AGFIQ Hedged Dividend Income Fund
AGF Investments Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2021 → Mar 31, 2022

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
FIRST HORIZON CORP 0 2,211 2,211 2.58% $51.94K
PARAMOUNT GLOB-B 0 1,182 1,182 2.22% $44.69K
PACKAGING CORP OF AMERICA 0 267 267 2.07% $41.68K
BXP INC 0 312 312 1.99% $40.19K
KRAFT HEINZ CO/T 0 1,011 1,011 1.98% $39.82K
HESS MIDSTREAM LP - CLASS A COMMON STOCK 0 1,308 1,308 1.95% $39.24K
BLUE OWL CAPITAL CORP COMMON STOCK 0 2,547 2,547 1.87% $37.64K
THE CAMPBELL'S COMPANY 0 837 837 1.85% $37.31K
LUMEN TECHNOLOGIES INC 0 2,856 2,856 1.60% $32.19K
CONSTELLATION ENERGY CORP 0 208 208 0.58% $11.70K
BELLRING BRANDS INC 0 -102 -102 -0.12% -$2.35K
ROBLOX CORP - A 0 -87 -87 -0.20% -$4.02K
ROKU INC CLASS A 0 -39 -39 -0.24% -$4.89K
TRUPANION INC 0 -69 -69 -0.31% -$6.15K
SHERWIN WILLIAMS CO 0 -27 -27 -0.33% -$6.74K
COINBASE GLOBAL INC 0 -36 -36 -0.34% -$6.83K
FOCUS FINANCIAL PARTNERS INC CL A 0 -150 -150 -0.34% -$6.86K
ZILLOW GROUP INC CL C 0 -141 -141 -0.34% -$6.95K
MATCH GROUP INC 0 -66 -66 -0.36% -$7.18K
BALCHEM CORP 0 -54 -54 -0.37% -$7.38K
COCA COLA CONSOLIDATED INC 0 -15 -15 -0.37% -$7.45K
BLUE OWL CAPITAL INC A 0 -603 -603 -0.38% -$7.65K
COTY INC-CL A 0 -858 -858 -0.38% -$7.71K
ALBEMARLE CORP 0 -39 -39 -0.43% -$8.62K
VMWARE INC-CL A 0 -78 -78 -0.44% -$8.88K
SILVERGATE CAPITAL CORP 0 -60 -60 -0.45% -$9.03K
LIVENT CORP 0 -369 -369 -0.48% -$9.62K
RAYMOND JAMES FINANCIAL INC. 0 -90 -90 -0.49% -$9.89K
LIBERTY MEDIA-C 0 -144 -144 -0.50% -$10.06K
ANTERO MIDSTREAM CORP 0 -930 -930 -0.50% -$10.11K
HERSHEY CO/THE 0 -48 -48 -0.52% -$10.40K
HF SINCLAIR CORP 0 -276 -276 -0.55% -$11.00K
KROGER CO 0 -198 -198 -0.56% -$11.36K
PDC ENERGY INC 0 -186 -186 -0.67% -$13.52K
SOUTHWESTRN ENGY 0 -1,956 -1,956 -0.70% -$14.02K
RANGE RESOURCES CORP 0 -510 -510 -0.77% -$15.49K
ANTERO RESOURCES 0 -516 -516 -0.78% -$15.75K
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
BROADCOM INC 72 0 -72 0.00% -$47.91K
PFIZER INC 795 0 -795 0.00% -$46.94K
JUNIPER NETWORKS INC 1,245 0 -1,245 0.00% -$44.46K
VIRTU FINANCIAL INC- CL A 1,416 0 -1,416 0.00% -$40.82K
HASBRO INC 387 0 -387 0.00% -$39.39K
INGREDION INC 384 0 -384 0.00% -$37.11K
COMERICA INC 426 0 -426 0.00% -$37.06K
FORTIVE CORP 483 0 -483 0.00% -$36.85K
MSC INDUSTRIAL DIRECT CO CL A 429 0 -429 0.00% -$36.06K
HAWAIIAN ELECTRIC INDS INC 840 0 -840 0.00% -$34.86K
