Canadian mutual fund prices are not current since Dec. 21, 2018
Yahoo Finance does not currently update Canadian Mutual fund prices. Last prices shown are on Dec. 21, 2018.
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Anonymous commented
Sun Life Excel India Fund Series F (F0CAN062G1.TO) still needs to be added to your system.
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Anonymous commented
Sun Life Excel India Fund Series F still needs to be added to your system.
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Anonymous commented
Furthermore if you search for those funds by NAME
CI Signature High Income Fund. (Your symbol : CISIGNATURER.TO)
CI Harbour Fund (Your Symbol : CIHARBOUR.TO)
Excel India Fund (Your symbol : EXCELINDE.TO)The symbol lookup tool when used for those names finds funds which ARE NOT the authentic funds. Don't know how many other fund symbols are messed up....
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Anonymous commented
My observation in spite of the commenter of Feb 4 is that the current price DOES NOT display an accurate current value and is presumably locked at the 3:00 pm trade value of Dec. 20, 2018.
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Anonymous commented
I am not the original poster BUT ...
Some funds which have not updated since Dec. 20 are ....
CIHARBOUR.TO
CISIGNATURER.TO
EXCELINDE.TOPlease note that although EXCELINDE.TO ceased updating at the same date the fund itself no longer exists.
The fund Excel India Fund (Your symbol : EXCELINDE.TO) continued to be tracked up to Dec. 20 even though the fund no longer existed, having been converted on Aug 18, 2018 to Sun Life Excel India Fund which is also incorrectly directed using your lookup tool. There is no authentic symbol for Sun Life Excel India Fund in your system.
The problem with Sun Life Excel India Fund reporting will be specified in a separate entry.
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Dennis Roll commented
Still does not display correct portfolio values on iPhone 7. It is still using the prices for Dec. 21, 2018, although the charts display the current prices of the individual funds. The funds which do not update correctly are Mawer Tax Effective Balanced A and Mawer Balanced A as well as TD Managed Income I. I noticed also, when I go away from home, the portfolios are shown correctly.