Canada dividend stocks

Showing 501–600 of 1152 stocks (page 6 of 12).

Stock Market Cap P/E Ratio Dividend Yield
GCG-A.TO Guardian Capital Group Limited 1.2 billion 9.01 2.32%
TIXT TELUS International (Cda) Inc. 1.2 billion - 0.00%
HCG.TO Home Capital Group Inc. 1.2 billion 9.88 1.36%
UNC.TO United Corporations Limited 1.2 billion 4.68 1.69%
CSIQ Canadian Solar Inc. 1.2 billion - 0.00%
MEQ.TO Mainstreet Equity Corp. 1.2 billion 5.78 0.11%
CFP.TO Canfor Corporation 1.1 billion - 0.00%
LAC Lithium Americas Corp. 1.1 billion - 0.00%
CFPZF Canfor Corporation 1.1 billion - 0.00%
WTSHF Westshore Terminals Investment Corporation 1.1 billion 16.23 5.63%
BITF Bitfarms Ltd. 1.1 billion - 0.00%
BITF.TO Bitfarms Ltd. 1.1 billion - 0.00%
MUX McEwen Mining Inc. 1.1 billion 20.53 0.00%
NAK Northern Dynasty Minerals Ltd. 1.1 billion - 0.00%
SFTC.TO SOFTCHOICE CORPORATION 1.1 billion 25.97 1.55%
SPB.TO Superior Plus Corp. 1.1 billion 19.43 2.73%
NWH-UN.TO NorthWest Healthcare Properties Real Estate Investment Trust 1.1 billion 29.40 6.12%
GATO Gatos Silver, Inc. 1.0 billion 31.83 0.00%
LAS-A.TO Lassonde Industries Inc. 1.0 billion 8.94 0.00%
JWEL.TO Jamieson Wellness Inc. 1.0 billion 19.90 0.06%
CRON Cronos Group Inc. 1.0 billion 0 0.00%
CRON.TO Cronos Group Inc. 1.0 billion 0 0.00%
BADFF Badger Infrastructure Solutions Ltd. 1.0 billion 26.17 1.80%
HIVE HIVE Digital Technologies Ltd. 1.0 billion - 0.00%
TCW.TO Trican Well Service Ltd. 1.0 billion 11.68 3.16%
UCPLF United Corporations Limited 995.9 million 5.27 1.48%
MTL.TO Mullen Group Ltd. 989.0 million 8.15 5.14%
ASM Avino Silver & Gold Mines Ltd. 981.4 million 31.55 0.00%
ODV.V Osisko Development Corp. 972.7 million - 0.00%
GOOS Canada Goose Holdings Inc. 963.3 million 55.06 0.00%
NEO.TO Neo Performance Materials Inc. 963.0 million - 0.00%
EVT.TO Economic Investment Trust Limited 960.7 million 0.48 0.36%
NWHUF Vital Infrastructure Property Trust 957.5 million - 6.82%
DNDEF Dundee Corporation 954.2 million - 6.56%
AOI.ST Africa Oil Corp. 951.4 million - 10.92%
NOPMF Neo Performance Materials Inc. 924.1 million - 1.31%
CF.TO Canaccord Genuity Group Inc. 917.6 million -5.87 2.66%
0QZP.L Bombardier Inc. 914.6 million - -
AOI.TO Africa Oil Corp. 907.2 million - 11.00%
FIE.TO iShares Canadian Financial Monthly Income ETF 905.5 million 14.45 4.85%
APYRF Allied Properties Real Estate Investment Trust 904.6 million - 7.36%
JWLLF Jamieson Wellness Inc. 900.9 million 20.14 3.37%
CADNF Cascades Inc. 899.1 million -26.26 3.98%
CAS.TO Cascades Inc. 890.5 million 61.55 3.96%
PSYTF Pason Systems Inc. 890.4 million 9.84 3.45%
VGOV.L Vanguard U.K. Gilt UCITS ETF (GBP) Distributing 884.5 million - 4.58%
SISXF SAVARIA CORP 881.9 million 27.66 0.04%
MRC.TO Morguard Corporation 877.3 million 5.44 0.70%
0QYM.L Fortuna Silver Mines Inc. 865.2 million 15.54 -
ET.TO Evertz Technologies Limited 862.3 million 19.74 0.00%
