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Brompton Funds
ESP

Brompton Energy Split Corp.

Brompton Funds

Yield15.27%
Distribution$0.1000per unit · Monthly
NAV$6.8300as at 2026-08-27
Fund sizenot published by this manager
Next pay date2026-09-09
FrequencyMonthly
Risk-as rated by the manager
Published by the fund manager, on their own stated basis.how this was calculated ▾

Distribution rate as published by Brompton Funds.

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