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Tmx Listed Company Directory Spider

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from $9.00 / 1,000 results

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Tmx Listed Company Directory Spider

Tmx Listed Company Directory Spider

This Apify actor scrapes comprehensive data from the Toronto Stock Exchange company directory, delivering real-time prices, market caps, dividends, and detailed profiles....

Pricing

from $9.00 / 1,000 results

Rating

0.0

(0)

Developer

GetDataForMe

GetDataForMe

Maintained by Community

Actor stats

0

Bookmarked

2

Total users

1

Monthly active users

3 days ago

Last modified

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Description

This Apify actor scrapes comprehensive data from the Toronto Stock Exchange company directory, delivering real-time prices, market caps, dividends, and detailed profiles....


Tmx Listed Company Directory Spider

The Tmx Listed Company Directory Spider is a powerful Apify Actor designed to scrape and extract comprehensive data from the Toronto Stock Exchange (TSX) company directory. It provides detailed information on listed companies, including financial metrics, market data, and company profiles, enabling users to gather insights efficiently. This tool is ideal for investors, analysts, and businesses seeking up-to-date stock market information without manual effort.

Features

  • Comprehensive Data Extraction: Retrieves detailed company profiles, including symbols, prices, market caps, dividends, and descriptions from TSX listings.
  • Real-Time Market Data: Captures live pricing, volume, and performance metrics like price changes and moving averages.
  • Flexible URL Configuration: Allows customization of scraping targets with support for multiple TSX endpoints.
  • High Reliability: Built on Apify's robust infrastructure for consistent, error-free data collection.
  • Structured Output: Delivers clean JSON data ready for analysis, integration, or export to formats like CSV and Excel.
  • Scalable Performance: Handles large directories efficiently with minimal resource usage.
  • Easy Integration: Seamlessly connects with other tools for automated workflows in finance and research.

Input Parameters

ParameterTypeRequiredDescriptionExample
UrlsarrayYesAn array of URLs to scrape from the TSX company directory. Must include at least one valid HTTP/HTTPS URL.["https://www.tsx.com/json/company-directory/recent/tsx"]

