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TSX · Asset Management · CAD

Clairvest Group Inc. (CVG.TO) Stock Analysis

Clairvest Group Inc. (CVG.TO) is a Asset Management stock listed on TSX and quoted in Canadian Dollar.

CVG.TO

CA$81.16

CA$0.00 (0.00%)

Sep 4, 2026 · Market close

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Price History

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CVG.TO Key Statistics

As of Sep 4, 2026
Trading
Open
CA$81.16
Previous Close
CA$81.16
52-Week Range
69.56–87.00
BetaHow much the share price moves relative to the wider market. 1.0 moves in line with it; above 1.0 swings more, below 1.0 less.
−0.36
Valuation
Market Cap
CA$1.09B
P/E Ratio
8.00
P/S ratioMarket value divided by annual revenue. Useful for companies that are not yet profitable, where a P/E cannot be calculated.
4.86
EPS (ttm)Profit attributable to each share over the last twelve months.
10.14
Financials (FY)
Revenue (FY)
CA$173.01M+1.31%
Net Income (FY)
CA$112.05M−8.19%
Profit marginThe share of revenue left as profit after all costs and taxes.
62.21%
Shares OutstandingThe total number of shares held by all investors. Market value is this figure multiplied by the share price.
13.38M
1-Year Return
+16.57%
Dividend and dates
Dividend
CA$0.10+0.12%
Ex-Dividend Date
July 3, 2026
Earnings Date
November 11, 2026estimated
Avg Volume
474

Only metrics the company reports are shown. Data provided by Yahoo Finance via yfinance. Updated daily.

CVG.TO Stock Return by Calendar Year

Calendar-year returns computed from daily closing prices. Partial years are shown muted and marked with an asterisk.

YearReturn
2026 (partial year)+12.58%
2025+5.50%
2024−7.15%
2023+6.52%
2022+19.97%
2021+20.65%
2020+8.81%
2019+18.37%
2018−3.37%
2017+59.66%
2016 (partial year)+1.29%

As of September 4, 2026.

CVG.TO Revenue and Earnings by Fiscal Year

FY ends March
Fiscal yearRevenueNet incomeNet margin
2025CA$173.01MCA$112.05M64.8%
2024CA$170.77MCA$122.04M71.5%
2023CA$29.81M−CA$3.35M−11.2%
2022CA$119.13MCA$52.37M44.0%
Fiscal yearRevenueGross profitOperating incomeNet incomeNet margin
2025CA$173.01MCA$112.05M64.8%
2024CA$170.77MCA$122.04M71.5%
2023CA$29.81M−CA$3.35M−11.2%
2022CA$119.13MCA$52.37M44.0%

Annual figures as reported, in the company's reporting currency. As of March 31, 2026.

CVG.TO Dividend History

CA$0.88+10.1% vs 2024

Dividends per share, 2025 · 1 payments

YearDividends per sharePaymentsChange
2026*CA$0.971
2025CA$0.881+10.1%
2024CA$0.801−1.1%
2023CA$0.811+3.6%
YearDividends per sharePaymentsChange
2026 (partial year)CA$0.971
2025CA$0.881+10.1%
2024CA$0.801−1.1%
2023CA$0.811+3.6%
2022CA$0.781+37.4%
2021CA$0.571−89.7%
2020CA$5.562+980.9%
2019CA$0.511+17.8%
2018CA$0.441+21.5%
2017CA$0.361

Most recent payment: CA$0.97 per share, ex-dividend July 3, 2026. Per-share amounts summed by calendar year from ex-dividend dates. Partial years are shown muted and marked with an asterisk.

CVG.TO Valuation vs Asset Management Median

Median of 561 stocks
MetricCVG.TOAsset Management medianvs median
P/E8.0010.3423% below
P/S ratio4.8610.4253% below
Profit margin62.21%24.09%38.1 pts above

Medians across 561 Asset Management stocks that report the metric. Medians, not averages, so one outlier cannot move them. As of September 4, 2026.

Analysis

Data-derived

Company Overview

The market values Clairvest Group Inc. (CVG.TO) at CA$1.09B. It is classified in the Asset Management industry, within the Financial Services sector. Headcount on file is 47.

