Toronto - Delayed Quote CAD

MINT Income Fund (MID-UN.TO)

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7.30 -0.12 (-1.62%)
At close: October 31 at 3:43 PM EDT
Currency in CAD
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Date Open High Low Close
Adj Close
Volume
Oct 31, 2024 7.44 7.44 7.30 7.30 7.30 2,100
Oct 31, 2024 0.04 Dividend
Oct 30, 2024 7.47 7.47 7.43 7.46 7.42 4,800
Oct 29, 2024 7.51 7.51 7.44 7.45 7.41 16,400
Oct 28, 2024 7.59 7.59 7.40 7.49 7.45 1,400
Oct 25, 2024 7.77 7.77 7.56 7.60 7.56 5,400
Oct 24, 2024 7.52 7.99 7.52 7.78 7.74 11,800
Oct 23, 2024 7.63 7.65 7.40 7.51 7.47 6,700
Oct 22, 2024 7.70 7.70 7.64 7.65 7.61 8,900
Oct 21, 2024 7.70 7.72 7.68 7.68 7.64 3,200
Oct 18, 2024 7.60 7.66 7.60 7.66 7.62 4,200
Oct 17, 2024 7.59 7.59 7.59 7.59 7.55 1,900
Oct 16, 2024 7.50 7.63 7.50 7.63 7.59 17,300
Oct 15, 2024 7.58 7.59 7.50 7.50 7.46 7,000
Oct 11, 2024 7.78 7.78 7.50 7.59 7.55 5,200
Oct 10, 2024 7.47 7.57 7.47 7.57 7.53 6,200
Oct 9, 2024 7.49 7.50 7.46 7.46 7.42 10,800
Oct 8, 2024 7.50 7.50 7.46 7.46 7.42 23,400
Oct 7, 2024 7.51 7.51 7.51 7.51 7.47 500
Oct 4, 2024 7.46 7.49 7.46 7.49 7.45 2,500
Oct 3, 2024 7.55 7.56 7.45 7.46 7.42 9,200
Oct 2, 2024 7.55 7.55 7.53 7.54 7.50 4,300
Oct 1, 2024 7.55 7.55 7.55 7.55 7.51 3,400
Sep 30, 2024 7.60 7.60 7.54 7.54 7.50 300
Sep 27, 2024 0.04 Dividend
Sep 27, 2024 7.70 7.70 7.60 7.60 7.56 500
Sep 26, 2024 7.54 7.73 7.54 7.65 7.57 7,400
Sep 25, 2024 7.46 7.50 7.46 7.50 7.42 4,900
Sep 24, 2024 7.46 7.47 7.46 7.46 7.38 7,700
Sep 23, 2024 7.58 7.60 7.46 7.50 7.42 7,600
Sep 20, 2024 7.40 7.40 7.40 7.40 7.32 9,600
Sep 19, 2024 7.34 7.40 7.34 7.38 7.30 11,100
Sep 18, 2024 7.30 7.30 7.30 7.30 7.22 1,800
Sep 17, 2024 7.33 7.35 7.33 7.35 7.27 2,700
Sep 16, 2024 7.20 7.34 7.20 7.30 7.22 31,300
Sep 13, 2024 7.14 7.20 7.14 7.20 7.12 26,800
Sep 12, 2024 7.25 7.25 7.05 7.08 7.01 10,700
Sep 11, 2024 6.91 6.95 6.91 6.95 6.88 2,000
Sep 10, 2024 7.07 7.07 6.90 6.91 6.84 28,200
Sep 9, 2024 7.05 7.06 7.02 7.02 6.95 3,400
Sep 6, 2024 7.06 7.06 7.04 7.05 6.98 2,300
Sep 5, 2024 7.06 7.09 7.06 7.06 6.99 4,200
Sep 4, 2024 7.10 7.10 7.09 7.09 7.02 7,100
Sep 3, 2024 7.14 7.14 7.09 7.10 7.03 1,900
Aug 30, 2024 0.04 Dividend
Aug 30, 2024 7.19 7.19 7.13 7.18 7.10 4,300
Aug 29, 2024 7.18 7.20 7.16 7.20 7.08 7,000
Aug 28, 2024 7.23 7.23 7.19 7.19 7.07 300
