PARTNERS LP Share Price Toronto S.E.

Equities

PVF.UN

CA70214T1194

Investment Management & Fund Operators

Delayed Toronto S.E. 18:56:45 23/04/2024 BST 5-day change 1st Jan Change
75 CAD +1.74% Intraday chart for PARTNERS LP -10.88% +13.64%

Financials

Sales 2022 1.13B 1.54B 89.83B Sales 2023 96.92M 132M 7.72B Capitalization 4.53B 6.19B 361B
Net income 2022 1.12B 1.53B 89.33B Net income 2023 13M 17.75M 1.04B EV / Sales 2022 3.42 x
Net Debt 2022 689M 941M 54.92B Net Debt 2023 823M 1.12B 65.62B EV / Sales 2023 55.2 x
P/E ratio 2022
3.48 x
P/E ratio 2023
916 x
Employees -
Yield 2022 *
-
Yield 2023
-
Free-Float 42.21%
More Fundamentals * Assessed data
Dynamic Chart
1 day+1.74%
Current month+13.64%
6 months+17.19%
Current year+13.64%
More quotes
1 year
60.75
Extreme 60.75
75.00
3 years
55.00
Extreme 55
81.00
5 years
0.00
Extreme 0
81.00
10 years
0.00
Extreme 0
81.00
More quotes
Date Price Change Volume
23/04/24 75 +1.74% 300

Delayed Quote Toronto S.E., April 23, 2024 at 06:56 pm

More quotes
Partners Value Investments L.P. is a Bermuda-based investment partnership. The Company’s principal investments are an ownership interest in approximately 130 million BN Shares and approximately 30 million Class A limited voting shares of Brookfield Asset Management Ltd. The Company’s objective is to provide its unitholders with capital appreciation and holders of preferred units with income returns. Its investment income includes dividends from its investment in Brookfield Corporation and Brookfield Asset Management Ltd. shares and other securities. Its investments in Brookfield Corporation and Brookfield Asset Management Ltd. are owned indirectly through its wholly owned subsidiaries, Partners Value Investments Inc., and Partners Value Split Corp. It also holds a portfolio of other securities, including investments in limited partnership units of Brookfield Business Partners, BNRE Shares and a diversified portfolio of other securities. The Company is managed by PVI Management Trust.
More about the company