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XTSE
FFN
Market cap537mUSD
Jul 09, Last price  
10.89CAD
1D
1.40%
1Q
22.09%
Jan 2017
5.55%
IPO
-33.53%
Name

North American Financial 15 Split Corp

Chart & Performance

D1W1MN
XTSE:FFN chart
P/E
4.44
P/S
13.03
EPS
2.45
Div Yield, %
12.49%
Shrs. gr., 5y
29.08%
Rev. gr., 5y
56.30%
Revenues
58m
-83.95%
4,603,7025,429,5705,378,7843,580,8282,489,2252,454,4052,444,76524,710,14414,504,0449,066,68319,633,03826,680,532-10,983,48739,026,665-38,123,89089,902,07823,775,164-18,326,020364,041,74358,423,180
Net income
172m
-51.83%
000001,566,3319,980,67924,327,40013,613,6208,208,88919,015,00325,367,190-12,714,17337,497,290-39,351,39966,722,325-7,282,871-27,275,678356,194,258171,582,570
CFO
23m
-56.32%
13,357,9866,907,7143,195,27011,255,60013,576,307-2,036,1334,554,6242,903,713-28,165,445-9,069,9858,506,039-84,183,397-38,958,32430,577,33945,859,786-241,639,307-187,385,63010,358,94152,274,58522,833,029
Dividend
Dec 31, 20250.11335 CAD/sh

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Profile

Financial 15 Split Corp. is a closed-end equity mutual fund, initially established by Quadravest Inc., with Quadravest Capital Management Inc. serving as its investment manager. The fund's strategy involves allocating capital to publicly traded equities in the United States and Canadian markets. It primarily concentrates its investments in the shares of companies operating within the financial sector. This Canadian-domiciled fund began operations on November 14, 2003.
IPO date
Oct 15, 2004
Employees
0
Domiciled in
CA
Incorporated in
CA

Valuation

Title
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