UNITED BANKSHS 942 0 -942 0.00% -$34.18K
NEWELL BRANDS INC 1,551 0 -1,551 0.00% -$33.87K
ORION PROPERTIES INC. 52 0 -52 0.00% -$971
KYNDRYL HOLDINGS INC 49 0 -49 0.00% -$887
AMYRIS INC -627 0 627 0.00% $3.39K
BEYOND MEAT INC -81 0 81 0.00% $5.28K
OPEN LENDING CORP -243 0 243 0.00% $5.46K
LEMONADE INC -132 0 132 0.00% $5.56K
FRESHPET INC -60 0 60 0.00% $5.72K
BLOCK INC CL A -36 0 36 0.00% $5.81K
ZOOM VIDEO COMMUNICATIONS INC CL A -33 0 33 0.00% $6.07K
DOORDASH INC-A -42 0 42 0.00% $6.25K
CARVANA CO CL A -27 0 27 0.00% $6.26K
REDFIN CORP -171 0 171 0.00% $6.56K
SOUTHWEST AIRLINES CO -165 0 165 0.00% $7.07K
DELTA AIR LI -204 0 204 0.00% $7.97K
UNITED RENTALS INC -24 0 24 0.00% $7.97K
FISERV INC -78 0 78 0.00% $8.10K
CHAMPIONX CORP -402 0 402 0.00% $8.12K
CAPITAL ONE FINANCIAL CORP -57 0 57 0.00% $8.27K
AMERICAN EXPRESS CO -51 0 51 0.00% $8.34K
WATERS CORP -24 0 24 0.00% $8.94K
CBOE GLOBAL MARKETS INC -69 0 69 0.00% $9.00K
HollyFrontier Corporation COM USD0.01 -276 0 276 0.00% $9.05K
BIO RAD LABS CL A -12 0 12 0.00% $9.07K
SNOWFLAKE INC CL A -27 0 27 0.00% $9.15K
CROWN HOLDINGS INC -84 0 84 0.00% $9.29K
WELLS FARGO & CO -195 0 195 0.00% $9.36K
GENERAL MOTORS CO -165 0 165 0.00% $9.67K
INGERSOLL RAND INC -168 0 168 0.00% $10.39K
CHIPOTLE MEXICAN GRILL INC -6 0 6 0.00% $10.49K
MICRON TECHNOLOGY INC -120 0 120 0.00% $11.18K
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
BAKER HUGHES CO 1,392 1,509 117 2.73% $21.45K
COTERRA ENERGY INC -814 1,899 2,713 2.54% $66.69K
EXXON MOBIL CORP 582 591 9 2.42% $13.20K
CHENIERE ENERGY PARTNERS LP PARTNERSHIP SHARES 843 861 18 2.41% $12.92K
MARATHON PETROLEUM CORP 558 564 6 2.39% $12.52K
WILLIAMS COS INC 1,335 1,389 54 2.30% $11.64K
UNUM GROUP 1,371 1,464 93 2.29% $12.45K
LOCKHEED MARTIN CORP 99 102 3 2.23% $9.84K
ONEOK INC 591 615 24 2.16% $8.71K
KINDER MORGAN INC 2,052 2,277 225 2.14% $10.51K
PHILLIPS 66 492 498 6 2.14% $7.37K
Enterprise Products Partners LP 1,593 1,647 54 2.11% $7.53K
OMNICOM GROUP INC 474 492 18 2.07% $7.03K
DOW INC 597 636 39 2.01% $6.66K
ALTRIA GROUP INC 744 765 21 1.98% $4.71K
PINNACLE WEST CAPITAL CORP 477 510 33 1.98% $6.16K
PRUDENTL FINL 327 333 6 1.95% $3.96K
SONOCO PRODUCTS CO 576 624 48 1.94% $5.69K
CMS ENERGY CORP -372 555 927 1.93% $63.02K
Magellan Midstream Partners LP 756 783 27 1.91% $3.31K
MERCK & CO 453 468 15 1.91% $3.68K
ICAHN ENTERPRISES LP 715 726 11 1.87% $2.24K
OMEGA HEALTHCARE INVESTORS INC 1,146 1,209 63 1.87% $3.76K
