Canadian Life Companies Split Corp. Dividend Bilgileri
Canadian Life Companies Split Corp. hisse başına yıllık % {var1} temettüye sahiptir ve % {var2} oranında bir getiri sunmaktadır. Temettü aylık ödenmektedir ve son temettü hariç tarihi Dec 31, 2025 tarihindedir.
Dividend Yield
Yıllık Dividende
Özsermaye Tarihi
0.00%
$0.87
Dec 31, 2025
Ödeme Sıklığı
Ödeme Oranı
Aylık
0.00%
Dividend History
Özsermaye Tarihi
Nakit Tutarı
Kayıt Tarihi
Ödeme Tarihi
Dec 31, 2025
$0.10
Dec 31, 2025
Jan 9, 2026
Nov 28, 2025
$0.10
Nov 28, 2025
Dec 10, 2025
Oct 31, 2025
$0.10
Oct 31, 2025
Nov 10, 2025
Sep 29, 2025
$0.10
Sep 30, 2025
Oct 10, 2025
Aug 29, 2025
$0.10
Aug 29, 2025
Sep 10, 2025
Jul 31, 2025
$0.10
Jul 31, 2025
Aug 8, 2025
Dividend Grafikleri
CLSPF Kâr Payları
CLSPF Dividend Growth (Yıllık Üstünlük)
Follow-Up Questions
Canadian Life Companies Split Corp.'in şu anki temettü ödemesi ve yıllık temettüsü nedir?
Canadian Life Companies Split Corp.'in temettü ödeme oranı nedir?
CLSPF'ün temettü dağıtım tarihi nedir?
Canadian Life Companies Split Corp. ne sıklıkla temettü öder?
Önemli İstatistikler
Önceki Kapanış
$5.47
Açılış fiyatı
$5.47
Günün Aralığı
$5.47 - $5.47
52 haftalık aralık
$3.53 - $5.47
İşlem hacmi
1.2K
Ort.Hacim
314
EPS (TTM)
2.21
Dividend yield
--
Piyasa Değeri
$58.7M
CANADIAN LIFE COS SPLIT CORP. nedir?
Canadian Life Companies Split Corp is a CA-based company operating in industry. The company is headquartered in Toronto, Ontario. The company went IPO on 2005-04-18. Canadian Life Companies Split Corp. is a mutual fund company. The company invests in a portfolio of four publicly traded Canadian life insurance companies: Great-West Lifeco Inc., Industrial Alliance Insurance & Financial Services Inc., Manulife Financial Corporation and Sun Life Financial Inc. Its objectives are to provide holders of Preferred shares with a cumulative preferential floating rate monthly dividend at an annual rate equivalent to the greater of 6.5% based on the $10 original issue price and the prevailing Canadian prime rate plus 2% annually based on the $10 original issue price, to a maximum of 9% and to pay holders the original issue price of $10. Its objective is to provide holders of Class A shares with such dividends as the directors of the Company may, from time to time, determine and to pay on the termination date such amounts as remain after paying the holders of Preferred shares the amounts owing to them. Its investment manager is Quadravest Capital Management Inc.