Brompton Lifeco Split Corp.

  • Closing Price (Jul 11, 2025)
    $11.42
  • NAV (Jul 10, 2025)
    $10.14
  • Distribution Rate (Jul 11, 2025)
    6.13%
  • Distribution
    $0.17500 /qtr.
  • Unit NAV (Jul 10, 2025)
    $19.49
  • Total Assets (May 31, 2025)
    $143 Million
  • Risk Rating
    Low to Medium

Why Invest?

  • Approximately equal weight portfolio of common shares of Canada’s four largest publicly-listed life insurance companies (“LifeCos”)
  • LifeCos have historically delivered strong positive returns during periods of rising long term interest rates
  • Attractive distributions on Class A and Preferred Shares1
  • Potential for capital appreciation for Class A shares due to leveraged exposure to the LifeCos, which have a dominant market position in Canada and significant international operations

New to Split Share Funds?

Understand how Split Share Funds can help you diversify your portfolio, and get familiar with Split Corp. Class A shares and Split Corp. Preferred shares.

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Preferred Shares:

  • 5-year term, subject to extension for periods of up to five years, as determined by the board of directors
  • Quarterly cumulative preferred distributions (primarily eligible Canadian dividends)
  • Dividend resets at end-of-term extension, based on comparable market yields, without complicated reset formulas
  • Shareholder’s option to redeem at end-of-term, with no restrictions.

Class A Shares:

  • Monthly distributions (primarily return of capital)(1)
  • Opportunity for capital appreciation
  • Shareholder’s option to redeem at end-of-term, with no restrictions
  • Dividend Reinvestment Plan (DRIP) available

FUND FACTS

  • Ticker (Class A Shares)
    LCS
  • CUSIP (Class A Shares)
    112216106
  • Outstanding (Class A Shares) (Jul 11, 2025)
    7,224,424
  • Ticker (Preferred Shares)
    LCS.PR.A
  • CUSIP (Preferred Shares)
    112216205
  • Outstanding (Preferred Shares) (Jul 11, 2025)
    7,212,756
  • Maturity Date
    April 27, 2029
  • Inception Date (CAD Hedged)
    April 18, 2007
  • Manager/Portfolio Manager
    Brompton Funds Limited
  • Auditor
    PricewaterhouseCoopers LLP
  • Currency
    CAD
  • Custodian
    CIBC Mellon Trust Company
  • Transfer Agent
    TSX Trust Company
  • Eligibility
    All registered and non-registered accounts
  • Annual Concurrent Retraction Date
    Second last business day of April
  • Annual Retraction Notice Deadline
    At least 10 business days prior to retraction date.
  • Special Non-Concurrent Retraction Date
    April 27, 2029
  • Special Retraction Notice Deadline
    March 29, 2029
  • DBRS Rating
    Pfd-3

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