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PIMCO Investment Grade Credit Fund (Canada) Series ETF (IGCF.TO)

Toronto - Toronto Real-time price. Currency in CAD
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15.85-0.23 (-1.43%)
As of 09:30AM EDT. Market open.
Time period:
02 May 2023 - 02 May 2024
Show:
Historical prices
Frequency:
Daily
Currency in CADDownload
DateOpenHighLowClose*Adj. close**Volume
01 May 202415.9315.9315.9315.9315.93-
30 Apr 202416.0616.0616.0616.0616.06-
29 Apr 202416.0116.0116.0116.0116.01-
26 Apr 202415.8515.8515.8515.8515.85700
25 Apr 202415.9715.9715.9715.9715.97-
24 Apr 202416.0616.0616.0616.0616.06-
23 Apr 202416.0016.0016.0016.0016.00-
22 Apr 202416.0716.0716.0716.0716.07-
22 Apr 20240.061 Dividend
19 Apr 202415.9815.9815.9815.9815.92-
18 Apr 202415.9115.9115.9115.9115.854,400
17 Apr 202416.0016.0016.0016.0015.94-
16 Apr 202415.9615.9615.9615.9615.90-
15 Apr 202416.2616.2616.2616.2616.20-
12 Apr 202416.1916.1916.1916.1916.13-
11 Apr 202416.1916.1916.1916.1916.13-
10 Apr 202416.0916.0916.0916.0916.03500
09 Apr 202416.2216.2216.2216.2216.16-
08 Apr 202416.2616.2616.2616.2616.20-
05 Apr 202416.4016.4016.4016.4016.34-
04 Apr 202416.3616.3616.3616.3616.30-
03 Apr 202416.3116.3116.3116.3116.25-
02 Apr 202416.2416.2416.2416.2416.18-
01 Apr 202416.2416.2416.2416.2416.18-
28 Mar 202416.4716.4716.4716.4716.41-
27 Mar 202416.4116.4116.4116.4116.35-
26 Mar 202416.3516.3516.3516.3516.29-
25 Mar 202416.3316.3316.3316.3316.275,200
22 Mar 202416.3316.3316.3316.3316.27-
21 Mar 202416.4116.4116.4116.4116.35-
20 Mar 202416.4116.4116.4116.4116.35-
20 Mar 20240.051 Dividend
19 Mar 202416.3616.3616.3616.3616.252,500
18 Mar 202416.3016.3016.3016.3016.19-
15 Mar 202416.2816.2816.2816.2816.17-
14 Mar 202416.4216.4216.4216.4216.31-
13 Mar 202416.4216.4216.4216.4216.31-
12 Mar 202416.4916.4916.4916.4916.38-
11 Mar 202416.5216.5216.5216.5216.41-
08 Mar 202416.5116.5116.5116.5116.40-
07 Mar 202416.4816.4816.4816.4816.37-
06 Mar 202416.4616.4616.4616.4616.35-
05 Mar 202416.3116.3116.3116.3116.20-
04 Mar 202416.3316.3316.3316.3316.22-
01 Mar 202416.3416.3416.3416.3416.23-
29 Feb 202416.3216.3216.3216.3216.21-
28 Feb 202416.3116.3116.3116.3116.20-
27 Feb 202416.3316.3316.3316.3316.22-
26 Feb 202416.3316.3316.3316.3316.22100
23 Feb 202416.3916.3916.3916.3916.28-
22 Feb 202416.2416.2416.2416.2416.13-
21 Feb 202416.2916.2916.2916.2916.18800
21 Feb 20240.053 Dividend
20 Feb 202416.3816.3816.3816.3816.21-
16 Feb 202416.3716.3716.3716.3716.20-
15 Feb 202416.3616.3616.3616.3616.19-
14 Feb 202416.3616.3616.3616.3616.19-
13 Feb 202416.4316.4316.4316.4316.26-
12 Feb 202416.4316.4316.4316.4316.26-
09 Feb 202416.4016.4016.4016.4016.23700
08 Feb 202416.4616.4616.4616.4616.29-
07 Feb 202416.5316.5316.5316.5316.36-
06 Feb 202416.3316.3316.3316.3316.16-
05 Feb 202416.4116.4116.4116.4116.24-
02 Feb 202416.7416.7416.7416.7416.57-
01 Feb 202416.6316.6316.6316.6316.46-
31 Jan 202416.6516.6516.6516.6516.48500
30 Jan 202416.4816.4816.4816.4816.31100
29 Jan 202416.3816.3816.3816.3816.21-
26 Jan 202416.4316.4316.4316.4316.26-
25 Jan 202416.3116.3116.3116.3116.14-
24 Jan 202416.3316.3316.3316.3316.16100
23 Jan 202416.4816.4816.4816.4816.31-
23 Jan 20240.038 Dividend
22 Jan 202416.3816.3816.3816.3816.18-
19 Jan 202416.3916.3916.3916.3916.19-
18 Jan 202416.3516.3516.3516.3516.15-
17 Jan 202416.3916.3916.3916.3916.19-
16 Jan 202416.6016.6016.6016.6016.39-
15 Jan 202416.6016.6016.6016.6016.39-
12 Jan 202416.5916.5916.5916.5916.38-
11 Jan 202416.5116.5116.5116.5116.30200
10 Jan 202416.4616.4616.4616.4616.26-
09 Jan 202416.4916.4916.4916.4916.28-
08 Jan 202416.3816.3816.3816.3816.18-
05 Jan 202416.4116.4116.4116.4116.21100
04 Jan 202416.5716.5716.5716.5716.36-
03 Jan 202416.4816.4816.4816.4816.28300
02 Jan 202416.6116.6116.6116.6116.40-
29 Dec 202316.6016.6016.6016.6016.39-
28 Dec 202316.7316.7316.7316.7316.52-
27 Dec 202316.5116.5116.5116.5116.30-
22 Dec 202316.6016.6016.5116.5116.302,200
22 Dec 20230.076 Dividend
21 Dec 202316.6916.6916.6916.6916.41-
20 Dec 202316.6416.6416.6416.6416.36-
19 Dec 202316.6016.6016.6016.6016.32-
18 Dec 202316.6016.6016.6016.6016.32-
15 Dec 202316.6016.6016.6016.6016.321,000
14 Dec 202316.6016.6016.6016.6016.32-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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