Loading...

What kind of stock is this?

Bank Nova Scotia Halifax Pfd 3 is a variable-cap financial services stock. Its historical volatility is 0.21. Compare this with the broader market in the Risk Analysis section below.

Investor Profile

SUITABLE FOR
  • Growth-oriented investors seeking capital appreciation
LESS SUITABLE FOR
  • Income-dependent retirees defined by yield needs
TYPICAL ROLEGrowth engine

Portfolio Analytics

Correlation & Volatility Data

Live

Analyze how Bank Nova Scotia Halifax Pfd 3 correlates with your holdings

View historical correlation data and volatility metrics to understand how BNS has historically moved relative to different asset classes.

53
Risk Score
Real-time
Analysis
Financial Services
Sector
View Correlation Data

Educational analytics for informed decision-making. Not financial advice.

Risk & Volatility

How it's calculated

53/100

Medium Volatility Profile

Interpretation

A volatility score of 53/100 suggests that Bank Nova Scotia Halifax Pfd 3 is medium risk. Its historical volatility is 0.21. Compare this with the broader market in the Risk Analysis section below.

Actual Volatility: 0.21%Beta: 1.00

Market Sensitivity

Risk metrics are being calculated based on historical performance and market conditions.

Dividend Analysis

Current Yield

Source: Exchange Feed • Updated Dec 28, 2025

Dividend data is temporarily unavailable from our data provider. This page will refresh when the feed updates.

Income Role

Growth engine. Income profile is pending latest data feed.

Estimate Dividends for BNS

Why track Bank Nova Scotia Halifax Pfd 3?

Dividend Data

Bank Nova Scotia Halifax Pfd 3 historically prioritizes capital reinvestment or has variable payout schedules regardless of current yield data.

Volatility Profile

Bank Nova Scotia Halifax Pfd 3 has a beta of 1.00, indicating historical price movements largely tracking the benchmark.

Risk Assessment

Bank Nova Scotia Halifax Pfd 3 has a risk score of 53/100, indicating moderate historical volatility relative to sector peers.

Analysis derived from TradingKite proprietary data engine

Tax Considerations

Capital Gains

Capital gains: rules vary by residency/holding period

Applied on profits when you sell this security.

Dividend Withholding

Dividend withholding: depends on treaty/residency

Deducted before payout or due at filing.

Advanced · Optional

If you are considering a hypothetical trade, you can stress-test outcomes and portfolio impact before execution.

Plan a hypothetical trade →

Important disclosures

TradingKite provides educational analytics and portfolio tools. We do not provide investment, legal, or tax advice, and nothing on this page should be treated as a recommendation to buy, sell, or hold any security. Market data may be delayed or incomplete. Tax outcomes depend on your residency, holding period, and local rules—verify with official sources or a qualified professional. See our Methodology and Disclaimers for details.