CLH
This asset is not currently listed on any markets available through Pearler. The information on this page may be inaccurate or out of date.
Collection House Limited
π¦πΊ ASX
π Overview
π Performance
π° Dividends
π΅ Cost
π Esg
π€ Advanced
π¨βπ©βπ§βπ¦ Community
π
N/A
Annual Growth
5 years average annual growth
π°
6.78%
Annual dividend yield
Based on the most recent dividend
π΅
$ 500
Minimum Order
Due to regulatory requirements
π
17
Pearlers Invested
Since January 2020
π Overview
Key information
π Fund Overview
Collection House Limited
π Performance
Price History
-95.72%
1M
All Time
Graph
Table
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Payouts
π° Annual Dividend Yield*
6.78%
π° Annual Dividend Earnings Per $1,000 invested**
$67.77
π° Most Recent Dividend Franked Percentage Estimate
100.00%
π° Average Dividend Franked Percentage Estimate
100.00 %
π° Dividend reinvestment
* Based on the most recent dividend
** Calculated by multiplying the most recent dividend yield by $1,000
Dividend History
1Y
5Y
10Y
Graph
Table
Year
Yearly Dividend Earnings Per Share
Franking Estimate
2024
$0.00
0.00%
2023
$0.00
0.00%
2022
$0.00
0.00%
2021
$0.00
0.00%
2020
$0.00
0.00%
2019
$0.08
100.00%
2018
$0.08
100.00%
2017
$0.08
100.00%
2016
$0.08
100.00%
2015
$0.09
50.00%
π΅ Costs
πΌ
N/A
Management Fee
Included in unit price, not charged by Pearler
πΈ
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Technical Info
π° Price*
$0.07
*Price may be up to 24 hours old
π©βπ©βπ¦ Community Insights
How our community is investing
π Pearlers invested in CLH
0
π Total Capital Earnings
$1K
π Average investment frequency
29 weeks
π΅ Average investment amount
$141
β° Last time a customer invested in CLH
842 days
CLH investor breakdown
π΅ Income of investors
More than 200k
150k - 200k
100k - 150k
50k - 100k
Less than 50k
πΆ Age of investors
18 - 25
26 - 34
35 - 90
π Legal gender of investors
Female
Male
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Australian Foundation Investment Company Ltd is a AU-based company operating in industry. The company is headquartered in Melbourne, Victoria. Australian Foundation Investment Company Limited is an investment company, which is focused on investing in Australian and New Zealand equities. Its investment objective is to pay a stable to growing dividend over time and to provide attractive total returns over the medium to long term. The company has two portfolios of securities: the investment portfolio and the trading portfolio. The investment portfolio holds securities which the Company intends to retain on a long-term basis and includes a small sub-component over which options may be written and an additional small sub-component of international (non-Australian/New Zealand listed) stocks. The trading portfolio consist of securities that are held for short term trading only, including call option contracts written over securities that are held in the specific sub-component of the investment portfolio and on occasion put options, and is relatively small in size. Its investment sectors include banks, industrials, healthcare, and others.
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