MLLGF Mullen Group Ltd. 862.3 million 7.54 5.81%
PSI.TO Pason Systems Inc. 854.3 million 22.65 3.80%
ZZZ.TO SLEEP COUNTRY CANADA HOLDINGS I 847.5 million 16.82 2.71%
GCAAF Guardian Capital Group Limited 841.3 million 20.25 2.96%
CJT.TO Cargojet Inc. 839.6 million 15.05 1.78%
MRCBF Morguard Corporation 836.2 million 10.66 0.59%
MAL.TO Magellan Aerospace Corporation 836.0 million 25.92 0.00%
MRG-UN.TO Morguard North American Residential Real Estate Investment Trust 832.4 million 10.30 4.54%
CR.TO CREW ENERGY INC 831.4 million 17.21 0.00%
RAY-A.TO Stingray Group Inc. 824.4 million 26.92 1.90%
OBE Obsidian Energy Ltd. 823.8 million 1300 0.00%
SCL.TO Shawcor Ltd. 822.7 million 552.33 1.31%
ARREF Amerigo Resources Ltd. 813.8 million 19.05 5.22%
CTS.TO CONVERGE TECHNOLOGY SOLUTIONS C 812.5 million -6.70 1.10%
BDI.TO Black Diamond Group Limited 810.5 million 29.05 0.00%
DFN.TO Dividend 15 Split Corp. 809.6 million 3.30 15.60%
CTSDF CONVERGE TECHNOLOGY SOLUTIONS C 808.7 million -6.81 0.00%
MRETF Martinrea International Inc. 807.1 million 5.60 1.62%
DVSPF Dividend 15 Split Corp. 801.9 million 2.92 14.74%
0VHI.L SILVERCREST METALS INC SILVERCR 793.8 million -45.09 0.00%
CF-PC.TO Canaccord Genuity Group Inc. 784.5 million 11.46 6.91%
NEWP New Pacific Metals Corp. 780.3 million - 0.00%
GRCGF Guardian Capital Group Limited 772.8 million 4.57 4.86%
0VOA.L Wesdome Gold Mines Ltd. 769.4 million 7.87 -
CDZ.TO iShares S&P/TSX Canadian Dividend Aristocrats Index ETF 769.3 million 17.34 3.28%
ARG.TO Amerigo Resources Ltd. 752.5 million 17.13 1.83%
CGI.TO Canadian General Investments, Limited 748.6 million 5.63 2.23%
ZPTAF Surge Energy Inc. 744.9 million 142.80 4.99%
GCG.TO GUARDIAN CAPITAL 734.3 million 9.94 3.63%
SRRTF Slate Grocery REIT 730.2 million 15.77 7.00%
AGGZF AG GROWTH INTERNATIONAL INC 725.5 million 19.22 1.15%
WELL.TO WELL Health Technologies Corp. 720.8 million 35.91 0.00%
ANDHF Andlauer Healthcare Group Inc. 718.5 million 21.15 0.74%
CVG.TO Clairvest Group Inc. 716.4 million 14.09 0.14%
AGF-B.TO AGF Management Limited 712.3 million 9.08 3.31%
SLI Standard Lithium Ltd. 708.6 million - 0.00%
MKP.TO MCAN Mortgage Corporation 701.7 million 14.80 6.72%
ENGH.TO Enghouse Systems Limited 700.6 million 13.37 6.58%
SGY.TO Surge Energy Inc. 698.6 million 139.43 5.36%
SGR-UN.TO Slate Grocery REIT 694.0 million 17.82 5.24%
EVTZF Evertz Technologies Limited 692.7 million 14.46 6.18%
TCLCF Transcontinental Inc. 690.3 million 9.43 7.91%
PBKOF Pollard Banknote Limited 679.3 million 27.83 0.51%
CGY.TO Calian Group Ltd. 679.0 million 29.02 0.00%
CWXZF Doman Building Materials Group Ltd. 664.4 million 11.27 5.36%
PDC.TO Invesco Canadian Dividend Index ETF 664.3 million 17.22 3.49%
TMQ.TO Trilogy Metals Inc. 662.0 million -14.92 0.00%
LWSCF Sienna Senior Living Inc. 661.1 million -47.68 8.63%
CCORF CANACCORD GENUITY GROUP INC 660.8 million -25.96 0.05%
PRL.TO Propel Holdings Inc. 660.6 million 12.84 2.55%