TOP 10 SPLIT TR UN Share Price

Equities

TXT.UN

CA8905201098

Market Closed - Toronto S.E. 07:00:00 02/05/2024 pm IST 5-day change 1st Jan Change
2.53 CAD +1.20% Intraday chart for TOP 10 SPLIT TR UN -16.23% -9.64%

Financials

Sales 2022 -807K -590K -49.17M Sales 2023 1.31M 954K 79.53M Capitalization 1.57M 1.14M 95.46M
Net income 2022 -1M -730K -60.9M Net income 2023 - 0 0 EV / Sales 2022 -0.44 x
Net cash position 2022 1.11M 814K 67.9M Net cash position 2023 2.04M 1.49M 124M EV / Sales 2023 -0.36 x
P/E ratio 2022
-0.91 x
P/E ratio 2023
2.98 x
Employees -
Yield 2022
8.7%
Yield 2023
4.29%
Free-Float 0%
More Fundamentals * Assessed data
Dynamic Chart
1 day+1.20%
1 week-16.23%
Current month-16.23%
1 month-16.23%
3 months-9.64%
6 months+80.71%
Current year-9.64%
More quotes
1 week
2.50
Extreme 2.5
2.53
1 month
2.50
Extreme 2.5
3.02
Current year
2.50
Extreme 2.5
3.30
1 year
1.40
Extreme 1.4
3.30
3 years
1.40
Extreme 1.4
4.96
5 years
0.95
Extreme 0.95
4.96
10 years
0.95
Extreme 0.95
5.60
More quotes
Managers TitleAgeSince
Chief Executive Officer 76 -
President - -
Director of Finance/CFO - -
Members of the board TitleAgeSince
Chief Executive Officer 76 -
Director/Board Member 79 -
Director/Board Member 75 -
More insiders
Date Price Change Volume
02/24/02 2.53 +1.20% 288

Delayed Quote Toronto S.E., May 02, 2024 at 07:00 pm IST

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Top 10 Split Trust is a Canada-based closed-end investment trust. The Fund's investment objectives for Capital Units are to provide holders of Capital Units, upon redemption, with the benefit of any capital appreciation in the market price of the securities in the financial portfolio, and to pay quarterly distributions in an amount targeted to be over 7.5% per annum of the net asset value (NAV) of the Capital Units. The Fund's investment objectives for Preferred Securities are to pay holders of Preferred Securities fixed quarterly cash interest payments equal to over 6.25% per annum on approximately $12.50 principle amount of a Preferred Security, and to repay the principle amount of over $12.50 per Preferred Security on the Termination Date of the Fund. The Fund is designed to provide unitholders with exposure to over six Canadian banks and approximately four Canadian life insurance companies. The investment manager of the Fund is Strathbridge Asset Management Inc.
Sector
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