Picture of Premium Global Income Split logo

PGIC Premium Global Income Split Share Price

0.000.00%
ca flag iconLast trade - 00:00
FinancialsSpeculativeMicro CapNeutral

Momentum

Relative Strength (%)
1m-9.52%
3m-7.63%
6m-11.79%
1yr-36.06%
Volume Change (%)
10d/3m+23.31%
Price vs... (%)
52w High-36.75%
50d MA-10.36%
200d MA-11.16%

Growth & Value

Shareholder Activity

TypeBuy / Hold / Sell
Institutions
Directors
Community

Guru Screens

Quality

NameIndustryMarket
Return on Capital4.7%
Return on Equity2.17%
Operating Margin57.41%

Financial Summary

Health Trend(F-Score)

12345678910

Bankruptcy Score(Z-Score)

Distress
Cautious
Safe

Earnings Manipulation Risk(M-Score)

Other Ratios

Leverage (ttm)Total- Intang+ Pension
Gross Gearing
Net Gearing
Cash / Assets

Recent History

Latest interim period vs. prior periodIndustryMarket
Sales Growth
EPS Growth
3yr Compound Annual Growth RateIndustryMarket
Sales CAGR
EPS CAGR
DPS CAGR

Graphical History

Revenue
Blurred out image of Revenue chart
Net Income
Blurred out image of Net Income chart
Normalised EPS
Blurred out image of Normalised EPS chart
PE Ratio Range
Blurred out image of PE Ratio Range chart
Dividend Yield Range
Blurred out image of Dividend Yield Range chart

Analyst Forecasts

Price target
( price)
31st Dec 202531st Dec 2026
Est. Long Term Growth Rate: Net Profit
()
EPS
()
DPS
()
Net Profit
()
EPS
()
DPS
()
Consensus Estimate
1m Change
3m Change

Analyst Consensus

Strong SellSellHoldBuyStrong Buy

EPS 2025 / 2026

Blurred out image of Premium Global Income Split EPS forecast chart

Profile Summary

Premium Global Income Split Corp. (the Fund), formerly World Financial Split Corp., is a Canada-based mutual fund corporation. The Fund’s investment objectives are to provide preferred shareholders with fixed cumulative preferential monthly cash distributions in an amount of $0.0625 per preferred share, representing a yield on the $10.00 original issue price of the preferred shares of 7.5% per annum; to provide Class A shareholders with monthly cash distributions targeted to be 12.0% per annum payable monthly on the consolidated Class A share net asset value per share; and to return the issue price to holders of both preferred shares and Class A shares at the time of redemption of such shares on the termination date. The Fund invests in a diversified portfolio of primarily large capitalization global equity securities. The Fund may also invest up to 100% of its net assets in other public investment funds. The Fund's manager is Mulvihill Capital Management Inc. (Mulvihill).

Directors

Last Annual
December 31st, 2024
Last Interim
December 31st, 2024
Incorporated
December 5th, 2003
Public Since
February 14th, 2004
Sector
Collective Investments
Industry
Financials
Exchange
ca flag iconToronto Stock Exchange
Shares in Issue
1,109,457

PGIC Share Price Performance

Upcoming Events for PGIC

Similar to PGIC

Picture of 2028 Investment Grade Bond Trust logo

2028 Investment Grade Bond Trust

ca flag iconToronto Stock Exchange

Picture of Big Pharma Split logo

Big Pharma Split

ca flag iconToronto Stock Exchange

Picture of Brompton Energy Split logo

Brompton Energy Split

ca flag iconToronto Stock Exchange

FAQ