| Capital Markets Industry | Financials Sector | Mr. Peter F. Cruickshank CEO | OTC PINK Exchange | CA13536V1076 ISIN |
| CA Country | - Employees | 30 Jun 2025 Last Dividend | 16 Dec 2025 Last Split | - IPO Date |
Canadian Banc Corp. is a close-ended equity mutual fund that was launched by Quadravest Inc., and it is managed by Quadravest Capital Management Inc. The fund specifically targets the public equity markets of Canada, focusing its investments on the stocks of companies that are engaged within the banking sector. It utilizes the S&P TSX Financial Index as a benchmark to gauge the performance of its investment portfolio. Initially known as Canadian Banc Recovery Corp., Canadian Banc Corp. underwent a rebranding and was officially formed on May 25, 2005. The fund is domiciled in Canada, indicating its primary geographical focus and regulatory adherence.
As a close-ended equity mutual fund, Canadian Banc Corp. provides investors with a structured opportunity to invest in equity securities. Unlike open-ended funds, Canadian Banc Corp. has a fixed number of shares available, which are traded on the stock market. This structure allows the fund to focus on longer-term investments in the Canadian banking sector, potentially offering a unique blend of stability and growth relative to other equity investments.
The fund’s primary investment focus is on stocks of companies that are part of the banking sector. This specialization means that Canadian Banc Corp. aims to capitalize on the financial performance and growth of the banking industry within Canada. Investors in the fund thereby gain exposure to the financial sector, which can be an integral part of a diversified investment portfolio.
Canadian Banc Corp. benchmarks the performance of its portfolio against the S&P TSX Financial Index. This strategic choice ensures that the fund’s performance is measured against a relevant and recognized financial index that accurately reflects the financial market dynamics and the performance of the financial sector in Canada. It provides investors with a clear reference point for evaluating the fund's effectiveness in achieving its investment objectives.