DV
Dividend Vision

CNF — CNFinance Holdings Ltd

CNFinance Holdings Ltd (CNF)

Total return is -97.0% over the past 7.8 years, 307.6 points behind SPY at 210.6%. Its deepest 1-year drawdown was 68.0%.

CNFinance Holdings Ltd is a single-stock equity holding that trades as a stock rather than a traditional diversified ETF structure. The fund lacks standard ETF characteristics including a defined distribution frequency, stated expense ratio, and published distribution rate, making yield and cost transparency unavailable to investors. This holding may appeal to equity investors seeking direct exposure to CNFinance as a company rather than those pursuing a dividend income strategy.

CNF key facts

Asset type
Stock
Asset class
Equity
Inception date
11/07/2018
Last close
$2.25
Market cap
$49,225,992
Average volume
3400.0
Beta
-0.178
Payout ratio
0.0
Forward P/E
2.1796
EPS
$-10.00