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Flaherty & Crumrine Fixed Income Fund (FFI-UN.TO)

Flaherty & Crumrine Fixed Income Fund (FFI-UN.TO)
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Company Info

Flaherty & Crumrine Fixed Income Fund 181 Bay Street, Bay Wellington Tower Suite 2930, P.O. Box 793 Toronto ON M5J 2T3 CAN

https://www.bromptongroup.com P: 416-642-9055 F: 416-642-6001

Description:

Flaherty & Crumrine Investment Grade Preferred Income Fund is a closed-end investment trust. The company invests in a portfolio of fixed income securities consisting of US-dollar-denominated corporate debt securities and preferred securities of North American issuers. Its investment portfolio includes companies in various sectors namely insurance, banking, utilities, energy, communications, and financial services.

Key Statistics

Overview:

Market Capitalization, $K 73,665
Shares Outstanding, K 5,874
Annual Sales, $ -736 K
Annual Net Income, $ -962 K
60-Month Beta 0.00

Growth:

1-Year Return 5.11%
3-Year Return 12.16%
5-Year Return 5.47%
5-Year Dividend Growth -2.64%

Per-Share Information:

Latest Earnings Date N/A
Earnings Per Share ttm 2.35
Annual Dividend Rate, $ 0.84
Annual Dividend Yield 6.70%
Most Recent Dividend 0.070 on 12/30/21
Next Ex-Dividends Date 12/30/21
Dividend Payable Date 01/17/22
Dividend Payout Ratio 35.74%

FFI-UN.TO Ratios

Ratio
Price/Earnings ttm 5.34
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % 20.71%
Return-on-Assets % 13.14%
Profit Margin % 0.00%
Debt/Equity 0.52
Price/Sales 5.15
Price/Book 1.01
Book Value/Share 12.36

FFI-UN.TO Dividends

Date Value
10/28/21 $0.0700
09/28/21 $0.0700
08/30/21 $0.0700
07/29/21 $0.0700
06/29/21 $0.0700
05/28/21 $0.0700
04/29/21 $0.0700
03/30/21 $0.0700
02/25/21 $0.0700
01/28/21 $0.0700
12/30/20 $0.0700
11/27/20 $0.0700
10/29/20 $0.0700
09/29/20 $0.0700
08/28/20 $0.0700
07/30/20 $0.0700
06/29/20 $0.0700
05/28/20 $0.0700
04/29/20 $0.0700
03/30/20 $0.0700
02/27/20 $0.0700
01/30/20 $0.0700
12/30/19 $0.0200
11/28/19 $0.0700
10/30/19 $0.0700
09/27/19 $0.0700
08/29/19 $0.0700
07/30/19 $0.0700
06/27/19 $0.0700
05/30/19 $0.0700
04/29/19 $0.0700
03/28/19 $0.0700
02/27/19 $0.0700
01/30/19 $0.0700
12/28/18 $0.0150
11/29/18 $0.0700
10/30/18 $0.0700
09/27/18 $0.0700
08/30/18 $0.0700
07/30/18 $0.0700
06/28/18 $0.0700
05/30/18 $0.0700
04/27/18 $0.0700
03/28/18 $0.0800
02/27/18 $0.0800
01/30/18 $0.0800
12/28/17 $0.0800
11/29/17 $0.0800
10/30/17 $0.0800
09/28/17 $0.0800
08/29/17 $0.0800
07/27/17 $0.0800
06/28/17 $0.0800
05/29/17 $0.0800
04/26/17 $0.0800
03/29/17 $0.0800
02/24/17 $0.0800
01/27/17 $0.0800
12/28/16 $0.0500
11/28/16 $0.0800
10/27/16 $0.0800
09/28/16 $0.0800
08/29/16 $0.0800
07/27/16 $0.0800
06/28/16 $0.0800
05/27/16 $0.0800
04/27/16 $0.0800
03/29/16 $0.0800
02/25/16 $0.0800
01/27/16 $0.0800
12/29/15 $0.1600
11/26/15 $0.0800
10/28/15 $0.0800
09/28/15 $0.0800
08/27/15 $0.0800
07/29/15 $0.0800
06/26/15 $0.0800
05/27/15 $0.0800
04/28/15 $0.0800
03/27/15 $0.0800
02/25/15 $0.0800
01/28/15 $0.0800
12/29/14 $0.1050
09/26/14 $0.0800
08/27/14 $0.0800
07/29/14 $0.0800
06/26/14 $0.0800
05/28/14 $0.0800
04/28/14 $0.0800
03/27/14 $0.0800
02/26/14 $0.0800
01/29/14 $0.0800
12/27/13 $0.0550
11/27/13 $0.0800
10/29/13 $0.0800
09/26/13 $0.0800
08/28/13 $0.0800
07/29/13 $0.0800
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