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Premia Finance S.p.A. (PFI)

Market Closed
15 Jul, 15:30
XMIL XMIL
0. 67
+0
+0.7576%
- Market Cap
- P/E Ratio
1.78% Div Yield
5,000 Volume
- Eps
0.66
Previous Close
Add Transaction
Day Range
0.67 0.67
Year Range
0.44 1.44
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Summary

PFI closed Wednesday higher at €0.67, an increase of 0.7576% from Tuesday's close, completing a monthly decrease of -2.9197% or -€0.02. Over the past 12 months, PFI stock lost -27.7174%.
PFI pays dividends to its shareholders, with the most recent payment made on Jun 26, 2026. The next estimated payment will be in In 2 months on Sep 26, 2026 for a total of €0.262.
The stock of the company had never split.
The company's stock is traded on 2 different exchanges and in various currencies, with the primary listing on NASDAQ (NMS) (USD).

PFI Chart

PFI: Why FXO Looks Better

PFI: Why FXO Looks Better

Invesco Dorsey Wright Financial Momentum ETF holds 41 financial stocks with high relative strength. The PFI ETF has outperformed the Financial Select Sector SPDR Fund, XLF, since 2006 but has lagged it over the past decade. First Trust Financials AlphaDEX Fund appears more attractive than PFI on several points.

Seekingalpha | 1 year ago

Premia Finance S.p.A. (PFI) FAQ

What is the stock price today?

The current price is €0.67.

On which exchange is it traded?

Premia Finance S.p.A. is listed on XMIL.

What is its stock symbol?

The ticker symbol is PFI.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 1.78%.

What is its market cap?

As of today, no market cap data is available.

Has Premia Finance S.p.A. ever had a stock split?

No, there has never been a stock split.

Premia Finance S.p.A. Profile

Capital Markets Industry
Financials Sector
Richard A. Horowitz CEO
XMIL Exchange
IT0005442154 ISIN
US Country
321 Employees
22 Jun 2026 Last Dividend
- Last Split
- IPO Date

Overview

The company operates a specialized investment fund that focuses on tapping into the momentum within the financials sector. It aims to closely mirror the performance of its underlying index, which is meticulously constructed to include a minimum of 30 distinguished companies known for their strong relative strength or momentum indicators. The portfolio strategy involves a commitment to invest at least 90% of its total assets into the securities that align with the underlying index, ensuring a high level of fidelity to its performance characteristics and target investments.

Products and Services

  • Momentum-Based Investment Fund
  • This product focuses on investing in securities from the financial sector exhibiting significant momentum characteristics. The fund's strategy is to replicate the performance of its underlying index, which is composed of at least 30 companies selected for their outstanding momentum, aiming to provide investors with growth opportunities in the financial sector through a meticulous selection process.

  • Portfolio Management Services
  • With a commitment to maintaining an investment level of at least 90% in index-representative securities, the company offers sophisticated portfolio management services. This involves continuous monitoring and adjusting of the portfolio to ensure alignment with the underlying index's composition and performance, thereby adhering to the momentum investing strategy within the financial sector.

Contact Information

Address: 3500 Lacey Road
Phone: 1-800-983-0903