Valuation: Prime Dividend Corp.

Market Cap 8.89M 6.41M 5.54M 5.2M 4.73M 613M 9.02M 60.95M 23.83M 307M 24.07M 23.54M 1.02B P/E 2024
1.91x
P/E 2025 3.49x
Enterprise Value 1.82M 1.31M 1.13M 1.06M 967K 125M 1.84M 12.46M 4.87M 62.7M 4.92M 4.81M 209M EV / Sales 2024
-0.25x
EV / Sales 2025 -0.33x
Free-Float
49.5%
Yield 2024
7.36%
Yield 2025 7.92%
1 day-10.08%
1 week-10.94%
Current month-9.59%
1 month-7.40%
3 months+16.04%
6 months+25.32%
Current year+23.75%
1 week 14.5
Extreme 14.5
20.4
1 month 14.5
Extreme 14.5
20.4
Current year 11.01
Extreme 11.01
20.4
1 year 8.79
Extreme 8.79
20.4
3 years 4.14
Extreme 4.13845
20.4
5 years 4.14
Extreme 4.13845
20.4
10 years 3.52
Extreme 3.519745
20.4
Manager TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO - -
Corporate Secretary - 06/01/2010
Director TitleAgeSince
Chairman - 06/01/2010
Director/Board Member - -
Director/Board Member - -
Change 5-day change 1-year change 3-year change Capi.($)
-10.08%-10.94%+69.51%+91.81% 6.41M
-2.27%+0.94%+1.07%+70.64% 182B
0.00%+0.21%+35.08%+109.38% 164B
+0.63%+4.23%+62.64%+272.33% 111B
-2.38%-3.40%-1.51%+97.81% 97.9B
-3.12%-0.26%-13.97%+59.35% 86.73B
+0.68%+4.53%+73.80%+180.46% 52.67B
-1.39%+1.75%+11.64%+68.27% 50.31B
+0.11%-2.76%-29.79%+43.71% 37.81B
+0.03%+3.22%+51.94%+150.22% 35.02B
Average -1.48%+1.53%+26.04%+114.40% 81.73B
Weighted average by Cap. -0.40%+1.89%+20.44%+116.91%

Financials

2024 2025
Net sales 3.63M 2.62M 2.26M 2.12M 1.93M 250M 3.69M 24.9M 9.74M 125M 9.84M 9.62M 418M 2.56M 1.84M 1.59M 1.5M 1.36M 176M 2.6M 17.53M 6.86M 88.27M 6.92M 6.77M 294M
Net income 2.69M 1.94M 1.68M 1.57M 1.43M 185M 2.73M 18.45M 7.21M 92.86M 7.28M 7.13M 309M 1.82M 1.31M 1.13M 1.06M 969K 125M 1.85M 12.48M 4.88M 62.82M 4.93M 4.82M 209M
Net Debt -6.02M -4.33M -3.75M -3.52M -3.2M -414M -6.1M -41.23M -16.12M -208M -16.28M -15.93M -691M -7.08M -5.1M -4.41M -4.14M -3.77M -488M -7.18M -48.49M -18.96M -244M -19.15M -18.73M -813M
Logo Prime Dividend Corp.
Prime Dividend Corp. is a Canada-based mutual fund company. The Company’s investment objectives are to provide holders of Preferred Shares with cumulative preferential floating rate monthly cash dividends at a rate per annum equal to the prime rate plus 2.35%, with a minimum annual rate of 5.0% and a maximum annual rate of 8%; and to provide holders of Class A Shares with regular monthly cash distributions; and to return the original issue price of $10 and $15 to holders of Preferred Shares and Class A Shares, respectively. The Company invests in an actively managed portfolio of equity securities. In addition, up to 20% of the Net Asset Value may be invested in equity securities of issuers in the financial services or utilities sectors in Canada or the United States. It invests in various sectors, such as banks, life insurance companies, investment management companies, and utilities and other sectors. Quadravest Capital Management Inc. is the investment manager of the Company.
Employees
-
Date Price Change Volume
17/08/26 CA$14.90 -10.08% 8,540
14/08/26 CA$16.57 -9.70% 8,632
13/08/26 CA$18.35 -2.96% 2,505
12/08/26 CA$18.91 -0.47% 12,015
11/08/26 CA$19.00 +9.89% 17,736