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Starlight U.S. Residential Fund (Multi-F (SURF.UN : TSV)

Sector: -

Close
(02-12-2026)
$0.19
Change
$0.08 (76.19%)
Volume 1,000
Open $0.19
Day Range $0.19 - $0.19
52 Week Low $0.03
52 Week High $3.23
Annual Yield -
Annual Dividend -
Last Dividend (10-28-2022) $0.03
Industry Sector -
Quoted Market Value $5,886,401
Shares Outstanding 31,818,382
Book Value per Share $0.29
Earnings per Share -$1.60
Period
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Legend

Starlight U.S. Residential Fund (Multi-F

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Pricing History (Last 30 Days)

Pricing History
Date Close Change
February 12, 2026 0.19
$0.08 (76.19%)
February 11, 2026 0.11
$0.00 (0.00%)
February 10, 2026 0.11
-$0.01 (-4.55%)
February 09, 2026 0.11
$0.01 (10.00%)
February 06, 2026 0.10
$0.00 (0.00%)
February 05, 2026 0.10
$0.00 (0.00%)
February 04, 2026 0.10
$0.00 (0.00%)
February 03, 2026 0.10
$0.00 (0.00%)
February 02, 2026 0.10
$0.00 (0.00%)
January 30, 2026 0.10
-$0.01 (-4.76%)
January 29, 2026 0.11
-$0.01 (-4.55%)
January 28, 2026 0.11
$0.00 (0.00%)
January 27, 2026 0.11
$0.00 (0.00%)
January 26, 2026 0.11
$0.01 (10.00%)
January 23, 2026 0.10
$0.01 (11.11%)
January 22, 2026 0.09
$0.01 (12.50%)
January 21, 2026 0.08
$0.01 (14.29%)
January 20, 2026 0.07
-$0.03 (-30.00%)
January 19, 2026 0.10
$0.00 (0.00%)
January 16, 2026 0.10
$0.05 (81.82%)
January 15, 2026 0.06
$0.02 (57.14%)
January 14, 2026 0.04
-$0.01 (-12.50%)
January 13, 2026 0.04
-$0.01 (-20.00%)
January 12, 2026 0.05
-$0.01 (-16.67%)
January 09, 2026 0.06
-$0.01 (-7.69%)
January 08, 2026 0.07
$0.02 (44.44%)
January 07, 2026 0.05
-$0.02 (-25.00%)
January 06, 2026 0.06
-$0.01 (-14.29%)
January 05, 2026 0.07
-$0.04 (-33.33%)
January 02, 2026 0.11
$0.00 (0.00%)

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