Example Usage

Input Configuration

{
"Urls": [
"https://www.tsx.com/json/company-directory/recent/tsx"
]
}

Output Example

[
{
"symbol": "RCTR",
"name": "First Trust Bloomberg Nuclear Power ETF",
"date": 1768539600,
"price": 19.15,
"price_change": 0.59,
"percent_change": 3.178879,
"exchange_name": "Toronto Stock Exchange",
"exchange_short_name": "TSX",
"exchange_code": "TSX",
"market_place": null,
"sector": "",
"industry": "",
"volume": 197,
"open_price": 19.15,
"day_high": 19.15,
"day_low": 19.15,
"market_cap": 957500,
"market_cap_all_classes": 957500,
"pe_ratio": 24.55,
"prev_close": 18.56,
"dividend_frequency": null,
"dividend_yield": null,
"dividend_amount": null,
"dividend_currency": null,
"beta": null,
"eps": null,
"ex_dividend_date": "",
"long_description": "The investment strategy of the First Trust ETF is to provide exposure to the Index by holding securities of First Trust Bloomberg Nuclear Power ETF, a U.S.-listed index ETF which is managed by an affiliate of the Manager which seeks to replicate or substantially replicate the performance of the Index. The First Trust ETF seeks to replicate, to the extent possible, the performance of an index of companies that are exposed to nuclear power, net of expenses, initially the Bloomberg Nuclear Power Index.",
"full_description": "The investment strategy of the First Trust ETF is to provide exposure to the Index by holding securities of First Trust Bloomberg Nuclear Power ETF, a U.S.-listed index ETF which is managed by an affiliate of the Manager which seeks to replicate or substantially replicate the performance of the Index. The First Trust ETF seeks to replicate, to the extent possible, the performance of an index of companies that are exposed to nuclear power, net of expenses, initially the Bloomberg Nuclear Power Index.",
"website": "",
"email": "",
"phone_number": "",
"full_address": "CA",
"employees": "",
"share_out_standing": 50000,
"total_debt_to_equity": "",
"total_shares_out_standing": 50000,
"shares_escrow": null,
"vwap": 19.1499999,
"dividend_pay_date": null,
"weeks_52_high": 20.94,
"weeks_52_low": 18.56,
"alpha": null,
"average_volume_10d": 67,
"average_volume_20d": 113,
"average_volume_30d": 114,
"average_volume_50d": 205,
"price_to_book": 1.4,
"price_to_cash_flow": "",
"return_on_equity": "",
"return_on_assets": "",
"day_21_moving_avg": 19.76619,
"day_50_moving_avg": 19.723333,
"day_200_moving_avg": 19.723333,
"dividend_3_years": "",
"dividend_5_years": "",
"datatype": "etf",
"issue_type": "",
"sec_type": null,
"close": 19.06,
"qm_description": "",
"currency": "CAD",
"actor_id": "3m17V7p1CagvvBCVY",
"run_id": "W8ZyffLkL7Rg0xjkf"
},
{
"symbol": "CEQP",
"name": "CI Equity+ Asset Allocation ETF Fund",
"date": 1769403600,
"price": 19,
"price_change": 0.39,
"percent_change": 2.095648,
"exchange_name": "Toronto Stock Exchange",
"exchange_short_name": "TSX",
"exchange_code": "TSX",
"market_place": null,
"sector": "",
"industry": "",
"volume": 0,
"open_price": null,
"day_high": null,
"day_low": null,
"market_cap": 1900000,
"market_cap_all_classes": 1900000,
"pe_ratio": "",
"prev_close": 18.61,
"dividend_frequency": "Quarterly",
"dividend_yield": 0.061,
"dividend_amount": 0.0029,
"dividend_currency": "CAD",
"beta": null,
"eps": null,
"ex_dividend_date": "2026-03-25 00:00:00.0",
"long_description": "In order to achieve its investment objective, the fund invests indirectly in a portfolio of global equity securities and other assets. The portfolio adviser seeks to maintain a long-term strategic asset allocation of approximately 92 percent equity securities and 8 percent in other assets including but not limited to digital assets or commodities (under normal market conditions). The portfolio asset mix may be reconstituted and rebalanced from time to time at the discretion of the portfolio adviser. The funds investment objective is to provide longterm capital growth.",
"full_description": "In order to achieve its investment objective, the fund invests indirectly in a portfolio of global equity securities and other assets. The portfolio adviser seeks to maintain a long-term strategic asset allocation of approximately 92 percent equity securities and 8 percent in other assets including but not limited to digital assets or commodities (under normal market conditions). The portfolio asset mix may be reconstituted and rebalanced from time to time at the discretion of the portfolio adviser. The funds investment objective is to provide longterm capital growth.",
"website": "",
"email": "",
"phone_number": "",
"full_address": "CA",
"employees": "",
"share_out_standing": 100000,
"total_debt_to_equity": "",
"total_shares_out_standing": 100000,
"shares_escrow": null,
"vwap": null,
"dividend_pay_date": "2026-03-31",
"weeks_52_high": 20.34,
"weeks_52_low": 18.61,
"alpha": null,
"average_volume_10d": 32,
"average_volume_20d": 82,
"average_volume_30d": 186,
"average_volume_50d": 218,
"price_to_book": null,
"price_to_cash_flow": "",
"return_on_equity": "",
"return_on_assets": "",
"day_21_moving_avg": 19.611904,
"day_50_moving_avg": 19.724104,
"day_200_moving_avg": 19.724104,
"dividend_3_years": "",
"dividend_5_years": "",
"datatype": "etf",
"issue_type": "",
"sec_type": null,
"close": 19.01,
"qm_description": "",
"currency": "CAD",
"actor_id": "3m17V7p1CagvvBCVY",
"run_id": "W8ZyffLkL7Rg0xjkf"
},
{
"symbol": "HPYB",
"name": "Harvest Premium Yield Canadian Bank ETF",
"date": 1768885200,
"price": 11.62,
"price_change": 0.19,
"percent_change": 1.662292,
"exchange_name": "Toronto Stock Exchange",
"exchange_short_name": "TSX",
"exchange_code": "TSX",
"market_place": null,
"sector": "",
"industry": "",
"volume": 19361,
"open_price": 11.48,
"day_high": 11.65,
"day_low": 11.48,
"market_cap": 19463500,
"market_cap_all_classes": 19463500,
"pe_ratio": "",
"prev_close": 11.43,
"dividend_frequency": null,
"dividend_yield": 2.41,
"dividend_amount": 0.07,
"dividend_currency": "CAD",
"beta": null,
"eps": null,
"ex_dividend_date": "2026-03-13 00:00:00.0",
"long_description": "The fund invests, directly or indirectly, in equity securities of Canadian banks listed on the TSX, initially focusing on six Canadian banks. Security selection is based on fundamental financial characteristics and the ability of the underlying securities to generate option premiums. The fund employs a broad range of option-writing strategies, including covered call and covered put options, to generate income and support long-term capital appreciation. Exposure to bank equities may be obtained directly, through exchange-traded mutual funds (including those managed by the Manager), or through derivatives linked to equity securities. The fund may also use put options for hedging purposes. As an alternative mutual fund, it may employ strategies not available to conventional mutual funds, including higher issuer concentration, borrowing, short selling, and leverage, in accordance with regulatory limits and its investment objectives.",
"full_description": "The fund invests, directly or indirectly, in equity securities of Canadian banks listed on the TSX, initially focusing on six Canadian banks. Security selection is based on fundamental financial characteristics and the ability of the underlying securities to generate option premiums. The fund employs a broad range of option-writing strategies, including covered call and covered put options, to generate income and support long-term capital appreciation. Exposure to bank equities may be obtained directly, through exchange-traded mutual funds (including those managed by the Manager), or through derivatives linked to equity securities. The fund may also use put options for hedging purposes. As an alternative mutual fund, it may employ strategies not available to conventional mutual funds, including higher issuer concentration, borrowing, short selling, and leverage, in accordance with regulatory limits and its investment objectives. Harvest Premium Yield Canadian Bank ETF seeks to generate longterm capital appreciation and income by investing in equity securities of Canadian banks and by generating option premium income, while seeking to preserve capital.",
"website": "",
"email": "",
"phone_number": "",
"full_address": "CA",
"employees": "",
"share_out_standing": 1675000,
"total_debt_to_equity": "",
"total_shares_out_standing": 1675000,
"shares_escrow": null,
"vwap": 11.6028042,
"dividend_pay_date": "2026-03-19",
"weeks_52_high": 12.42,
"weeks_52_low": 11.4,
"alpha": null,
"average_volume_10d": 27504,
"average_volume_20d": 32801,
"average_volume_30d": 30623,
"average_volume_50d": 27540,
"price_to_book": null,
"price_to_cash_flow": "",
"return_on_equity": "",
"return_on_assets": "",
"day_21_moving_avg": 11.841894,
"day_50_moving_avg": 11.805195,
"day_200_moving_avg": 11.805195,
"dividend_3_years": "",
"dividend_5_years": "",
"datatype": "etf",
"issue_type": "",
"sec_type": null,
"close": 11.62,
"qm_description": "",
"currency": "CAD",
"actor_id": "3m17V7p1CagvvBCVY",
"run_id": "W8ZyffLkL7Rg0xjkf"
}
]

