Our Funds

Mulvihill Capital Management is a leading provider of yield-oriented investment funds that utilize option-based investment strategies to enhance yield and improve an investor's risk/return profile.

 

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Fund Name Ticker Current
NAV
Current
Distribution
Current
Yield*
Distributions
Since Inception
NAV Plus
Total Distributions
Fact Sheet Fund Update

ETFs

Mulvihill Canadian Bank Enhanced Yield ETF CBNK
$8.53 01/20/2025
  $0.058333 8.16% $1.92             $10.45                 
Mulvihill Enhanced Split Preferred Share ETF SPFD
$9.95 01/20/2025
  $0.083330 10.00% $0.08             $10.04                 
Mulvihill Premium Yield Fund MPY
$10.07 01/20/2025
  $0.064000 7.63% $1.27             $11.34                 

Mutual Funds

Mulvihill Premium Yield Fund MCM 101
$10.03 01/20/2025
  $0.064000 7.65% $2.80 $12.84  
MCM 103
$10.73 01/20/2025
  $0.064000 7.16% $2.80 $13.53  
MCM 105
$10.73 01/20/2025
  $0.064000 7.16% $2.80 $13.53  

Split Shares

Premium Global Income Split Corp.  
Preferred Share    PGIC.PR.A
$10.00 01/16/2025
  $0.062500 7.14% $0.38             $10.38                   
Class A Share    PGIC
  $7.39 01/16/2025
  $0.080000 13.75% $0.48             $7.87                   
   
$17.39  
             
Premium Income Corporation
Preferred Share    PIC.PR.A
$15.00 01/16/2025
  $0.106250 8.20% $24.57             $39.57                   
Class A Share    PIC.A
  $6.37 01/16/2025
  $0.080000 15.66% $29.25             $35.62                   
   
$21.37  
             
 
Discontinued Funds

 

Note*: Current Distribution Annualized / Current Market Price