Brompton Split Banc Corp. Stock

Equities

SBC

CA11221E1097

Investment Management & Fund Operators

End-of-day quote Toronto S.E. 06:00:00 2024-05-12 pm EDT 5-day change 1st Jan Change
9.17 CAD 0.00% Intraday chart for Brompton Split Banc Corp. +1.10% -1.50%
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Sales 2022 -39.76M -29.05M Sales 2023 34.22M 25.01M Capitalization 198M 144M
Net income 2022 -54M -39.46M Net income 2023 13M 9.5M EV / Sales 2022 -0.34 x
Net cash position 2022 168M 123M Net cash position 2023 187M 137M EV / Sales 2023 0.3 x
P/E ratio 2022
-3.57 x
P/E ratio 2023
13.5 x
Employees -
Yield 2022
10.5%
Yield 2023
12.9%
Free-Float 20.78%
More Fundamentals * Assessed data
Dynamic Chart
1 week+1.10%
Current month+1.89%
1 month+1.66%
3 months+6.26%
6 months+19.40%
Current year-1.50%
More quotes
1 week
9.05
Extreme 9.05
9.20
1 month
8.75
Extreme 8.75
9.23
Current year
8.59
Extreme 8.59
9.52
1 year
6.97
Extreme 6.97
10.45
3 years
6.97
Extreme 6.97
14.74
5 years
3.33
Extreme 3.328
14.74
10 years
3.33
Extreme 3.328
14.74
More quotes
Managers TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO - -
Chief Investment Officer - -
Members of the board TitleAgeSince
Director/Board Member - -
Founder - -
Chief Executive Officer - -
More insiders
Date Price Change Volume
24-05-13 9.17 0.00% 12,480
24-05-10 9.17 +0.44% 24,622
24-05-09 9.13 -0.22% 30,442
24-05-08 9.15 +0.55% 17,507
24-05-07 9.1 +0.33% 17,938

End-of-day quote Toronto S.E., May 12, 2024

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Brompton Split Banc Corp. (the Fund) is a Canada-based mutual fund company. The Fund's investment objectives are to provide holders of Preferred shares with fixed, cumulative, preferential quarterly cash distributions and to return the original issue price of $10.00 per Preferred share to shareholders at maturity and to provide holders of Class A shares with regular monthly cash distributions, targeted to be at least $0.10 per Class A share, and the opportunity for growth in Net Asset Value per Class A share. The Fund invests in a portfolio of common shares of the six Canadian banks. In addition, the Fund may hold up to 10% of the total assets of the portfolio directly in investments in global financial companies or indirectly through exchange-traded funds for the purposes of enhanced diversification and return potential. The Fund's manager is Brompton Funds Limited.
More about the company
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