WESTERN UNION CO 1,683 1,995 312 1.86% $7.36K
BLACKSTONE MORTGAGE TR CL A 1,125 1,176 51 1.86% $2.94K
HIGHWOODS PROPERTIES INC 780 804 24 1.83% $1.99K
CLEARWAY ENERGY INC CL C -735 1,002 1,737 1.82% $63.07K
KELLOGG CO 534 564 30 1.81% $1.97K
STARWOOD PROPERTY TRUST INC 1,404 1,485 81 1.78% $1.78K
PHILIP MORRIS INTL INC 357 381 24 1.78% $1.88K
CONAGRA BRANDS INC 1,011 1,065 54 1.77% $1.23K
INTL PAPER CO 615 768 153 1.76% $6.55K
VERIZON COMMUNICATIONS INC 633 693 60 1.75% $2.41K
INTL BUS MACH CORP 249 270 21 1.74% $1.82K
AT&T INC 1,272 1,464 192 1.72% $3.30K
ALLIANCEBERNSTEIN HOLDING LP 699 732 33 1.71% $279
HUNTINGTON BANCSHARES INC 2,226 2,337 111 1.70% -$158
ONEMAIN HOLDINGS INC 621 720 99 1.69% $3.06K
INTERPUBLIC GRP 933 960 27 1.69% -$909
HANESBRANDS INC 1,998 2,151 153 1.59% -$1.38K
NY COMM BANCORP 2,664 2,946 282 1.57% -$946
MDU RESOURCES GROUP INC -747 1,173 1,920 1.55% $54.30K
LEGGETT & PLATT 762 876 114 1.51% -$879
3M CO 195 204 9 1.51% -$4.27K
GILEAD SCIENCES INC 489 495 6 1.46% -$6.08K
UGI CORP NEW -522 786 1,308 1.41% $52.43K
ESTEE LAUDER COS INC CL A -27 -24 3 -0.32% $3.46K
CREDIT ACCEPTANCE CORP -15 -12 3 -0.33% $3.71K
ADV MICRO DEVICE -84 -63 21 -0.34% $5.20K
EAGLE MATERIALS INC -63 -54 9 -0.34% $3.56K
KKR & CO INC -141 -120 21 -0.35% $3.49K
LABORATORY CP -30 -27 3 -0.35% $2.31K
BERRY GLOBAL GROUP INC -135 -123 12 -0.35% $2.83K
INTUITIVE SURGICAL INC -27 -24 3 -0.36% $2.46K
MORNINGSTAR INC -33 -27 6 -0.37% $3.91K
S&P GLOBAL INC -21 -18 3 -0.37% $2.53K
NASDAQ INC -45 -42 3 -0.37% $1.97K
INTERACTIVE BROKERS GROUP INC -135 -114 21 -0.37% $3.21K
AFFIL MANAGERS -57 -54 3 -0.38% $1.77K
IQVIA HOLDINGS INC -36 -33 3 -0.38% $2.53K
FACTSET RESEARCH SYSTEMS INC -21 -18 3 -0.39% $2.39K
TRADEWEB MARKETS INC A -105 -90 15 -0.39% $2.61K
SIGNATURE BANK -30 -27 3 -0.39% $1.78K
MARTIN MAR MTLS -24 -21 3 -0.40% $2.49K
EDWARDS LIFESCIENCES CORP -75 -69 6 -0.40% $1.59K
AMERICAN HOMES-A -228 -204 24 -0.41% $1.78K
SBA COMMUNICATIONS CORP -27 -24 3 -0.41% $2.25K
CONSTELLATION BRANDS INC CL A -42 -36 6 -0.41% $2.25K
SLM CORP -492 -459 33 -0.42% $1.25K
COSTCO WHOLESALE CORP -18 -15 3 -0.43% $1.58K
CHURCH & DWIGHT -99 -87 12 -0.43% $1.50K
INTERCONTINENTAL EXCHANGE INC -75 -66 9 -0.43% $1.54K
HOWARD HUGHES CORP -99 -87 12 -0.45% $1.06K
CENTENE CORP -138 -108 30 -0.45% $2.28K
SCHWAB CHARLES CORP -123 -108 15 -0.45% $1.24K
BJS WHSL CLUB HLDGS INC -156 -135 21 -0.45% $1.32K
