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Goliath Resources Ltd. (CA38171A2092)

Market Closed
7 Aug, 20:00
XSTU XSTU
0. 98
+0.03
+2.8361%
- Market Cap
- P/E Ratio
0.2% Div Yield
3,600 Volume
- Eps
0.95
Previous Close
Add Transaction
Day Range
0.93 0.99
Year Range
0.77 2.1
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Summary

CA38171A2092 closed Friday higher at €0.98, an increase of 2.8361% from Thursday's close, completing a monthly increase of 14.2357% or €0.12. Over the past 12 months, CA38171A2092 stock lost -35.5921%.
CA38171A2092 pays dividends to its shareholders, with the most recent payment made on May 29, 2026. The next estimated payment will be in In 9 months on May 29, 2027 for a total of €10.3.
The last earnings report, released on Apr 02, 2026, exceeded the consensus estimates by 0%. On average, the company has surpassed earnings expectations by 0%, based on the last three reports.
Goliath Resources Ltd. has completed 1 stock splits, with the recent split occurring on Sep 09, 2014.
The company's stock is traded on 3 different exchanges and in various currencies, with the primary listing on LSE (GBX).

CA38171A2092 Chart

Goliath Resources Ltd. (CA38171A2092) FAQ

What is the stock price today?

The current price is €0.98.

On which exchange is it traded?

Goliath Resources Ltd. is listed on XSTU.

What is its stock symbol?

The ticker symbol is CA38171A2092.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 0.2%.

What is its market cap?

As of today, no market cap data is available.

Has Goliath Resources Ltd. ever had a stock split?

Goliath Resources Ltd. had 1 splits and the recent split was on Sep 09, 2014.

Goliath Resources Ltd. Profile

Capital Markets Industry
Financials Sector
Dr. Alisdair Gordon MacKenzie Nairn C.F.A., Ph.D. CEO
XSTU Exchange
GB0033862573 ISIN
United Kingdom Country
1 Employees
30 Apr 2026 Last Dividend
- Last Split
- IPO Date

Overview

EP Global Opportunities Trust plc operates as a closed-ended equity mutual fund, facilitated by its launch and management under Edinburgh Partners AIFM Limited, with further co-management by Edinburgh Partners Limited. The fund's inception on December 13, 2003, marked its commitment to investing in a diverse array of global public equity markets. Being domiciled in the United Kingdom, the organization primarily targets value stocks across various sectors, aiming to capitalize on a broad spectrum of global investment opportunities. Through a meticulous approach that incorporates fundamental analysis focusing on profits, cash flow, and balance sheet evaluations, the fund strategically curates its investment portfolio. The essence of its investment philosophy is complemented by in-depth, in-house research, ensuring a thorough vetting process for potential investments.

Products and Services

The EP Global Opportunities Trust plc provides a specialized product through its investment fund, utilizing a distinct approach to managing its equity mutual fund. Below is a detailed outline of its primary offering:

  • Global Public Equity Investments: The cornerstone of the fund’s strategy is to diversify investors' portfolios by incorporating stocks from globally operating companies across various sectors. This international perspective allows for broad exposure to global market trends and opportunities.
  • Value Stock Investments: A significant emphasis is placed on identifying and investing in value stocks. This strategy aims at uncovering shares of companies that are believed to be trading for less than their intrinsic values, based on an analysis of their financial health and market position.
  • Fundamental Analysis: The fundamental analysis conducted by EP Global Opportunities Trust focuses on critical financial metrics, including profits, cash flow, and the health of a company's balance sheet. This rigorous analysis forms the backbone of the fund's investment decision-making process, ensuring a methodical approach to portfolio construction.
  • In-House Research: A key feature of the fund's strategy is its reliance on comprehensive, in-house research to guide its investment choices. This dedicated research effort supports the identification of promising investment opportunities while adhering to the fund's value investment philosophy.

Contact Information

Address: 27-31 Melville Street
Phone: 44 13 1270 3800