Over the past 52 weeks the price has ranged from CA$69.56 to CA$87.00. The most recent close on file for CVG.TO is CA$81.16, dated September 4, 2026. The close was unchanged from the previous session. The latest close sits 16.68% above that 52-week low.

Financial Health

In fiscal 2025, Clairvest Group Inc. reported revenue of CA$173.01M. Against the prior fiscal year total of CA$170.77M, that is a change of +1.31%. The same year closed with net income of CA$112.05M. That is −8.19% against the prior fiscal year. The reported profit margin is 62.21%. That is 38.1 percentage points above the Asset Management median of 24.09%. Earnings per share on a trailing basis come to 10.14.

Across the 4 fiscal years on file, revenue moves from CA$119.13M in 2022 to CA$173.01M in 2025. Of those 4 years, 3 report positive net income.

Valuation Assessment

CVG.TO trades at a trailing price-to-earnings ratio of 8. That is 22.63% below the Asset Management median of 10.34. The price-to-sales ratio is 4.86. On price-to-sales that is 53.38% below the Asset Management median of 10.42. The medians here are taken across 561 Asset Management companies that report the metric.

Over the trailing twelve months the price has returned +16.57%. Across 10 years the annualized return works out at +13.10%. Beta against the wider market is reported at −0.36. Daily returns over the trailing 10 years annualize to a volatility of 22.01%.

Growth & Income

Shareholders receive a dividend, yielding 0.12% on the latest price. That is 8 percentage points below the Asset Management median yield of 8.11%. At the indicated rate that is CA$0.10 a share a year. The ex-dividend date on file is July 3, 2026. Dividends are recorded for 10 calendar years; 2026 shows 1 payments totalling CA$0.97 a share. The year before, 2025, totalled CA$0.88 a share.

The strongest complete calendar year on file is 2017 at +59.66%; the weakest is 2024 at −7.15%. Of the 9 complete calendar years on file, 7 finished higher. 2026 is still running; the price is +12.58% year to date.

Peer Comparison

Clairvest Group Inc. (CVG.TO) operates in the Asset Management industry. Here is how it compares to its closest peers by market capitalization:

Company Ticker Market Cap P/E Ratio
Clairvest Group Inc. CVG.TO CA$1.09B 8.0
BlackRock, Inc. BLK CA$182.35B 26.9
Blackstone Inc. BX CA$162.74B 30.5
KKR & Co. Inc. KKR CA$99.50B 34.4

The Asset Management industry average P/E ratio is 10.3x. Clairvest Group Inc. trades at a P/E of 8.0.

Every figure above is read from this page's own data on each nightly rebuild. Informational only, not financial advice. As of September 4, 2026.

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About Clairvest Group Inc.

Clairvest Group Inc. is a private equity firm specializing in mid-market, growth equity investments, buyouts, industry consolidation and acquisitions. It seeks to invest in small and mid-sized gaming (land and online) and casinos, restaurants, healthcare, experience economy, equipment rental, medical practice management, waste management, aerospace, architecture and engineering & consulting (AEC), agriculture, oil and gas field services, dental, life science and services, renewable energy, co-packing / private label manufacturing, defense, building products, environmental services, healthcare IT, interactive home entertainment, distribution, extermination and pest control, sanitary services, airfreight and logistics, document management software, systems software; metal, glass and plastic containers; paper and plastic packaging products and materials; metals and mining; water utilities, specialty educational services, specialized consumer services, human resources and employment services, research and consulting services, linens and bedding, insurance services, education, government services, industrial services, energy services & renewables, food & beverage, technology services, industrial distribution and services, information technology and information services, media and marketing services, and renewable energy sectors. The firm seeks to invest in Canada and the US. It seeks to make equity investments between C$25 million ($18.23 million) and C$100 million ($72.92 million) in its portfolio company with EBITDA between C$10 million ($7.29 million) and C$50 million ($36.46 million). The firm prefers majority and minority investments. It invests its own capital by co-investing alongside institutional investors in owner-led businesses. Clairvest Group Inc. was founded in 1987 and is based in Toronto, Canada.

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