Valuation : E Split Corp.

Market Cap 354M 256M 221M 208M 189M 24.17B 357M 2.46B 955M 12.36B 961M 940M 40.6B P/E 2024
2.19x
P/E 2025 5.83x
Enterprise Value -20.41M -14.75M -12.72M -11.99M -10.92M -1.39B -20.57M -142M -55.07M -712M -55.38M -54.17M -2.34B EV / Sales 2024
-0.27x
EV / Sales 2025 -0.46x
Free-Float
-
Yield 2024
11.1%
Yield 2025 10.3%
Manager TitleAgeSince
Chief Executive Officer 54 2018-05-16
Director of Finance/CFO - 2018-05-16
Chief Investment Officer - -
Director TitleAgeSince
Director/Board Member - 2018-05-16
Director/Board Member - 2018-05-16
Director/Board Member 54 2018-05-16
Change 5-day change 1-year change 3-year change Capi.($)
-.--%-.--% - - 255M
-1.86%-5.64%-0.69%+59.08% 175B
+1.13%+3.29%+38.08%+90.61% 167B
+0.95%-0.64%+54.77%+258.50% 109B
-0.36%-4.93%-9.76%+78.80% 88.66B
-0.38%-4.78%-15.62%+46.57% 79.32B
+1.20%-1.85%+67.79%+171.18% 51.59B
+1.70%-1.50%+7.61%+62.15% 47.93B
-1.64%-5.10%-30.44%+37.90% 37.98B
+0.71%-1.96%+41.77%+140.72% 33.42B
Average +0.18%-1.98%+17.06%+105.05% 87.68B
Weighted average by Cap. -0.02%-1.67%+17.97%+104.17%

Financials

2024 2025
Net sales 173M 125M 108M 102M 92.59M 11.81B 174M 1.2B 467M 6.04B 470M 459M 19.84B 80.32M 58.03M 50.06M 47.16M 42.97M 5.48B 80.92M 558M 217M 2.8B 218M 213M 9.21B
Net income 151M 109M 94.16M 88.7M 80.82M 10.31B 152M 1.05B 408M 5.27B 410M 401M 17.32B 58.51M 42.28M 36.47M 34.36M 31.3M 3.99B 58.95M 407M 158M 2.04B 159M 155M 6.71B
Net Debt -388M -280M -242M -228M -208M -26.49B -391M -2.7B -1.05B -13.54B -1.05B -1.03B -44.49B -375M -271M -233M -220M -200M -25.56B -377M -2.6B -1.01B -13.07B -1.02B -994M -42.94B
Logo E Split Corp.
E Split Corp. (the Fund) is a Canada-based mutual fund company. The investment objectives of the Company for the Class A Shares are to provide holders with non-cumulative monthly cash distributions, and the opportunity for capital appreciation through exposure to the portfolio. The investment objectives of the Fund for the Preferred Shares are to provide holders with fixed cumulative preferential quarterly cash distributions and return the original issue price of $10.00 to holders upon maturity. The Fund invests in a portfolio composed primarily of common shares of Enbridge Inc., a North American oil and gas pipeline, gas processing and natural gas distribution company. Middlefield Limited is the manager of the Fund. Middlefield Capital Corporation is the advisor to the Fund.
Employees
-