series F17.72-0.39-2.17%-10.00%11/18/19
FHC701.CFFieldhouse Global Diversified Core Class M7.57-0.76-9.17%-9.17%10/31/19
ALC786.CFPrimevestfund - FE33.37-3.26-8.91%-8.91%10/31/19
JHN6948.CFBMO Canadian Pipelines Autocallable Parn S896 -D100.00-10.25-9.30%-8.81%10/17/19
NPP106.CFNinepoint Resource Class Series A - FE5.07-0.02-0.45%-8.70%11/18/19
NPP114.CFNinepoint Resource Class Series A - LL5.07-0.02-0.45%-8.70%11/18/19
NPP103.CFNinepoint Resource Class Series D5.51-0.02-0.45%-8.66%11/18/19
NPP107.CFNinepoint Resource Class Series F - NL5.42-0.02-0.44%-8.61%11/18/19
JHI097.CFBMO Am Market Neutral Global Equity Series I7.64-0.09-1.21%-8.28%11/08/19
TML3841.CFFranklin Mutual European Fund Series O U$ - NL6.49+0.04+0.60%-8.02%11/15/19
BMO83097.CFBMO Am Market Neutral Global Equity Series I7.62+0.03+0.34%-7.60%11/18/19
MAJ710.CFRivemont Crypto Fund Series A - NL2.57-0.14-5.28%-7.57%11/14/19
MAJ711.CFRivemont Crypto Fund Series F - NL2.69-0.15-5.28%-7.47%11/14/19
GGF99147.CFBMO Precious Metals Fund Advisor Series - FE25.46-0.23-0.91%-7.18%11/08/19
GGF98147.CFBMO Precious Metals Fund Advisor Series - LL25.46-0.23-0.91%-7.18%11/08/19
GGF70147.CFBMO Precious Metals Fund Series A - NL21.12-0.19-0.91%-7.18%11/08/19
GGF97147.CFBMO Precious Metals Fund Advisor Series - DSC25.46-0.23-0.91%-7.18%11/08/19
JHN6952.CFBMO Canadian Banks Autocallableplus Parn S34F -100.00-8.75-8.05%-7.13%10/24/19
GGF31147.CFBMO Precious Metals Fund Series D - NL12.26-0.11-0.91%-7.10%11/08/19
VRT302.CFVertex Fund Class B - FE4.62-0.35-7.09%-7.09%10/31/19
VRT303.CFVertex Fund Class B - DSC4.62-0.35-7.09%-7.09%10/31/19
GGF95147.CFBMO Precious Metals Fund Series F - NL17.20-0.16-0.91%-7.07%11/08/19
GGF68147.CFBMO Precious Metals Fund Series Fb17.20-0.16-0.91%-7.07%11/08/19
VRT301.CFVertex Fund Class F - NL31.14-2.35-7.00%-7.00%10/31/19
VRT300.CFVertex Fund Class A. - FE32.79-2.47-7.00%-7.00%10/31/19
Displaying 1 - 50 of 200
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