Aug 27, 2024 7.23 7.23 7.23 7.23 7.11 2,100
Aug 26, 2024 7.23 7.30 7.23 7.25 7.13 1,400
Aug 23, 2024 7.18 7.18 7.18 7.18 7.06 800
Aug 22, 2024 7.19 7.19 7.12 7.14 7.03 6,000
Aug 21, 2024 7.17 7.17 7.17 7.17 7.05 300
Aug 20, 2024 7.18 7.20 7.13 7.13 7.02 17,000
Aug 19, 2024 7.13 7.13 7.07 7.13 7.02 6,300
Aug 16, 2024 7.18 7.18 7.18 7.18 7.06 8,800
Aug 15, 2024 7.08 7.18 7.08 7.18 7.06 9,200
Aug 14, 2024 7.06 7.12 7.06 7.12 7.01 2,700
Aug 13, 2024 7.00 7.06 7.00 7.06 6.95 2,600
Aug 12, 2024 7.00 7.00 6.99 7.00 6.89 3,700
Aug 9, 2024 7.07 7.13 7.00 7.00 6.89 2,800
Aug 8, 2024 7.13 7.13 7.01 7.04 6.93 2,000
Aug 7, 2024 7.10 7.12 7.10 7.12 7.01 8,400
Aug 6, 2024 7.06 7.11 7.01 7.08 6.97 6,400
Aug 2, 2024 7.19 7.19 7.10 7.10 6.99 23,400
Aug 1, 2024 7.24 7.25 7.18 7.21 7.09 29,800
Jul 31, 2024 0.04 Dividend
Jul 31, 2024 7.18 7.24 7.18 7.24 7.12 3,800
Jul 30, 2024 7.18 7.18 7.15 7.17 7.02 2,400
Jul 29, 2024 7.08 7.17 7.08 7.16 7.01 4,200
Jul 26, 2024 7.04 7.06 7.04 7.06 6.91 12,000
Jul 25, 2024 7.01 7.01 7.01 7.01 6.86 7,400
Jul 24, 2024 7.04 7.04 7.04 7.04 6.89 6,300
Jul 23, 2024 7.01 7.06 7.01 7.04 6.89 10,200
Jul 22, 2024 7.14 7.14 6.76 7.05 6.90 24,400
Jul 19, 2024 7.17 7.17 7.16 7.16 7.01 29,300
Jul 18, 2024 7.25 7.25 7.15 7.15 7.00 35,700
Jul 17, 2024 7.09 7.22 7.09 7.22 7.06 39,100
Jul 16, 2024 7.15 7.15 7.15 7.15 7.00 10,900
Jul 15, 2024 7.10 7.11 7.10 7.11 6.96 8,800
Jul 12, 2024 7.07 7.10 7.07 7.07 6.92 29,000
Jul 11, 2024 6.97 6.97 6.95 6.95 6.80 1,800
Jul 10, 2024 6.93 6.96 6.93 6.95 6.80 22,600
Jul 9, 2024 6.94 6.94 6.93 6.93 6.78 3,000
Jul 8, 2024 6.93 6.93 6.90 6.93 6.78 16,600
Jul 5, 2024 6.90 6.93 6.90 6.93 6.78 2,100
Jul 4, 2024 6.83 6.90 6.83 6.90 6.75 1,900
Jul 3, 2024 6.80 6.90 6.79 6.90 6.75 8,400
Jul 2, 2024 6.82 6.82 6.80 6.80 6.65 400
Jun 28, 2024 0.04 Dividend
Jun 28, 2024 6.89 6.90 6.80 6.80 6.65 1,800
Jun 27, 2024 6.77 6.84 6.77 6.81 6.62 4,400
Jun 26, 2024 6.76 6.76 6.76 6.76 6.58 3,200
Jun 25, 2024 6.77 6.77 6.77 6.77 6.59 100
Jun 24, 2024 6.75 6.78 6.75 6.78 6.59 4,900
Jun 21, 2024 6.69 6.74 6.69 6.72 6.54 18,400
Jun 20, 2024 6.70 6.70 6.69 6.69 6.51 14,400
Jun 19, 2024 6.71 6.71 6.70 6.70 6.52 12,200
Jun 18, 2024 6.74 6.74 6.71 6.71 6.53 5,400
Jun 17, 2024 6.75 6.75 6.71 6.73 6.55 11,200
Jun 14, 2024 6.82 6.82 6.71 6.74 6.56 8,000
Jun 13, 2024 6.89 6.89 6.81 6.81 6.62 3,800
