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Dividend 15 Split Corp T.DFN

Alternate Symbol(s):  DFNPF | DVSPF | T.DFN.PR.A

Dividend 15 Split Corp. is a Canada-based mutual fund, which invests primarily in a portfolio of dividend yielding common shares, which includes approximately 15 Canadian companies. The Company offers two types of shares, including Preferred shares and Class A shares. Its investment objectives with respect to Preferred Shares are to provide holders with fixed cumulative preferential monthly cash dividends in an amount of $0.04583 per Preferred share to yield 5.5% per annum on the $10 repayment amount and to return the $10 repayment amount to their holders on the termination date. Its investment objectives with respect to Class A Shares are to provide holders with regular monthly cash distribution targeted to be $0.10 per Class A share and return the original issue price to their holders on the termination date. The net asset value per unit must remain above the required $15 per unit threshold for distributions to be declared. Its investment manager is Quadravest Capital Management Inc.


TSX:DFN - Post by User

Post by mousermanon Jul 10, 2023 12:45pm
282 Views
Post# 35533762

More shorts piling on DFN

More shorts piling on DFNI see the short position has now jumped to over 1% of the float. More commons than preferreds out by quite a big number...something bad this way comes....
Short Positions for DFN
Symbol Report Date Volume Change Shares Issued % Float
T : DFN 2023-06-30 1,313,954 205,363 120,012,152 1.09
T : DFN 2023-06-15 1,108,591 393,158 118,909,752 0.93
T : DFN 2023-05-31 715,433 286,847 118,909,752 0.60
T : DFN 2023-05-15 428,586 74,413 118,909,752 0.36
T : DFN 2023-04-30 354,173 -69,660 116,358,552 0.30
T : DFN 2023-04-15 423,833 -255,520 112,595,652 0.38
T : DFN 2023-03-31 679,353 -72,455 112,595,652 0.60
T : DFN 2023-03-15 751,808 211,311 112,595,652 0.67
T : DFN 2023-02-28 540,497 97,734 109,642,752 0.49
T : DFN 2023-02-15 442,763 -102,753 107,093,052 0.41
T : DFN 2023-01-31 545,516 43,505 107,093,052 0.51
T : DFN 2023-01-15 502,011 -80,266 107,093,052 0.47
T : DFN 2022-12-31 582,277 49,218 105,688,952 0.55
T : DFN 2022-12-15 533,059 255,608 105,688,952 0.50
T : DFN 2022-11-30 277,451 -119,144 104,700,252 0.26

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