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North American Fin 15 Split Corp Pref (FFN-PR-A.TO)

North American Fin 15 Split Corp Pref (FFN-PR-A.TO)
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Company Info

North American Fin 15 Split Corp Pref 200 Front Street West Suite 2510, P.O. Box 51 Toronto ON M5V 3K2 CAN

https://www.quadravest.com P: 416-304-4443 F: 416-304-4441

Sector:

Finance

INDUSTRY GROUPING:

TSX Asset Management

Description:

North American Financial 15 Split Corp is a mutual fund corporation. It invests in an actively managed portfolio of common shares comprised of core large-capitalization Canadian and United States financial services companies. It also invests in equity securities of issuers. The company's investment objective is to provide holders of Preferred Shares with cumulative preferential monthly cash dividends and to provide holders of Class A shares with regular monthly cash distributions.

Key Statistics

Overview:

Annual Sales, $ 359,651 K
Annual Net Income, $ 356,194 K
60-Month Beta 0.14
% of Institutional Shareholders 0.00%

Growth:

1-Year Return 2.44%
3-Year Return 14.38%
5-Year Return 6.24%
5-Year Revenue Growth 55.92%

Per-Share Information:

Next Earnings Date N/A
Annual Dividend & Yield 0.00 (8.04%)
Annual Dividend & Yield (Fwd) 0.88 (8.04%)
Most Recent Dividend 0.073 on 11/28/25
Next Ex-Dividends Date 11/28/25
Dividend Payable Date 12/10/25
Dividend Payout Ratio 0.00%
Most Recent Split 1-1 on 12/30/19

FFN-PR-A.TO Ratios

Ratio
Price/Earnings ttm N/A
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % 41.65%
Return-on-Assets % 16.22%
Profit Margin % 85.01%
Debt/Equity N/A
Price/Sales N/A
Price/Book N/A
Book Value/Share N/A

FFN-PR-A.TO Dividends

Date Value
11/28/25 $0.0729
10/31/25 $0.0729
09/29/25 $0.0729
08/29/25 $0.0729
07/31/25 $0.0729
06/30/25 $0.0729
05/30/25 $0.0729
04/30/25 $0.0729
03/31/25 $0.0729
02/28/25 $0.0729
01/31/25 $0.0729
12/31/24 $0.0729
11/29/24 $0.0792
10/31/24 $0.0792
09/27/24 $0.0792
08/30/24 $0.0792
07/31/24 $0.0792
06/28/24 $0.0792
05/31/24 $0.0792
04/29/24 $0.0792
03/27/24 $0.0792
02/28/24 $0.0792
01/30/24 $0.0792
12/28/23 $0.0792
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