Jun 12, 2024 6.83 6.83 6.81 6.81 6.62 1,100
Jun 11, 2024 6.88 6.88 6.77 6.79 6.60 10,900
Jun 10, 2024 6.82 6.82 6.81 6.81 6.62 1,700
Jun 7, 2024 6.85 6.93 6.82 6.83 6.64 7,400
Jun 6, 2024 6.82 6.82 6.82 6.82 6.63 -
Jun 5, 2024 6.83 6.85 6.75 6.82 6.63 7,700
Jun 4, 2024 6.82 6.86 6.77 6.82 6.63 4,000
Jun 3, 2024 7.00 7.00 6.97 6.97 6.78 200
May 31, 2024 0.04 Dividend
May 31, 2024 7.06 7.06 6.99 6.99 6.80 1,300
May 30, 2024 7.03 7.12 7.03 7.08 6.85 11,600
May 29, 2024 7.00 7.00 7.00 7.00 6.77 1,200
May 28, 2024 7.00 7.02 6.98 7.02 6.79 1,700
May 27, 2024 7.04 7.04 6.98 7.01 6.78 5,100
May 24, 2024 7.04 7.04 7.02 7.03 6.80 1,000
May 23, 2024 7.05 7.05 7.04 7.04 6.81 8,200
May 22, 2024 7.05 7.07 7.05 7.05 6.82 6,300
May 21, 2024 7.00 7.07 7.00 7.05 6.82 22,600
May 17, 2024 7.02 7.02 7.00 7.02 6.79 300
May 16, 2024 7.01 7.01 6.99 6.99 6.76 34,400
May 15, 2024 6.93 7.04 6.93 7.04 6.81 85,300
May 14, 2024 6.86 6.94 6.86 6.90 6.67 25,800
May 13, 2024 6.88 6.94 6.85 6.85 6.63 19,100
May 10, 2024 6.85 6.86 6.85 6.85 6.63 13,000
May 9, 2024 6.76 6.85 6.76 6.85 6.63 9,300
May 8, 2024 6.80 6.82 6.80 6.81 6.59 500
May 7, 2024 6.83 6.83 6.77 6.80 6.58 11,100
May 6, 2024 6.82 6.84 6.80 6.83 6.61 9,500
May 3, 2024 6.86 6.86 6.76 6.80 6.58 3,400
May 2, 2024 6.86 6.87 6.76 6.83 6.61 3,000
May 1, 2024 6.88 6.90 6.86 6.86 6.64 4,200
Apr 30, 2024 6.96 6.96 6.92 6.92 6.69 500
Apr 29, 2024 0.04 Dividend
Apr 29, 2024 6.92 6.98 6.92 6.96 6.73 14,500
Apr 26, 2024 6.91 6.93 6.91 6.92 6.65 7,800
Apr 25, 2024 6.75 6.85 6.75 6.85 6.59 4,200
Apr 24, 2024 6.81 6.81 6.75 6.75 6.49 21,400
Apr 23, 2024 6.89 6.89 6.88 6.88 6.62 200
Apr 22, 2024 6.87 6.89 6.87 6.89 6.63 200
Apr 19, 2024 6.90 6.97 6.78 6.85 6.59 20,400
Apr 18, 2024 6.94 6.98 6.91 6.91 6.64 26,000
Apr 17, 2024 6.97 6.97 6.94 6.95 6.68 29,200
Apr 16, 2024 6.97 6.97 6.97 6.97 6.70 -
Apr 15, 2024 6.97 6.98 6.97 6.97 6.70 2,000
Apr 12, 2024 6.97 6.98 6.95 6.97 6.70 6,900
Apr 11, 2024 7.00 7.00 6.90 6.94 6.67 18,300
Apr 10, 2024 6.93 6.98 6.93 6.94 6.67 2,000
Apr 9, 2024 6.91 6.97 6.91 6.92 6.65 8,300
Apr 8, 2024 6.91 6.94 6.91 6.94 6.67 3,100
Apr 5, 2024 6.94 6.96 6.90 6.91 6.64 9,000
Apr 4, 2024 6.93 6.93 6.93 6.93 6.66 -
Apr 3, 2024 6.93 6.93 6.93 6.93 6.66 100
Apr 2, 2024 6.84 6.90 6.84 6.90 6.64 9,900
Apr 1, 2024 6.82 6.83 6.82 6.82 6.56 7,400
Mar 28, 2024 6.77 6.82 6.77 6.82 6.56 4,800
