Canadian General Investments Reports March 31 NAV
Canadian General Investments reports unaudited net asset value per share of $81.26 at March 31, 2026, with year-to-date and 12-month NAV returns of 1.1% and 29.6%, respectively. The fund’s leverage was 11.8% at quarter-end, and its share price returned -0.1% year-to-date and 32.6% over 12 months. Sector weightings and top-ten holdings (35.4% of portfolio) were disclosed.
Scoring Rationale
Official company disclosure provides actionable portfolio and NAV details, boosting credibility and usefulness for investors. Novelty is limited to a routine quarter update and scope is fund-specific, so score reflects solid actionability and credibility but moderate novelty.
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Sources
- Read OriginalCanadian General Investments: Investment Update – Unauditedmontrealgazette.com



