Canada dividend stocks

Showing 701–800 of 1152 stocks (page 8 of 12).

Stock Market Cap P/E Ratio Dividend Yield
NOA North American Construction Group Ltd. 391.8 million 19.14 2.52%
JAGGF Jaguar Mining Inc. 390.0 million -30.48 0.00%
CMMC.TO Copper Mountain Mining Corporation 386.0 million 15.43 -
NFGC New Found Gold Corp. 382.4 million - 0.00%
TCL-B.TO Transcontinental Inc. 382.3 million 3.46 10.55%
AWRRF A&W Revenue Royalties Income Fu 381.7 million 17.80 5.42%
AW-UN.TO A&W REVENUE ROYALTIES INCOME FU 380.4 million 18.43 5.28%
KBL.TO K-Bro Linen Inc. 373.1 million 25.14 3.04%
BPZZF Boston Pizza Royalties Income Fund 371.7 million 10.72 8.18%
BPF-UN.TO Boston Pizza Royalties Income Fund 371.1 million 12.33 5.88%
ASTL.TO Algoma Steel Group Inc. 369.6 million - 2.89%
SNDL SNDL Inc. 369.4 million - 0.00%
MRD.TO Melcor Developments Ltd. 368.3 million 8.92 2.80%
TCYSF Tecsys Inc. 368.0 million 227.27 1.04%
PHXHF PHX Energy Services Corp. 365.7 million 10.53 7.19%
MND.TO Mandalay Resources Corporation 365.2 million 6.67 0.00%
FFN.TO North American Financial 15 Split Corp. 362.6 million 3.09 15.96%
PBL.TO Pollard Banknote Limited 361.8 million 17.99 1.09%
REAX The Real Brokerage Inc. 360.5 million - 0.00%
BK-PA.TO Canadian Banc Corp 360.3 million - 6.09%
ISV.TO INFORMATION SERVICES CORPORATIO 358.8 million 23.90 3.39%
VG1.AX VGI Partners Global Investments Limited 354.9 million -45.35 6.15%
PLZ-UN.TO Plaza Retail REIT 352.4 million 12.63 0.00%
AGFMF AGF Management Limited 351.3 million 5.38 5.92%
TRX TRX Gold Corporation 348.5 million - 0.00%
PRV-UN.TO Pro Real Estate Investment Trust 339.3 million 10.92 6.72%
AFN.TO Ag Growth International Inc. 337.4 million - 2.53%
HLF.TO High Liner Foods Incorporated 337.4 million 10.44 4.18%
HDIF.TO Harvest Diversified Monthly Income ETF 335.8 million 21.51 10.40%
TWMIF Tidewater Midstream and Infrastructure Ltd. 335.8 million -4.94 3.83%
AMIVF Atrium Mortgage Investment Corporation 332.7 million 8.69 8.71%
PZA.TO Pizza Pizza Royalty Corp. 331.8 million 14.77 6.67%
0UYN.L GoldMining Inc. 330.8 million 3.36 0.00%
IPO.TO InPlay Oil Corp. 322.4 million 324.20 9.44%
CLKXF TWC Enterprises Limited 313.4 million 18.67 1.20%
FC.TO Firm Capital Mortgage Investment Corporation 313.1 million 12.17 7.79%
TCS.TO Tecsys Inc. 309.7 million 74.03 1.16%
STGYF Stingray Group Inc. 309.5 million 10.16 7.12%
MRT-UN.TO Morguard Real Estate Investment Trust 308.5 million -26 3.69%
FUND Sprott Focus Trust, Inc. 308.4 million 22.52 5.57%
CBYDF Corby Spirit and Wine Limited 307.4 million 13.69 6.30%
NGEN.V NervGen Pharma Corp. 306.2 million -15.03 0.00%
PAZRF Plaza Retail REIT 306.0 million 9.81 8.08%
TCL-A.TO Transcontinental Inc. 302.6 million 2.74 14.33%
GBT.TO BMTC Group Inc. 301.3 million 14.67 2.73%
NMG Nouveau Monde Graphite Inc. 294.7 million - 0.00%
CSW-A.TO Corby Spirit and Wine Limited 292.9 million 13.98 6.46%
AIM-PA.TO AIMIA INC PREF SERIES 1 291.8 million -34.91 0.00%
