• LAST PRICE
    15.2973
  • TODAY'S CHANGE (%)
    Trending Up0.0273 (0.1788%)
  • Bid / Lots
    14.7700/ 3
  • Ask / Lots
    15.5500/ 1
  • Open / Previous Close
    15.3000 / 15.2700
  • Day Range
    Low 15.2700
    High 15.3599
  • 52 Week Range
    Low 14.8596
    High 16.9000
  • Volume
    6,156
    below average

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  • Oct 3, 2024

  • Oct 1, 2024

      Show headlines and story abstract
    • 5:00PM ET on Tuesday Oct 01, 2024 by Dow Jones
      Companies Mentioned: OPP, RMI, RSF, RMM, RFM, RFMZ, RMMZ, RIV
      3. In accordance with its level distribution policy, RIV's annual distribution rate has been set equal to 12.50% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 4. In accordance with its level distribution policy, RSF's annual distribution rate has been set equal to 10.00% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 5. In accordance with its level distribution policy, OPP's annual distribution rate has been set equal to 12.50% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 6. Firm AUM reflects Managed Assets which includes the effects of leverage and investments in affiliated funds.
    • 5:00PM ET on Tuesday Oct 01, 2024 by Dow Jones
      Companies Mentioned: OPP, RMI, RSF, RMM, RFM, RFMZ, RMMZ, RIV
      3. In accordance with its level distribution policy, RIV's annual distribution rate has been set equal to 12.50% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 4. In accordance with its level distribution policy, RSF's annual distribution rate has been set equal to 10.00% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 5. In accordance with its level distribution policy, OPP's annual distribution rate has been set equal to 12.50% of the average of the Fund's NAV per common share reported on the final five trading days of the preceding calendar year. 6. Firm AUM reflects Managed Assets which includes the effects of leverage and investments in affiliated funds.

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