MCCORMICK-N/V -99 -93 6 -0.46% $283
BROWN & BROWN -156 -129 27 -0.46% $1.64K
WALMART INC -66 -63 3 -0.47% $168
TESLA INC -12 -9 3 -0.48% $2.98K
ALLEGHANY CORP DEL -15 -12 3 -0.50% -$150
FREEPORT MCMORAN INC -261 -216 45 -0.53% $148
MP MATERIALS CORP -264 -198 66 -0.56% $638
DIAMONDBACK ENERGY INC -93 -84 9 -0.57% -$1.48K
EXPAND ENERGY CORP -147 -138 9 -0.60% -$2.52K
DEVON ENERGY CORP -252 -204 48 -0.60% -$962
EOG RESOURCES INC -111 -102 9 -0.60% -$2.30K
PIONEER NATURAL RESOURCES CO -54 -51 3 -0.63% -$2.93K
TARGA RESOURCES CORP -183 -174 9 -0.65% -$3.57K
ALCOA CORP -174 -150 24 -0.67% -$3.14K
MARATHON OIL CORP -675 -552 123 -0.69% -$2.78K
APA CORP -426 -336 90 -0.69% -$2.43K
HALLIBURTON CO -411 -396 15 -0.74% -$5.60K
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
CHEVRON CORP 336 309 -27 2.50% $10.88K
VALERO ENERGY CORP 492 480 -12 2.42% $11.79K
NEWMONT CORP 633 585 -48 2.31% $7.22K
ABBVIE INC 315 267 -48 2.15% $632
NISOURCE INC 1,422 1,308 -114 2.06% $2.33K
AMERICAN ELECTRIC POWER CO INC 417 405 -12 2.01% $3.31K
CONSOLIDATED EDISON INC 474 426 -48 2.00% -$108
DTE ENERGY CO 306 303 -3 1.99% $3.48K
FIRSTENERGY CORP 954 867 -87 1.97% $84
NATL FUEL GAS CO 654 564 -90 1.92% -$3.07K
DUKE ENERGY CORP NEW 351 345 -6 1.91% $1.70K
AMGEN INC 162 159 -3 1.91% $2.00K
OGE ENERGY CORP 1,038 939 -99 1.90% -$1.55K
SOUTHERN CO 552 528 -24 1.90% $429
HEWLETT PACKARD ENTERPRISE CO 2,430 2,280 -150 1.89% -$222
IRON MOUNTAIN INC 786 687 -99 1.89% -$3.06K
PUB SERV ENTERP 564 543 -21 1.89% $374
COCA-COLA CO/THE 657 612 -45 1.88% -$957
ENTERGY CORP 345 321 -24 1.86% -$1.39K
EDISON INTL 621 531 -90 1.85% -$5.16K
WEC ENERGY GROUP INC 390 372 -18 1.84% -$728
VISTRA CORP 2,007 1,587 -420 1.83% -$8.80K
GENERAL MILLS INC 570 537 -33 1.80% -$2.04K
JM SMUCKER CO/THE 285 267 -18 1.79% -$2.55K
XPLR INFRASTRUCTURE LP COMMON STOCK 465 429 -36 1.77% -$3.48K
WP CAREY INC 471 438 -33 1.76% -$3.24K
American Campus Communities, Inc. COM USD0.01 708 627 -81 1.74% -$5.47K
REALTY INCOME CORP REIT 525 504 -21 1.73% -$2.66K
PPL CORPORATION 1,227 1,206 -21 1.71% -$2.44K
MGM GROWTH PROPERTIES LLC CL A (REIT) 900 882 -18 1.69% -$2.63K
VICI PROPERTIES 1,209 1,194 -15 1.69% -$2.42K
HEALTHCARE TRST OF AMERICA INC 1,155 1,077 -78 1.68% -$4.81K
CHEMOURS CO/ THE 1,176 1,071 -105 1.67% -$5.75K
NNN REIT INC 795 747 -48 1.67% -$4.65K
AGREE REALTY CORP 516 504 -12 1.66% -$3.38K
MEDICAL PROPERTI 1,704 1,524 -180 1.60% -$8.05K
