- Industry | - Sector | - CEO | OTC GREY Exchange | CA25537R1091 ISIN |
Canada Country | - Employees | 10 Sep 2024 Last Dividend | 28 Jun 2018 Last Split | - IPO Date |
Dividend 15 Split Corp. is a specialized investment vehicle structured as a close-ended equity mutual fund, conceived and brought to life by Quadravest Inc. This fund is meticulously managed by Quadravest Capital Management, showcasing its foundation in the public equity markets of Canada. Since its inception on January 9, 2004, Dividend 15 Split Corp. has been steadfast in its commitment to delivering diverse investment opportunities to its clients. It achieves this by allocating its funds across a wide array of sectors, ensuring a broad market coverage. This strategy is not only aimed at capitalizing on different economic cycles but also at reducing investment risk by distributing exposure. The fund's performance is consistently gauged against the S&P TSX 60 Index, serving as a benchmark to measure its success and strategic alignment within the Canadian market landscape. Dividend 15 Split Corp.'s business operations are rooted in Canada, where it continues to develop its investment portfolio with a keen eye on strategic growth and opportunities.
At the core of Dividend 15 Split Corp.'s offering is its close-ended equity mutual fund, designed to navigate the complexities of the Canadian public equity markets. This product exemplifies the company's expertise in fund management, with a strategic emphasis on sectors that show promise for growth and stability. By managing investments in a close-ended structure, the fund can focus on long-term objectives, optimizing performance over time.
An essential service provided by Dividend 15 Split Corp. involves the benchmarking of its portfolio performance against the S&P TSX 60 Index. This practice is fundamental to evaluating the fund's market position and performance. Benchmarking serves as a critical analytic tool, allowing the firm to make informed decisions, align strategies with market trends, and communicate transparently with investors about where they stand in relation to major market indicators.
Understanding the importance of risk management in investment, Dividend 15 Split Corp. offers strategies that ensure investments are spread across various sectors. This approach not only mitigates risk but also capitalizes on the growth potential of multiple industries. By diversifying its investment portfolio, the fund taps into the stability of certain sectors while benefiting from the rapid growth of others, striking a balance that aims for overall portfolio growth and resilience.