Valuation: North American Financial 15 Split Corp.

Market Cap 744M 531M 461M 429M 394M 50.66B 756M 5.06B 1.99B 25.22B 1.99B 1.95B 84.56B P/E 2024
1.32x
P/E 2025 2.93x
Enterprise Value 141M 100M 87.27M 81.23M 74.58M 9.58B 143M 957M 376M 4.77B 377M 369M 16B EV / Sales 2024
-0.16x
EV / Sales 2025 -0.29x
Free-Float
49.98%
Yield 2024
15.1%
Yield 2025 16.1%
1 day-0.31%
1 week-0.52%
1 month+2.66%
3 months+22.52%
6 months+20.33%
Current year+18.97%
1 week 7.69
Extreme 7.69
7.71
1 month 7.65
Extreme 7.65
7.9
Current year 4.79
Extreme 4.7909
11.25
1 year 4.36
Extreme 4.3636
11.25
3 years 1.63
Extreme 1.6273
11.25
5 years 1.63
Extreme 1.6273
11.25
10 years 1.63
Extreme 1.6273
11.25
Manager TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO - -
Corporate Secretary - -
Director TitleAgeSince
Director/Board Member - -
Chairman - -
Director/Board Member - -
Change 5-day change 1-year change 3-year change Capi.($)
-0.31%-0.52% - - 531M
-0.73%+3.29%-0.13%+51.98% 169B
-0.16%+0.57%+39.78%+126.33% 161B
+0.16%-1.62%+56.63%+245.63% 106B
+1.17%+1.38%-0.82%+100.47% 96.97B
+0.92%+3.80%-17.83%+57.26% 77.18B
+0.73%-0.67%+69.59%+153.28% 50.59B
+0.25%+3.20%+8.84%+56.96% 48.25B
+0.60%+3.84%-30.67%+51.33% 38.63B
-0.18%+0.93%+43.39%+127.37% 33.33B
Average +0.24%+1.64%+18.75%+107.85% 86.78B
Weighted average by Cap. +0.15%+1.54%+19.39%+110.20%

Financials

2024 2025
Net sales 364M 259M 226M 210M 193M 24.77B 370M 2.47B 971M 12.33B 975M 953M 41.35B 233M 166M 144M 134M 123M 15.84B 236M 1.58B 621M 7.89B 623M 609M 26.44B
Net income 306M 218M 189M 176M 162M 20.81B 310M 2.08B 816M 10.36B 819M 801M 34.73B 172M 122M 106M 98.96M 90.86M 11.68B 174M 1.17B 458M 5.81B 459M 449M 19.49B
Net Debt -493M -352M -306M -284M -261M -33.56B -501M -3.35B -1.32B -16.71B -1.32B -1.29B -56.02B -604M -430M -374M -348M -320M -41.07B -613M -4.1B -1.61B -20.45B -1.62B -1.58B -68.56B
Logo North American Financial 15 Split Corp.
North American Financial 15 Split Corp. invests in a portfolio consisting of 15 financial services companies made up of Canadian and United States issuers. It offers two types of shares: Class A and Preferred. Its objective for preferred shares is to provide holders of Preferred Shares with cumulative preferential monthly cash dividends to be set by the Board of Directors annually and subject to a minimum of 7.00% and to pay the holders of the Preferred Shares $10 per Preferred Share on or about the termination date. Its objective for Class A Shares is to provide holders of Class A Shares with regular monthly cash distributions in an amount to be determined by the Board of Directors, and to permit holders to participate in all growth in the net asset value of the Company above $10 per Unit, by paying holders on or about the termination date, such amounts as remain in the Company after paying $10 per Preferred Share. Its investment manager is Quadravest Capital Management Inc.
Employees
-
Date Price Change Volume
31/07/26 $7.690 -0.31% 200
29/07/26 $7.714 -2.35% 1,000