Mar 27, 2024 0.04 Dividend
Mar 27, 2024 6.77 6.78 6.76 6.77 6.51 9,800
Mar 26, 2024 6.74 6.79 6.74 6.79 6.49 4,700
Mar 25, 2024 6.74 6.74 6.72 6.72 6.42 200
Mar 22, 2024 6.70 6.74 6.70 6.71 6.41 16,100
Mar 21, 2024 6.62 6.69 6.62 6.68 6.39 14,600
Mar 20, 2024 6.69 6.70 6.62 6.66 6.37 29,500
Mar 19, 2024 6.65 6.68 6.65 6.66 6.37 18,500
Mar 18, 2024 6.57 6.65 6.57 6.65 6.36 5,700
Mar 15, 2024 6.61 6.61 6.57 6.57 6.28 1,100
Mar 14, 2024 6.55 6.58 6.54 6.57 6.28 12,700
Mar 13, 2024 6.59 6.59 6.54 6.55 6.26 10,000
Mar 12, 2024 6.55 6.55 6.53 6.53 6.24 1,500
Mar 11, 2024 6.55 6.56 6.53 6.55 6.26 5,700
Mar 8, 2024 6.53 6.53 6.53 6.53 6.24 3,800
Mar 7, 2024 6.50 6.51 6.49 6.51 6.22 2,900
Mar 6, 2024 6.52 6.52 6.49 6.49 6.20 11,000
Mar 5, 2024 6.45 6.50 6.45 6.49 6.20 13,500
Mar 4, 2024 6.45 6.45 6.45 6.45 6.17 10,400
Mar 1, 2024 6.47 6.47 6.47 6.47 6.19 500
Feb 29, 2024 6.45 6.46 6.45 6.45 6.17 11,300
Feb 28, 2024 0.04 Dividend
Feb 28, 2024 6.43 6.45 6.43 6.45 6.17 8,000
Feb 27, 2024 6.43 6.48 6.43 6.43 6.11 14,400
Feb 26, 2024 6.47 6.48 6.41 6.41 6.09 3,000
Feb 23, 2024 6.45 6.55 6.45 6.47 6.15 7,000
Feb 22, 2024 6.38 6.40 6.36 6.40 6.08 10,200
Feb 21, 2024 6.41 6.41 6.37 6.37 6.05 400
Feb 20, 2024 6.43 6.43 6.36 6.36 6.04 3,900
Feb 16, 2024 6.29 6.41 6.29 6.38 6.06 3,500
Feb 15, 2024 6.27 6.32 6.27 6.32 6.00 3,700
Feb 14, 2024 6.21 6.28 6.21 6.28 5.97 700
Feb 13, 2024 6.48 6.48 6.17 6.17 5.86 8,000
Feb 12, 2024 6.26 6.30 6.26 6.29 5.98 1,700
Feb 9, 2024 6.27 6.27 6.22 6.24 5.93 11,600
Feb 8, 2024 6.28 6.28 6.20 6.21 5.90 11,700
Feb 7, 2024 6.32 6.32 6.25 6.27 5.96 8,100
Feb 6, 2024 6.36 6.36 6.25 6.25 5.94 3,000
Feb 5, 2024 6.44 6.44 6.37 6.37 6.05 11,400
Feb 2, 2024 6.40 6.40 6.40 6.40 6.08 1,000
Feb 1, 2024 6.40 6.40 6.40 6.40 6.08 1,600
Jan 31, 2024 6.45 6.45 6.40 6.40 6.08 11,400
Jan 30, 2024 0.04 Dividend
Jan 30, 2024 6.44 6.44 6.40 6.40 6.08 10,200
Jan 29, 2024 6.42 6.48 6.41 6.46 6.10 6,000
Jan 26, 2024 6.39 6.45 6.39 6.45 6.09 4,700
Jan 25, 2024 6.35 6.38 6.31 6.36 6.00 2,700
Jan 24, 2024 6.40 6.40 6.35 6.35 6.00 3,100
Jan 23, 2024 6.36 6.40 6.36 6.38 6.02 1,200
Jan 22, 2024 6.42 6.46 6.42 6.44 6.08 500
Jan 19, 2024 6.39 6.46 6.39 6.46 6.10 7,500
Jan 18, 2024 6.41 6.41 6.30 6.39 6.03 14,700
Jan 17, 2024 6.46 6.50 6.46 6.46 6.10 22,000
Jan 16, 2024 6.46 6.49 6.46 6.46 6.10 6,100
Jan 15, 2024 6.46 6.47 6.46 6.47 6.11 4,300
