Valuation: Prime Dividend Corp.

Market Cap 83.19L 59.19L 51.72L 47.82L 44.18L 57Cr 84.7L 5.7Cr 2.24Cr 28Cr 2.22Cr 2.17Cr 96Cr P/E 2024
1.91x
P/E 2025 3.49x
Enterprise Value 12.43L 9L 8L 7L 7L 8.5Cr 12.66L 85.22L 33.43L 4.16Cr 33.22L 32.49L 14Cr EV / Sales 2024
-0.25x
EV / Sales 2025 -0.33x
Free-Float
99%
Yield 2024
7.36%
Yield 2025 7.92%
1 day+1.23%
1 week+1.23%
Current month+0.77%
1 month+4.81%
3 months+29.03%
6 months+30.97%
Current year+30.32%
1 week 15.32
Extreme 15.32
15.69
1 month 14.37
Extreme 14.37
15.69
Current year 11.01
Extreme 11.01
15.69
1 year 8.48
Extreme 8.48
15.69
3 years 4.14
Extreme 4.1385
15.69
5 years 4.14
Extreme 4.1385
15.69
10 years 3.52
Extreme 3.5197
15.69
Manager TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO - -
Corporate Secretary - 06/01/2010
Director TitleAgeSince
Chairman - 06/01/2010
Director/Board Member - -
Director/Board Member - -
Change 5-day change 1-year change 3-year change Capi.($)
+1.23%+1.23%+81.81%+117.37% 59.19L
+7.20%+11.12%+5.19%+51.19% 16TCr
+0.82%+7.13%+54.65%+142.86% 16TCr
+3.03%+5.22%+66.01%+262.83% 11TCr
+1.95%+2.55%+7.64%+107.16% 9.76TCr
+1.78%+5.70%-12.57%+57.13% 7.6TCr
+1.43%+4.38%+81.54%+178.44% 5.08TCr
+1.28%+6.20%-0.32%+51.90% 4.66TCr
+1.02%+2.92%-35.45%+39.02% 3.56TCr
+1.19%+4.87%+52.65%+167.75% 3.45TCr
Average +2.01%+1.54%+30.12%+117.56% 7.71TCr
Weighted average by Cap. +2.68%+1.95%+27.64%+120.66%

Financials

2024 2025
Net sales 36.34L 25.85L 22.59L 20.89L 19.3L 25Cr 37L 2.49Cr 97.73L 12Cr 97.11L 94.97L 42Cr 25.59L 18.2L 15.91L 14.71L 13.59L 17Cr 26.05L 1.75Cr 68.81L 8.56Cr 68.38L 66.87L 29Cr
Net income 26.92L 19.15L 16.74L 15.47L 14.29L 18Cr 27.4L 1.84Cr 72.39L 9.01Cr 71.93L 70.34L 31Cr 18.21L 12.96L 11.32L 10.47L 10L 12Cr 18.54L 1.25Cr 48.97L 6.09Cr 48.66L 47.59L 21Cr
Net Debt -60.16L -42.8L -37.4L -34.58L -31.94L -41Cr -61.25L -4.12Cr -1.62Cr -20Cr -1.61Cr -1.57Cr -69Cr -70.76L -50.34L -43.99L -40.67L -37.57L -48Cr -72.04L -4.85Cr -1.9Cr -24Cr -1.89Cr -1.85Cr -82Cr
Logo Prime Dividend Corp.
Prime Dividend Corp. is a Canada-based mutual fund company. The Company’s investment objectives are to provide holders of Preferred Shares with cumulative preferential floating rate monthly cash dividends at a rate per annum equal to the prime rate plus 2.35%, with a minimum annual rate of 5.0% and a maximum annual rate of 8%; and to provide holders of Class A Shares with regular monthly cash distributions; and to return the original issue price of $10 and $15 to holders of Preferred Shares and Class A Shares, respectively. The Company invests in an actively managed portfolio of equity securities. In addition, up to 20% of the Net Asset Value may be invested in equity securities of issuers in the financial services or utilities sectors in Canada or the United States. It invests in various sectors, such as banks, life insurance companies, investment management companies, and utilities and other sectors. Quadravest Capital Management Inc. is the investment manager of the Company.
Employees
-
Date Price Change Volume
15/26/15 CA$15.69 +1.23% 149
09/26/09 CA$15.50 +1.17% 810
07/26/07 CA$15.32 +0.13% 201