First Asset North American Convertibles Fund


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First Asset North American Convertibles Fund is a Canada-based closed-end investment trust. The fund's objectives are to provide security holders with quarterly distributions, and the opportunity for capital appreciation. Further, it invests in a diversified portfolio comprised primarily of convertible debentures of Canadian, U.S., and global issuers. The portfolio is actively managed by First Asset.

Contact Information

Main Phone: +1 416 642-1289
Address: 2 Queen Street East
Address 2: Suite 1200
State: ON
City / Town: Toronto
Country: CAN
Postal Code: M5C 3G7

Issuer Information

Exchange: TSX
CEO: Rohit D. Mehta
NAICS: Portfolio Management(523920)
$ 7.87 $ 0. (0.00%)
Last Price 7.87 Change $ 0. Change % 0.00 Tick N/A
Bid N/A Bid Size 0.00 Ask N/A Ask Size 0.00
Open N/A High N/A Low N/A Prev Close 7.87
Last Trade Volume 0 52 Wk Hi N/A 52 Wk Low N/A
Market Cap 12.7 mi Ex-Div Date N/A Div Rate N/A Yield N/A
Shares 1,608,625.00 EPS (TTM) 0.42 PE Ratio 17.10 Exchange TSX