Jan 12, 2024 6.42 6.46 6.42 6.46 6.10 4,200
Jan 11, 2024 6.49 6.49 6.40 6.46 6.10 12,200
Jan 10, 2024 6.43 6.43 6.42 6.43 6.07 3,900
Jan 9, 2024 6.46 6.46 6.45 6.45 6.09 2,800
Jan 8, 2024 6.37 6.44 6.37 6.44 6.08 19,100
Jan 5, 2024 6.31 6.37 6.31 6.36 6.00 12,600
Jan 4, 2024 6.39 6.40 6.31 6.31 5.96 4,200
Jan 3, 2024 6.37 6.37 6.37 6.37 6.01 11,300
Jan 2, 2024 6.35 6.39 6.35 6.35 6.00 800
Dec 29, 2023 6.32 6.33 6.32 6.33 5.98 1,000
Dec 28, 2023 0.04 Dividend
Dec 28, 2023 6.31 6.33 6.31 6.31 5.96 3,200
Dec 27, 2023 6.28 6.32 6.24 6.32 5.93 5,000
Dec 22, 2023 6.29 6.30 6.26 6.29 5.90 8,600
Dec 21, 2023 6.33 6.33 6.24 6.25 5.86 11,400
Dec 20, 2023 6.35 6.35 6.31 6.32 5.93 2,500
Dec 19, 2023 6.37 6.37 6.31 6.36 5.97 900
Dec 18, 2023 6.35 6.45 6.35 6.38 5.99 8,700
Dec 15, 2023 6.43 6.43 6.35 6.35 5.96 5,700
Dec 14, 2023 6.37 6.42 6.37 6.41 6.01 3,800
Dec 13, 2023 6.42 6.43 6.42 6.42 6.02 3,400
Dec 12, 2023 6.40 6.40 6.35 6.35 5.96 10,000
Dec 11, 2023 6.40 6.40 6.40 6.40 6.00 5,400
Dec 8, 2023 6.39 6.40 6.36 6.40 6.00 2,600
Dec 7, 2023 6.35 6.39 6.35 6.36 5.97 10,000
Dec 6, 2023 6.29 6.37 6.28 6.35 5.96 22,900
Dec 5, 2023 6.32 6.32 6.22 6.26 5.87 4,600
Dec 4, 2023 6.32 6.32 6.32 6.32 5.93 5,400
Dec 1, 2023 6.32 6.34 6.32 6.32 5.93 6,200
Nov 30, 2023 6.32 6.32 6.32 6.32 5.93 2,200
Nov 29, 2023 0.04 Dividend
Nov 29, 2023 6.28 6.32 6.28 6.32 5.93 16,000
Nov 28, 2023 6.28 6.28 6.27 6.27 5.84 1,400
Nov 27, 2023 6.12 6.27 6.12 6.27 5.84 7,100
Nov 24, 2023 6.29 6.32 6.29 6.30 5.87 600
Nov 23, 2023 6.27 6.31 6.25 6.29 5.86 6,700
Nov 22, 2023 6.34 6.34 6.16 6.25 5.83 5,400
Nov 21, 2023 6.34 6.42 6.26 6.28 5.85 3,800
Nov 20, 2023 6.43 6.43 6.24 6.36 5.93 4,600
Nov 17, 2023 6.38 6.42 6.37 6.39 5.96 1,700
Nov 16, 2023 6.36 6.46 6.28 6.46 6.02 3,100
Nov 15, 2023 6.39 6.39 6.35 6.35 5.92 300
Nov 14, 2023 6.44 6.44 6.30 6.38 5.95 4,600
Nov 13, 2023 6.46 6.46 6.33 6.33 5.90 5,000
Nov 10, 2023 6.44 6.44 6.44 6.44 6.00 200
Nov 9, 2023 6.46 6.46 6.42 6.42 5.98 3,500
Nov 8, 2023 6.46 6.47 6.46 6.46 6.02 21,500
Nov 7, 2023 6.46 6.46 6.46 6.46 6.02 6,100
Nov 6, 2023 6.46 6.46 6.46 6.46 6.02 -
Nov 3, 2023 6.68 6.68 6.46 6.46 6.02 4,300
Nov 2, 2023 6.32 6.44 6.32 6.44 6.00 1,800
Nov 1, 2023 6.27 6.28 6.27 6.28 5.85 5,200
Oct 31, 2023 6.28 6.28 6.28 6.28 5.85 100

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