Olive Resource Capital Inc. Stock Analysis OC.V
Olive Resource Capital, Inc. is a resource investment and merchant bank company, which is focused on the metals and mining sector. The company is headquartered in Toronto, Ontario. The company went IPO on 2000-12-08. The firm's assets consist primarily of investments in natural resource companies in all stages of development. The Company’s portfolio consists of three parts: Liquid & Quantitative Investments, Fundamental Investments, and Merchant Banking. The Liquid & Quantitative positions are focused on liquid resource companies, with the objective of providing liquidity with positive returns to the corporation. The Fundamental Investments are focused on market opportunities where management has identified value dislocations. The Merchant Banking positions focus on value dislocations in the junior resource space and where warranted management takes an active role. Its portfolio consists of public equities, private equities, debt, convertible debt, and warrants. The Company’s subsidiaries are Olive Resource Capital G.P. Ltd., Norvista Capital General Partner Ltd., and Norvista Capital Management
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Key Statistics of Olive Resource Capital Inc (OC.V)
Key statistics in the stock market are essential financial indicators that measure a company's performance, valuation, profitability, and risk.
Today's Range
Today's Open
CAD0.12Volume
18.00KP/E Ratio (TTM)
1.4252 Week Range
Market Cap
12.74MAvg. Volume
106.55KDividend Yield
-Financial Metrics & Statements of Olive Resource Capital Inc (OC.V)
FAQ's for Olive Resource Capital Inc (OC.V)
- According to Musaffa’s Shariah screening methodology, Olive Resource Capital Inc (OC.V) is currently classified as NOT COVERED as of May 2026. The classification is based on an evaluation of the company’s business activities and financial ratios to determine whether it meets Islamic investment guidelines.