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First National Mortgage Investment Fund

TSX: FNM.UN
Delayed quote

$8.35

Today's change+0.03 +0.36%
Updated August 27 1:03 PM EDT. Delayed by at least 15 minutes.
 

First National Mortgage Investment Fund

TSX: FNM.UN
Delayed quote

$8.35

Today's change+0.03 +0.36%
Updated August 27 1:03 PM EDT. Delayed by at least 15 minutes.

First National Mortgage Investment Fund gaining

First National Mortgage Investment Fund closed up Thursday by $0.03 or 0.36% to $8.35, despite crossing below its 20-day moving average. This security is unchanged over the last five days and the last 52 weeks. This security has outperformed the S&P TSX by 8.41% during the last year.

Key company metrics

  • Trailing P/E14.11×
  • P/E 1 year forwardNegative, not meaningful
  • Forward PEGNegative, not meaningful
  • Indicated annual dividend$0.60
  • Dividend yield7.19%
  • Trailing EPS$0.59
Updated August 27 1:03 PM EDT. Delayed by at least 15 minutes.
S&P TSX2.88%Sector:FinancialsIndustry:Investment Trusts
  • Income Statement
  • Balance Sheet
  • Cash Flow
Quarter | Annual
Q2/2014Q4/2013Q2/2013
Fiscal Quarter Endvalues in $ millions unless otherwise notedJun 30, 201406/30/2014Dec 31, 201312/31/2013Jun 30, 201306/30/2013
Revenue--0--
Total other revenue------
Total revenue000
Gross profit--0--
Total cost of revenue000
Total operating expense101
Selling / general / administrative000
Research & development------
Depreciation / amortization------
Interest expense (income), net operating------
Unusual expense (income)------
Other operating expenses, total------
Operating income-10-1
Interest income (expense), net non-operating------
Gain (loss) on sale of assets------
Other------
Income before tax221
Income after tax221
Income tax, total000
Net income221
Total adjustments to net income------
Net income before extra. items221
Minority interest------
Equity in affiliates------
U.S. GAAP adjustment------
Inc. avail. to common excl. extra. items221
Inc. avail. to common incl. extra. items221
Diluted net income221
Dilution adjustment--0--
Diluted weighted average shares666
Diluted EPS excluding extraordinary itemsvalue per share0.290.300.20
Dividends per sharevalue per share0.300.300.20
Diluted normalized EPSvalue per share0.290.300.20