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GDL

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1d
1w
1m

Analysis and statistics

  • Open
    11.271$
  • Previous Close
    11.3104$
  • 52 Week Change
    4.08$
  • Day Range
    -0.04$
  • 52 Week High/Low
    10.41$ - 14.4907$
  • Dividend Per Share
    0.0219
  • Market cap
    95 270 K$
  • EPS
    0.2928
  • Beta
    0.735
  • Volume
    --

About

GDL.TO is the stock symbol for the Granite REIT, a Canadian-based real estate investment trust. Granite REIT owns, develops, and manages logistics, warehouse, and industrial properties primarily in North America and Europe. Its portfolio consists of income-producing properties and properties under development. The company is listed on the Toronto Stock Exchange (TSX) under the symbol GDL.TO. Investors can buy and sell shares of Granite REIT through the TSX using this symbol.
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Factors

GlobalData PLC's performance affects GDL.TO prices. Strong revenue growth and profitability often lead to higher stock value.

Industry trends in data analytics and market research play a significant role. Positive industry outlooks can increase investor confidence.

Overall market conditions and investor sentiment impact all stocks, including GDL.TO. Bull markets generally boost prices.

News and announcements regarding GlobalData, such as acquisitions, partnerships, or major contract wins, can cause price fluctuations.

Economic indicators like GDP growth and inflation rates can indirectly affect GDL.TO by influencing business spending on data services.

Changes in interest rates can impact investor decisions, potentially shifting funds away from or towards stocks like GDL.TO.

Competitor performance influences market share perceptions and, consequently, GDL.TO's stock price. Strong competitors might dampen enthusiasm.

Regulatory changes in data privacy or market research can affect GlobalData's operations and stock valuation.

Currency exchange rates, particularly GBP/CAD since GlobalData is UK-based, can impact the value of GDL.TO for Canadian investors.

GDL.TO's dividend policy and yield can influence investor demand, especially for income-focused portfolios.

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