Advertisement
Advertisement
U.S. markets closed
Advertisement
Advertisement
Advertisement
Advertisement

SIR Royalty Income Fund (SIRZF)

Other OTC - Other OTC Delayed Price. Currency in USD
Add to watchlist
10.050.00 (0.00%)
At close: 01:55PM EST
Advertisement
Full screen
Trade prices are not sourced from all markets
Gain actionable insight from technical analysis on financial instruments, to help optimize your trading strategies
Chart Events
Neutralpattern detected
Previous Close10.05
Open10.05
Bid0.00 x 0
Ask0.00 x 0
Day's Range10.05 - 10.05
52 Week Range2.82 - 10.71
Volume100
Avg. Volume186
Market Cap84.14M
Beta (5Y Monthly)3.40
PE Ratio (TTM)33.05
EPS (TTM)0.30
Earnings DateMar 29, 2022 - Apr 04, 2022
Forward Dividend & Yield0.86 (8.60%)
Ex-Dividend DateJan 19, 2022
1y Target EstN/A
Fair Value is the appropriate price for the shares of a company, based on its earnings and growth rate also interpreted as when P/E Ratio = Growth Rate. Estimated return represents the projected annual return you might expect after purchasing shares in the company and holding them over the default time horizon of 5 years, based on the EPS growth rate that we have projected.
Fair Value
XX.XX
N/A

Subscribe to Yahoo Finance Plus to view Fair Value for SIRZF

Learn more
View details
Research that delivers an independent perspective, consistent methodology and actionable insight
Related Research
  • SIR ROYALTY INCOME FUND
    GNL: Lowering target price to $15.00GLOBAL NET LEASE INC has an Investment Rating of HOLD; a target price of $15.000000; an Industry Subrating of Medium; a Management Subrating of High; a Safety Subrating of High; a Financial Strength Subrating of Medium; a Growth Subrating of Medium; and a Value Subrating of Low.
    Rating
    Fair Value
    Economic Moat
    3 days agoArgus Research
View more
  • CNW Group

    SIR Royalty Income Fund Announces January 2022 Distribution

    SIR Royalty Income Fund (TSX: SRV.UN) ("the Fund") today declared a cash distribution of $0.09 per unit for the period December 1, 2021, to December 31, 2021. The distribution will be payable on January 31, 2022, to unitholders of record as at the close of business on January 20, 2022.

  • CNW Group

    SIR Royalty Income Fund Announces Filing of SIR Corp. Fiscal 2022 First Quarter Results

    SIR Royalty Income Fund (TSX: SRV.UN) (the "Fund") today announced that SIR Corp. ("SIR" or the "Company"), the operating entity from which the Fund earns equity income, has filed its financial results for the 12-week period ended November 21, 2021 ("Q1 2022"). SIR's unaudited interim consolidated financial statements and management's discussion & analysis ("MD&A") for Q1 2022 can be accessed via the Fund's profile on the SEDAR website at www.sedar.com under "Other", or the SIR website at www.si

  • CNW Group

    SIR Royalty Income Fund Announces December 2021 Distribution and Special Year-End Distribution

    SIR Royalty Income Fund (TSX: SRV.UN) ("the Fund") today declared a cash distribution of $0.09 per unit for the period November 1, 2021 to November 30, 2021 (the "December Distribution"). The Fund also declared a special year-end cash distribution of $0.10 per unit (the "Special Distribution"). The December Distribution and the Special Distribution will be payable on December 31, 2021 to unitholders of record as at the close of business on December 20, 2021.

Advertisement
Advertisement