Use Cases

  • Market Research and Analysis: Gather data on TSX-listed companies for portfolio management and trend analysis.
  • Competitive Intelligence: Monitor competitors' stock performance, market caps, and financial ratios.
  • Price Monitoring: Track real-time prices, changes, and historical highs/lows for investment decisions.
  • Content Aggregation: Collect company descriptions and profiles for financial blogs or reports.
  • Academic Research: Access structured data for studies on market behavior and economic indicators.
  • Business Automation: Integrate with dashboards for automated alerts on dividend yields or volume spikes.

Installation and Usage

  1. Search for "Tmx Listed Company Directory Spider" in the Apify Store
  2. Click "Try for free" or "Run"
  3. Configure input parameters
  4. Click "Start" to begin extraction
  5. Monitor progress in the log
  6. Export results in your preferred format (JSON, CSV, Excel)

Output Format

The Actor outputs an array of JSON objects, each representing a TSX-listed company. Key fields include: symbol (stock ticker), name (company name), price (current price), price_change and percent_change (daily changes), market_cap (market capitalization), volume (trading volume), dividend_yield and related fields, long_description (detailed company info), and various financial metrics like P/E ratio, beta, and moving averages. Fields may be null or empty if data is unavailable. The output is clean and ready for direct use in applications.

Support

For custom/simplified outputs or bug reports, please contact:

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