KIMBERLY CLARK CORP 258 252 -6 1.54% -$5.84K
WALGREENS BOOTS ALLIANCE INC 729 690 -39 1.53% -$7.13K
STORE CAPITAL CORP 1,068 1,041 -27 1.51% -$6.31K
EXELON CORP 711 627 -84 1.48% -$11.20K
SYLVAMO CORP 55 1 -54 0.00% -$1.50K
OPENDOOR TECHNOLOGIES INC -426 -618 -192 -0.27% $878
GOOSEHEAD INSURANCE -57 -69 -12 -0.27% $1.99K
PAYPAL HOLDINGS -33 -48 -15 -0.28% $672
EXP WORLD HOLDINGS INC -213 -264 -51 -0.28% $1.59K
POST HOLDINGS INC -78 -81 -3 -0.28% $3.18K
META PLATFORMS INC CL A -24 -27 -3 -0.30% $2.07K
ALIGN TECHNOLOGY INC -12 -15 -3 -0.32% $1.35K
UPSTART HOLDINGS INC -27 -60 -33 -0.32% -$2.46K
CELSIUS HOLDINGS INC -93 -120 -27 -0.33% $313
SNAP INC - A -117 -189 -72 -0.34% -$1.30K
WESTERN ALLIANCE BANCORP -78 -84 -6 -0.35% $1.44K
ROCKET COS INC-A -540 -636 -96 -0.35% $488
COSTAR GROUP INC -99 -114 -15 -0.38% $230
UBER TECHNOLOGIES INC -192 -213 -21 -0.38% $451
SALESFORCE INC -33 -36 -3 -0.38% $743
VEEVA SYSTEMS-A -30 -36 -6 -0.38% $16
WALT DISNEY CO/T -51 -57 -6 -0.39% $81
FIRST CITIZENS BANCSHARES INC CL A -9 -12 -3 -0.40% -$519
Twitter Inc COM USD0.000005 -141 -207 -66 -0.40% -$1.91K
GENERAC HOLDINGS INC -21 -27 -6 -0.40% -$636
CHARTER COMMUNICATIONS INC A -12 -15 -3 -0.41% -$359
ILLUMINA INC -21 -24 -3 -0.42% -$396
BOEING CO/THE -39 -45 -6 -0.43% -$766
DEXCOM INC -15 -18 -3 -0.46% -$1.15K
AIRBNB INC CLASS A -51 -54 -3 -0.46% -$784
US FOODS HOLDING CORP -240 -258 -18 -0.48% -$1.35K
PERFORMANCE FOOD GROUP CO -183 -195 -12 -0.49% -$1.53K
T-MOBILE US INC -66 -78 -12 -0.50% -$2.36K
Plains GP Holdings LP LTD PARTNER INT CL A NEW IN -828 -891 -63 -0.51% -$1.90K
DARLING INGREDIENTS INC -120 -129 -9 -0.51% -$2.05K
MOLSON COORS BEVERAGE CO B -186 -195 -9 -0.52% -$1.79K
LPL FINL HLDGS INC -54 -57 -3 -0.52% -$1.77K
PLAINS ALL AMER PIPELINE LP PARTNERSHIP SHARES -879 -969 -90 -0.52% -$2.22K
WR BERKLEY CORP -120 -162 -42 -0.54% -$901
DCP MIDSTREAM LP PARTNERSHIP SHARES -315 -333 -18 -0.55% -$2.52K
MLP -942 -1,104 -162 -0.61% -$4.60K
CONOCOPHILLIPS 504 -126 -630 -0.63% -$48.98K
HESS CORP -114 -123 -9 -0.65% -$4.73K
OCCIDENTAL PETROLEUM CORP -294 -312 -18 -0.88% -$9.18K
AMERICAN WATER WRKS COMPANY -132 -165 -33 -1.36% -$2.38K
NEXTERA ENERGY INC -282 -330 -48 -1.39% -$1.63K
ESSENTIAL UTILITIES INC -483 -576 -93 -1.46% -$3.52K
EVERSOURCE ENERGY -273 -339 -66 -1.48% -$5.06K
PG&E CORP -2,313 -2,550 -237 -1.51% -$2.37K
EVERGY INC -357 -450 -93 -1.53% -$6.26K
