End-of-day quote
Toronto S.E.
06:00:00 2024-04-17 pm EDT
5-day change
1st Jan Change
2.43
CAD
0.00%
-2.80%
-6.54%
Sales 2022
-12.85M
-9.33M
Sales 2023
4.99M
3.63M
Capitalization
26.76M
19.44M
Net income 2022
-13M
-9.44M
Net income 2023
2M
1.45M
EV / Sales 2022
0.81
x
Net cash position
2022
36.6M
26.59M
Net cash position
2023
11.38M
8.27M
EV / Sales 2023
3.08
x P/E ratio 2022
-1.91
x
P/E ratio 2023
10.8
x
Employees
-
Yield 2022
5.11%
Yield 2023
8.08%
Free-Float
100%
Duration
1 day 1 week 1 month 3 months 6 months 1 year 5 years 10 years
Period
1 day 1 week 1 month 1 year
Style
CandleStick End-of-day OHLC Mountain
Dynamic Chart
Citadel Income Fund Reports Earnings Results for the Full Year Ended December 31, 2023
Mar. 22
CI
Global markets live: Domino's Pizza, Walt Disney, Broadcom, Ryanair, Exxon Mobil, Goldman Sachs...
Feb. 26
Top global hedge funds tripled gains for clients in 2023, LCH finds
Jan. 21
RE
Citadel Income Fund Announces Monthly Distributions for 2024, Payable on March 15, 2024, April 15, 2024, May 15, 2024, June 17, 2024, July 15, 2024, August 15, 2024, September 16, 2024, October 15, 2024, November 15, 2024, December 16, 2024 and January 15, 2024 Respectively
Jan. 15
CI
Citadel Income Fund Announces Monthly Distribution, Payable on February 15, 2024
Jan. 15
CI
Global finance chiefs to face tougher China questions at Hong Kong summit
Nov. 02
RE
Use of weather derivatives surges as extreme climate events rock the globe
23-10-11
RE
Citadel ready to battle SEC over WhatsApp probe - Bloomberg News
23-09-27
RE
SEC collects Wall Street's private messages as WhatsApp probe escalates -sources
23-09-25
RE
Griffin of Citadel hedge fund lays out roadmap to future philanthropic giving
23-09-13
RE
Citadel Income Fund Reports Earnings Results for the Half Year Ended June 30, 2023
23-08-28
CI
Citadel Income Fund Boosts Payout 50%, Cancel Unitholders Meeting, as It Alleges Wrongdoing by Dissident Unitholders
23-08-24
MT
Citadel Income Fund Announces Monthly Distributions, Payable on October 16, 2023, November 15, 2023, December 15, 2023 and January 15, 2024 Respectively
23-08-24
CI
Citadel Income Fund Increases Monthly Distribution, Payable on September 15, 2023
23-08-24
CI
Citadel Income Fund Brief: Says "Considering Value-Enhancing Opportunities", Postpones Meeting Date
23-08-04
MT
More news
1 week -2.80%
Current month -3.19%
1 month -2.80%
3 months -3.95%
6 months -22.12%
Current year -6.54%
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Managers
Title Age Since
Chief Executive Officer
-
-
Compliance Officer
-
-
Members of the board
Title Age Since
Director/Board Member
59
14-10-31
Chief Executive Officer
-
-
More insiders
Date
Price
Change
Volume
24-04-18
2.43
0.00%
800
24-04-17
2.43
-2.80%
900
End-of-day quote
Toronto S.E., April 17, 2024
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Citadel Income Fund (the Fund) is a Canada-based closed-end investment trust. The Fundâs investment objectives are to provide its Unitholders with a stable stream of monthly distributions and to preserve and potentially enhance the Net Asset Value (NAV) of the Fund. It seeks to achieve these objectives by investing in a diversified portfolio (the Portfolio) of securities (the Portfolio Securities) consisting of equity securities of principally larger capitalization companies traded on a recognized stock exchange, debt securities, with a minimum of 80% of debt security investments in investment grade debt rated BBB or higher, and income funds. The Fundâs portfolio is managed by Vestcap Investment Management Inc. (the Portfolio Advisor). Artemis Investment Management Limited is the investment fund manager of the Fund.
More about the company
1st Jan change
Capi.
-6.54% 5.52M +1.95% 12.39B +2.48% 8.87B -4.06% 5.37B +0.50% 5.13B +3.51% 5.09B +18.07% 4.63B +20.54% 4.62B +1.13% 3.98B +0.37% 3.72B
Closed End Funds
+951% of historical performance
More than 20 years at your side
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