Source - Alliance News
Canadian General Investments Ltd - closed-end equity fund focussed on medium to long-term capital appreciation and dividends in Canadian corporations - Reports a net asset value per share of $53.31 at March 31. This results in a year-to-date NAV return, with dividends reinvested, of positive 8.9%. 12-month NAV return, with dividends reinvested, is negative 8.1%. This compares with a year-to-date total NAV return of positive 4.6% for the company’s benchmark index, the S&P/TSX Composite Index. The benchmark’s 12-month total return is negative 8.1%.
Current stock price: 1,650.00 pence
12-month change: down 35%
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