RemSense Technologies Limited logo

RemSense Technologies Limited (REM)

Market Closed
CXA CXA
- Market Cap
- P/E Ratio
2.09% Div Yield
133,851 Volume
- Eps
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Summary

REM pays dividends to its shareholders, with the most recent payment made on Jun 18, 2026. The next estimated payment will be in In 2 months on Sep 18, 2026 for a total of A$0.49904.
RemSense Technologies Limited has completed 1 stock splits, with the recent split occurring on Nov 23, 2023.
The company's stock is traded on 4 different exchanges and in various currencies, with the primary listing on BATS (USD).
REM and MORT Pay Over 9% Yields, But Both Have Lost Money Over Five Years

REM and MORT Pay Over 9% Yields, But Both Have Lost Money Over Five Years

There are variations in some asset class categories that can vary widely.

247wallst | 1 month ago
Melco Resorts: Undervalued With Catalysts Coming

Melco Resorts: Undervalued With Catalysts Coming

Melco Resorts & Entertainment will open the rebranded REM hotel in Macau in 2H26, targeting premium customers. REM will offer 150 suites averaging 1,000 square feet, emphasizing avant-garde design for high-end clientele. MLCO is among three Macau gaming operators introducing new or refurbished premium hotel capacity this year.

Seekingalpha | 2 months ago
Why This High-Yield ETF Recovered 28% While Most Income Investors Slept

Why This High-Yield ETF Recovered 28% While Most Income Investors Slept

iShares Mortgage Real Estate ETF (NYSEARCA:REM) pays a yield that stops most income investors in their tracks.

247wallst | 3 months ago

RemSense Technologies Limited (REM) FAQ

On which exchange is it traded?

RemSense Technologies Limited is listed on CXA.

What is its stock symbol?

The ticker symbol is REM.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 2.09%.

What is its market cap?

As of today, no market cap data is available.

Has RemSense Technologies Limited ever had a stock split?

RemSense Technologies Limited had 1 splits and the recent split was on Nov 23, 2023.

RemSense Technologies Limited Profile

Capital Markets Industry
Financials Sector
- CEO
CXA Exchange
US46435G3424 ISIN
US Country
- Employees
15 Jun 2026 Last Dividend
7 Nov 2016 Last Split
- IPO Date

Overview

The described entity is a financial fund which focuses primarily on investing a substantial portion of its assets—specifically, at least 80%—into the securities that are components of its underlying index. This index-based investment strategy suggests that the fund aims to mirror the performance of a specific financial market index, a common approach for mutual funds and exchange-traded funds (ETFs) seeking to offer investors returns that correspond to the broader market or a specific segment of the market. Additionally, the fund retains flexibility in its investment approach, with the possibility of allocating up to 20% of its assets into a mix of futures, options, swap contracts, cash, and cash equivalents. This blend suggests a strategy designed to manage risk, enhance liquidity, or potentially capture profits from market movements with derivative investments.

The fund is characterized as non-diversified. This designation indicates that it does not spread its investments across a wide range of securities to the extent that diversified funds do. Instead, it may concentrate its investments in a smaller number of issuers or sectors. While this can increase the potential for higher returns, it also raises the fund's exposure to risk. Non-diversified funds can be more volatile than diversified funds because they are more susceptible to the performance of individual investments.

Products and Services

  • Component Securities of Underlying Index
  • This refers to the primary investment focus of the fund. By allocating at least 80% of its assets to the securities that make up its underlying index, the fund seeks to track the performance of that index. These securities can include stocks, bonds, or other financial instruments, depending on the nature of the index. This strategy is typically aimed at providing investors with a passive investment option that reflects market or sector performance, with the underlying index serving as a benchmark.

  • Futures, Options, and Swap Contracts
  • As part of its strategy to manage risk, enhance liquidity, or potentially increase profits, the fund may invest up to 20% of its assets in these derivative instruments. Futures contracts are agreements to buy or sell an asset at a future date at a specified price, options give the holder the right but not the obligation to buy or sell an asset at a specified price, and swaps are derivatives in which two parties exchange cash flows or other financial instruments. These investments can be used to hedge against market volatility, speculate on future price movements, or gain exposure to various markets without the need to directly invest in those markets.

  • Cash and Cash Equivalents
  • This part of the fund's portfolio represents highly liquid investments that can be quickly converted into cash. Cash equivalents include money market instruments, Treasury bills, and short-term government bonds. Investing a portion of the fund's assets in cash and cash equivalents provides liquidity, meaning the fund can meet redemption requests or take advantage of new investment opportunities promptly. It also serves as a risk management tool, buffering the fund against market downturns.

Contact Information

Address: 50 Hudson Yards
Phone: 1-800-474-2737