• LAST PRICE
    6.7600
  • TODAY'S CHANGE (%)
    Trending Up0.1400 (2.1148%)
  • Bid / Lots
    6.7100/ 69
  • Ask / Lots
    6.7600/ 8
  • Open / Previous Close
    6.6900 / 6.6200
  • Day Range
    Low 6.6600
    High 6.7600
  • 52 Week Range
    Low 3.8100
    High 6.7600
  • Volume
    129,365
    above average

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Price Comparison Graph. See accessible table below
1 Day Comparison Chart Accessibility Table. Wednesday's close: 6.62
TimeVolumeDGS
09:32 ET263006.7
09:34 ET6006.7
09:43 ET73006.67
09:45 ET16006.67
09:48 ET1006.68
09:52 ET3006.68
09:56 ET1006.66
09:59 ET1006.66
10:10 ET35006.69
10:17 ET50006.69
10:19 ET3006.67
10:24 ET117006.69
10:32 ET24006.71
10:35 ET5006.7
10:37 ET1006.71
10:39 ET20006.7
10:42 ET5006.7
10:51 ET81006.72
10:53 ET1006.72
10:55 ET1006.73
10:57 ET18006.73
11:02 ET5006.72
11:08 ET53006.73
11:09 ET9006.74
11:11 ET32006.71
11:18 ET3006.71
11:26 ET1006.72
11:27 ET8006.72
11:29 ET2006.72
11:58 ET15006.72
12:05 ET2006.72
12:18 ET2006.72
12:23 ET2006.72
12:36 ET76006.72
01:01 ET5006.71
01:21 ET1006.71
01:37 ET1006.73
01:48 ET40006.73
01:51 ET1006.73
02:06 ET16006.73
02:20 ET70006.75
02:47 ET1006.73
03:03 ET1006.72
03:07 ET19006.74
03:12 ET49006.74
03:30 ET5006.74
03:50 ET7006.75
03:52 ET6006.75
03:56 ET40006.74
03:57 ET11006.75
03:59 ET71006.76
Data delayed at least 15 minutes.
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Industry Peers

Industry Peers Overview Table
Company sortableMarket Cap sortableP/E Ratio (TTM) sortableEPS Growth (5yr) sortable
CanadaDGS
Dividend Growth Split Corp
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0.0x
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As of 2024-09-19

Company Information

Dividend Growth Split Corp. (the Fund) is a Canada-based mutual fund company. The Fund’s investment objective is 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 consisting primarily of equity securities of Canadian dividend growth companies. The Fund may invest a portion of the portfolio’s assets in exchange-traded funds. Its investment portfolio includes approximately 32 securities across nine sectors, and one exchange-traded fund. The Fund is managed by Brompton Funds Limited.

Contact Information

Headquarters
Suite 2930 Bay Wellington Tower, 181 Bay StreetTORONTO, ON, Canada M5J 2T3
Phone
416-642-9055
Fax
416-642-6001

Executives

President, Chief Executive Officer, Director
Mark Caranci
Chief Financial Officer, Director
Ann Wong
Senior Vice President and Corporate Secretary
Kathryn Banner
Senior Vice President and Senior Portfolio Manager
Michael Clare
Senior Vice President
Christopher Cullen

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Fundamentals Table
Market Cap
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Revenue (TTM)
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Shares Outstanding
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Dividend Yield
17.75%
Annual Dividend Rate
1.2000 CAD
Ex-Dividend Date
08-30-24
Pay Date
09-16-24
Beta
---
EPS
---
Book Value
---
P/E Ratio
0.0x
Price/Sales (TTM)
---
Price/Cash Flow (TTM)
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Operating Margin
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*GAAP = prior to non-GAAP analyst adjusted earnings.

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