CSW-B.TO Corby Spirit and Wine Limited 291.0 million 13.89 6.50%
GTE Gran Tierra Energy Inc. 291.0 million - 0.00%
HEOFF H2O Innovation Inc. 281.7 million 66 -
VNWTF Vecima Networks Inc. 281.2 million 15.03 1.76%
RCG-PB.TO RF Capital Group Inc. 281.0 million - 0.00%
0A18.L CGI Inc. 279.9 million 0.24 -
VOXR Vox Royalty Corp. 279.2 million 13.37 1.19%
TI.TO Titan Mining Corporation 277.1 million 22.32 0.00%
ENS.TO E Split Corp. 275.7 million 2.71 9.05%
DGS.TO Dividend Growth Split Corp. 275.1 million 2.77 15.44%
CRBBF Corby Spirit and Wine Limited 274.0 million 15.87 7.04%
FLT.V Volatus Aerospace Inc. 273.5 million -25 0.00%
PZRIF Pizza Pizza Royalty Corp. 272.0 million 15.35 6.54%
URB.TO Urbana Corporation 270.1 million 3.95 1.53%
IRMTF Information Services Corporation 269.3 million 15.64 4.57%
HLNFF High Liner Foods Incorporated 268.5 million 7.59 5.46%
KBRLF K-Bro Linen Inc. 266.5 million 26.75 3.53%
TGL.TO TransGlobe Energy Corporation 265.0 million 2.18 1.97%
HZNOF Dexterra Group Inc. 259.2 million 14.85 6.29%
FCMGF Firm Capital Mortgage Investment Corporation 258.7 million 10.42 9.20%
MODVF Melcor Developments Ltd. 257.2 million 4 5.51%
UBAAF Urbana Corporation 256.7 million 3.76 1.62%
MDPCF Madison Pacific Properties Inc. 251.7 million 5.89 1.58%
GRA.TO NanoXplore Inc. 250.2 million - 0.00%
MGRUF Morguard Real Estate Investment Trust 249.1 million 39.60 4.61%
BTB-UN.TO BTB Real Estate Investment Trust 247.8 million 15.72 7.63%
DND.TO Dye & Durham Limited 244.3 million -3.05 0.37%
VFF Village Farms International, Inc. 238.9 million 11.86 0.00%
BTBIF BTB Real Estate Investment Trust 238.7 million 8.83 8.07%
RPKIF RICHARDS PACKAGING INCOME FUND 238.3 million 9.50 4.42%
RPI-UN.TO Richards Packaging Income Fund 238.2 million 15.93 4.34%
ALV.V Alvopetro Energy Ltd. 235.1 million 9.96 4.80%
SBC.TO Brompton Split Banc Corp. 232.8 million 3.37 8.52%
VCM.TO Vecima Networks Inc. 232.4 million - 0.00%
TBG TBG Dividend Focus ETF 230.3 million 18.76 2.67%
CMG.TO Computer Modelling Group Ltd. 230.2 million 20.10 1.99%
ALVOF Alvopetro Energy Ltd. 229.9 million 11.58 6.71%
ACAZF Acadian Timber Corp. 229.4 million 6.46 6.77%
ADN.TO Acadian Timber Corp. 228.6 million 6.47 6.76%
DRETF Dream Office Real Estate Invest 227.1 million - 5.41%
DR.TO Medical Facilities Corporation 222.1 million 15.94 1.51%
QQCL.TO Global X Enhanced NASDAQ-100 Covered Call ETF 221.8 million 32.40 15.03%
DRX.TO ADF Group Inc. 218.5 million 11.27 0.35%
PLG Platinum Group Metals Ltd. 216.2 million - 0.00%
MOZ.TO Marathon Gold Corporation 212.8 million -18.50 -
DRR-U.TO Dream Residential Real Estate Investment Trust 211.1 million -3.67 3.92%
CMDXF Computer Modelling Group Ltd. 209.8 million 18.80 1.08%
OLY.TO Olympia Financial Group Inc. 208.5 million 13.58 5.94%
XTC.TO Exco Technologies Limited 208.4 million 12.22 0.00%
MFG.V Mayfair Gold Corp. 204.8 million -31.62 0.00%
RBY.TO Rubellite Energy Inc. 204.6 million 5.10 0.00%
DDWWF Dividend Growth Split Corp. 204.4 million -2.89 21.11%