Risk factor
Poor trading liquidity
Profitability factor
Undervalued vs peers
About
Canadian General Investments, Limited operates as a closed-end equity fund, with its management entrusted to Morgan Meighen & Associates Limited. Its investment mandate focuses on publicly traded companies within the Canadian market, targeting a wide range of industries and businesses of all market capitalizations. The portfolio is constructed using a fundamental, bottom-up stock selection process, prioritizing both the timely realization of capital appreciation and the inclusion of suitable income-producing assets. Its performance is measured against the S&P/TSX Composite Index. Established on January 15, 1930, the firm is headquartered in Ontario, Canada.
Company Valuation
Based on key historical and expected multiples, the stock is undervalued relative to its peers. In particular, the stock is underpriced on P/E, 'cheap' on EV/EBITDA, trad