ALLIANT ENERGY CORPORATION -396 -504 -108 -1.56% -$7.15K
IDACORP INC 330 -273 -603 -1.56% -$68.89K
AMEREN CORP -276 -348 -72 -1.62% -$8.06K
AES CORP -978 -1,272 -294 -1.62% -$8.96K
XCEL ENERGY INC -357 -459 -102 -1.64% -$8.96K
DOMINION ENERGY INC -303 -396 -93 -1.67% -$9.84K
CENTERPOINT ENERGY INC -900 -1,110 -210 -1.69% -$8.89K
ATMOS ENERGY CORP -252 -297 -45 -1.76% -$9.09K
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
SEMPRA ENERGY 273 273 0 2.28% $9.78K
BRISTOL-MYERS SQUIBB CO 576 576 0 2.09% $6.15K
CARDINAL HEALTH INC 690 690 0 1.94% $3.59K
SPIRIT RLTY CAP INC 741 741 0 1.69% -$1.61K
NRG ENERGY INC 840 840 0 1.60% -$3.96K
ASTRAZENECA PLC SPONS ADR -1 -1 0 0.00% -$8
SOFI TECHNOLOGIES INC A -546 -546 0 -0.26% $3.47K
NETFLIX INC -15 -15 0 -0.28% $3.42K
SVB FINL GROUP -12 -12 0 -0.33% $1.43K
ADOBE INC -15 -15 0 -0.34% $1.67K
BOSTON BEER COMPANY CL A -18 -18 0 -0.35% $2.10K
THE BOOKING HOLDINGS INC -3 -3 0 -0.35% $152
MARKETAXESS HLDGS INC -21 -21 0 -0.35% $1.49K
FIRST REPUBLIC BANK -45 -45 0 -0.36% $2.00K
COPART INC -60 -60 0 -0.37% $1.57K
MSCI INC -15 -15 0 -0.37% $1.65K
MONSTER BEVERAGE CORP -96 -96 0 -0.38% $1.55K
JONES LANG LASALLE INC -33 -33 0 -0.39% $986
CBRE GROUP INC - CL A -87 -87 0 -0.40% $1.48K
MOODYS CORP -24 -24 0 -0.40% $1.28K
TEXAS PACIFIC LAND CORP -6 -6 0 -0.40% -$619
IDEXX LABS INC -15 -15 0 -0.41% $1.67K
METTLER-TOLEDO INTL INC -6 -6 0 -0.41% $1.94K
LAMB WESTON HOLDINGS INC -138 -138 0 -0.41% $479
PINNACLE FINL PARTNERS INC -90 -90 0 -0.41% $308
ALPHABET INC CL A -3 -3 0 -0.41% $347
SERVICENOW INC -15 -15 0 -0.41% $1.38K
STIFEL FINANCIAL CORP -126 -126 0 -0.42% $318
BROWN FORMAN CORP NON VTG CL B -129 -129 0 -0.43% $753
MARKEL GROUP INC -6 -6 0 -0.44% -$1.45K
CASEY'S GENERAL -45 -45 0 -0.44% -$37
BOSTON SCIENTIFIC CORP -207 -207 0 -0.46% -$375
RLI CORP -84 -84 0 -0.46% $123
GLOBE LIFE INC -96 -96 0 -0.48% -$660
TRANSDIGM GROUP INC -15 -15 0 -0.49% -$229
AMAZON.COM INC -3 -3 0 -0.49% $223
HOST HOTELS & RE -513 -513 0 -0.49% -$1.05K
LOEWS CORP -159 -159 0 -0.51% -$1.12K
BERKSHIRE HATH-B -30 -30 0 -0.53% -$1.62K
WESTERN MIDSTREAM PARTNERS LP MLP -426 -426 0 -0.53% -$1.26K
CHENIERE ENERGY INC -90 -90 0 -0.62% -$3.35K
CLEVELAND-CLIFFS INC -414 -414 0 -0.66% -$4.32K
NOV INC -681 -681 0 -0.66% -$4.13K
EQT CORPORATION -414 -414 0 -0.71% -$5.22K
US STEEL CORP -390 -390 0 -0.73% -$5.43K
OVINTIV INC -273 -273 0 -0.73% -$5.56K

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