Valuation: TDb Split Corp.

Market Cap 49.46M 35.24M 30.58M 28.64M 26.2M 3.36B 50.1M 335M 131M 1.68B 132M 129M 5.58B P/E 2024
-2.11x
P/E 2025 1.1x
Enterprise Value -33.14M -23.61M -20.49M -19.19M -17.55M -2.25B -33.57M -224M -88.1M -1.12B -88.66M -86.73M -3.74B EV / Sales 2024
32.2x
EV / Sales 2025 -2.01x
Free-Float
46.35%
Yield 2024 *
-
Yield 2025 9.63%
1 day+0.55%
1 week+2.44%
Current month+0.99%
1 month+0.50%
3 months+40.25%
6 months+60.65%
Current year+55.70%
1 week 9.02
Extreme 9.02
9.31
1 month 8.8
Extreme 8.8
10.52
Current year 5.06
Extreme 5.060869
10.52
1 year 3.87
Extreme 3.869565
10.52
3 years 2.37
Extreme 2.365217
10.52
5 years 2.37
Extreme 2.365217
10.52
10 years 1.72
Extreme 1.721739
12.33
Manager TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO - -
Corporate Officer/Principal - -
Director TitleAgeSince
Chairman - -
Director/Board Member - -
Director/Board Member - -
Change 5-day change 1-year change 3-year change Capi.($)
+0.55%+2.44%+135.62%+30.90% 35.28M
-0.38%+2.82%+0.78%+58.99% 176B
-0.65%+1.01%+40.27%+123.93% 164B
+0.05%+1.76%+55.26%+249.90% 108B
-1.14%+5.26%-0.06%+109.32% 102B
+0.92%+11.90%-12.23%+69.09% 84.03B
-1.14%+1.15%+66.96%+152.83% 51.38B
-0.22%+2.82%+10.11%+62.33% 49.56B
-1.75%-0.90%-28.74%+51.11% 39.43B
-0.13%+0.89%+46.53%+129.46% 33.73B
Average -0.38%+3.36%+31.45%+103.79% 80.75B
Weighted average by Cap. -0.41%+3.48%+19.88%+113.79%

Financials

2024 2025
Net sales -2.24M -1.6M -1.39M -1.3M -1.19M -152M -2.27M -15.19M -5.96M -76.04M -6M -5.87M -253M 27.46M 19.57M 16.98M 15.9M 14.55M 1.86B 27.82M 186M 73.01M 931M 73.48M 71.88M 3.1B
Net income -7.24M -5.16M -4.48M -4.19M -3.83M -491M -7.33M -49.04M -19.24M -245M -19.37M -18.95M -817M 23.67M 16.86M 14.63M 13.7M 12.54M 1.61B 23.97M 160M 62.92M 803M 63.32M 61.94M 2.67B
Net Debt -88.25M -62.89M -54.58M -51.1M -46.75M -5.99B -89.4M -598M -235M -2.99B -236M -231M -9.96B -82.59M -58.86M -51.08M -47.83M -43.75M -5.61B -83.67M -560M -220M -2.8B -221M -216M -9.32B
Logo TDb Split Corp.
TDb Split Corp. is a mutual fund company. The Company invests in common shares of Toronto-Dominion Bank. Its investment objective is to provide holders of priority equity shares with fixed cumulative preferential monthly cash dividends in an amount of $0.05833 per share, to yield 7.0% annually, based on the $10 repayment amount (previously $0.04375 per share, yielding 5.25% annually) and to pay holders the Priority Equity share repayment amount of $10 per share on the termination date; and to provide holders of Class A shares with regular monthly cash distribution targeted to be $0.05 per Class A share when the net asset value per unit exceeds $12.50 and to permit such holders to participate in all growth in the net asset value of the Company above $10.00 per unit. Its investment manager is Quadravest Capital Management Inc.
Employees
-
Date Price Change Volume
26-08-06 $9.220 +0.55% 8,282
26-08-05 $9.170 +0.11% 5,544
26-08-04 $9.160 +0.33% 7,603
26-07-31 $9.130 -0.65% 7,656
26-07-30 $9.190 +2.11% 7,448