Index | - |
P/E | 5.44 |
EPS (ttm) | 1.83 |
Insider Own | 54.95% |
Shs Outstand | 29.90M |
Perf Week | 0.61% |
Market Cap | 297.46M |
Forward P/E | - |
EPS next Y | - |
Insider Trans | 3.39% |
Shs Float | 13.47M |
Perf Month | 5.81% |
Enterprise Value | - |
PEG | - |
EPS next Q | - |
Inst Own | 64.48% |
| |
Perf Quarter | 8.51% |
Income | - |
P/S | 35.57 |
EPS this Y | - |
Inst Trans | - |
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Perf Half Y | 19.02% |
Sales | 8.36M |
P/B | 1.04 |
EPS next Y | - |
ROA | - |
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Perf YTD | 14.63% |
Book/sh | 9.61 |
P/C | - |
EPS next 5Y | - |
ROE | - |
52W High | 10.16 -2.05% |
Perf Year | 42.14% |
Cash/sh | - |
P/FCF | - |
EPS past 3/5Y | - - |
ROIC | - |
52W Low | 6.80 46.32% |
Perf 3Y | 22.24% |
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EV/EBITDA | - |
Sales past 3/5Y | - - |
Gross Margin | - |
Volatility | 1.83% 2.19% |
Perf 5Y | 21.49% |
| |
EV/Sales | - |
EPS Y/Y TTM | - |
Oper. Margin | - |
ATR (14) | 0.21 |
Perf 10Y | 58.44% |
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Quick Ratio | - |
Sales Y/Y TTM | - |
Profit Margin | - |
RSI (14) | 61.94 |
Recom | - |
| |
Current Ratio | - |
EPS Q/Q | 760.60% |
SMA20 | 3.89% |
Beta | 0.89 |
Target Price | - |
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Debt/Eq | - |
Sales Q/Q | 3.80% |
SMA50 | 2.68% |
Rel Volume | 0.66 |
Prev Close | 9.86 |
Employees | - |
LT Debt/Eq | - |
Earnings | - |
SMA200 | 14.46% |
Avg Volume | 34.35K |
Price | 9.95 |
IPO | Jun 08, 1988 |
Option/Short | No / Yes |
EPS/Sales Surpr. | - - |
Trades | |
Volume | 22,657 |
Change | 0.86% |
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Sprott Focus Trust, Inc. is a closed-ended equity mutual fund launched and managed by Sprott Asset Management, LP. The fund is co-managed by Sprott Asset Management USA Inc. It invests in the public equity markets of the United States. The fund seeks to invest in stocks of companies operating across diversified sectors. It primarily invests in value stocks of companies across all market capitalizations. The fund benchmarks the performance of its portfolio against the Russell 3000 Index. It was formerly known as Royce Focus Trust, Inc. Sprott Focus Trust, Inc. was formed on March 2, 1988 and is domiciled in the United States. |
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| Insider Trading |
Relationship |
Date |
Transaction |
Cost |
#Shares |
Value ($) |
#Shares Total |
SEC Form 4 |
| GEORGE W WHITNEY | Senior Portfolio Manager | Mar 27 '26 | Buy | 8.96 | 118,818 | 1,064,106 | 3,325,077 | Mar 31 10:48 AM | | GEORGE W WHITNEY | Senior Portfolio Manager | Mar 27 '26 | Buy | 8.96 | 16,268 | 145,761 | 8,094,301 | Mar 31 10:48 AM | | GEORGE W WHITNEY | Senior Portfolio Manager | Jan 06 '26 | Buy | 8.89 | 1,785 | 15,869 | 8,078,033 | Jan 07 12:09 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Jan 06 '26 | Sale | 8.85 | 17,700 | 156,645 | 306,805 | Jan 07 12:09 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Dec 29 '25 | Buy | 8.60 | 173,880 | 1,495,368 | 3,282,803 | Dec 30 05:48 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Dec 29 '25 | Buy | 8.60 | 96,357 | 828,670 | 8,087,148 | Dec 30 05:48 PM | | Ulrich Thomas W | See Remarks | Oct 15 '25 | Sale | 8.34 | 1,117 | 9,314 | 8,273 | Oct 16 05:41 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Sep 29 '25 | Buy | 8.18 | 120,070 | 982,173 | 3,215,943 | Oct 01 02:29 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Sep 29 '25 | Buy | 8.18 | 59,537 | 487,013 | 7,990,791 | Oct 01 02:29 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Aug 28 '25 | Sale | 8.18 | 29,800 | 243,764 | 312,583 | Oct 01 02:29 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Jun 30 '25 | Buy | 7.41 | 131,416 | 973,793 | 3,166,625 | Jul 02 04:41 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Jun 30 '25 | Buy | 7.41 | 64,913 | 481,005 | 7,931,254 | Jul 02 04:41 PM | | GEORGE W WHITNEY | Senior Portfolio Manager | Jun 03 '25 | Sale | 7.21 | 29,900 | 215,473 | 250,600 | Jun 03 05:57 PM |
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