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Last Close
Apr 19 04:00PM ET
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Index- P/E18.24 EPS (ttm)0.34 Insider Own- Shs Outstand17.53M Perf Week-3.73%
Market Cap108.69M Forward P/E- EPS next Y- Insider Trans- Shs Float17.25M Perf Month-8.01%
Income- PEG- EPS next Q- Inst Own22.42% Short Float0.51% Perf Quarter-2.67%
Sales7.61M P/S14.27 EPS this Y- Inst Trans- Short Ratio0.95 Perf Half Y2.82%
Book/sh7.43 P/B0.83 EPS next Y- ROA- Short Interest0.09M Perf Year-3.73%
Cash/sh- P/C- EPS next 5Y- ROE- 52W Range5.71 - 6.96 Perf YTD-3.43%
Dividend Est.- P/FCF- EPS past 5Y- ROI- 52W High-10.92% Beta0.91
Dividend TTM0.73 (11.81%) Quick Ratio- Sales past 5Y- Gross Margin- 52W Low8.58% ATR (14)0.09
Dividend Ex-DateMay 20, 2024 Current Ratio- EPS Y/Y TTM- Oper. Margin- RSI (14)27.04 Volatility1.57% 1.36%
Employees- Debt/Eq- Sales Y/Y TTM- Profit Margin- Recom- Target Price-
Option/ShortNo / Yes LT Debt/Eq- EPS Q/Q61.00% Payout- Rel Volume2.27 Prev Close6.25
Sales Surprise- EPS Surprise- Sales Q/Q344.80% Earnings- Avg Volume92.51K Price6.20
SMA20-5.32% SMA50-6.32% SMA200-3.61% Trades Volume210,095 Change-0.80%
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High Income Securities Fund is a closed-ended balanced income mutual fund launched and managed by Putnam Investment Management, LLC. The fund is co-managed by Putnam Investments Limited. It invests in the fixed income markets of the United States. The fund seeks to invest in stocks of companies operating across diversified sectors. It invests in both convertible bonds and convertible preferred stocks. The fund benchmarks the performance of its portfolio against a composite index comprising of 50% JPMorgan Developed High Yield Index and 50% BofA Merrill Lynch AllConvertibles Speculative Quality Index. The fund was formerly known as Putnam High Income Securities Fund High Income Securities Fund was formed on July 9, 1987 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
SELL MORITZ ADirectorMay 04 '23Buy6.171,0006,17017,988May 08 02:21 PM
GOLDSTEIN PHILLIPDirectorApr 21 '23Buy6.3710,00063,700244,373Apr 25 05:00 PM
Last Close
Apr 19 04:00PM ET
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SWZ The Swiss Helvetia Fund Inc. daily Stock Chart
Index- P/E5.27 EPS (ttm)1.43 Insider Own0.20% Shs Outstand12.99M Perf Week-0.13%
Market Cap97.95M Forward P/E- EPS next Y- Insider Trans0.00% Shs Float12.96M Perf Month-3.95%
Income- PEG- EPS next Q- Inst Own41.25% Short Float0.12% Perf Quarter-4.31%
Sales2.94M P/S33.27 EPS this Y- Inst Trans- Short Ratio1.07 Perf Half Y1.21%
Book/sh9.76 P/B0.77 EPS next Y- ROA- Short Interest0.02M Perf Year-8.05%
Cash/sh- P/C- EPS next 5Y- ROE- 52W Range7.12 - 8.57 Perf YTD-8.05%
Dividend Est.- P/FCF- EPS past 5Y- ROI- 52W High-11.97% Beta0.81
Dividend TTM0.50 (6.68%) Quick Ratio- Sales past 5Y- Gross Margin- 52W Low5.90% ATR (14)0.07
Dividend Ex-DateMar 18, 2024 Current Ratio- EPS Y/Y TTM- Oper. Margin- RSI (14)33.16 Volatility0.59% 0.75%
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Option/ShortNo / Yes LT Debt/Eq- EPS Q/Q-25.80% Payout- Rel Volume0.95 Prev Close7.50
Sales Surprise- EPS Surprise- Sales Q/Q-16.10% Earnings- Avg Volume14.78K Price7.54
SMA20-2.56% SMA50-3.89% SMA200-4.48% Trades Volume14,098 Change0.53%
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The Swiss Helvetia Fund Inc. is a closed-ended equity mutual fund launched and managed by Schroder Investment Management North America Inc. The fund invests in public equity markets of Switzerland. It seeks to invest in stocks of companies operating across diversified sectors. The fund primarily invests in value stocks of companies across all market capitalizations. It employs fundamental analysis with a bottom-up stock picking approach, focusing on factors such as capital appreciation, income, economic and industry trends, quality of management, financial condition, business plan, industry and sector market position, dividend payout ratio, and corporate governance to create its portfolio. The fund benchmarks the performance of its portfolio against the S&P 500 Index and MSCI EAFE Index. It was previously known as The Helvetia Fund, Inc. The Swiss Helvetia Fund Inc. was formed in October 24, 1986 and is domiciled in the United States.
Last Close
Apr 19 04:00PM ET
2.57
Dollar change
-0.03
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FAX Abrdn Asia-Pacific Income Fund Inc daily Stock Chart
Index- P/E8.29 EPS (ttm)0.31 Insider Own- Shs Outstand247.70M Perf Week-2.28%
Market Cap636.58M Forward P/E- EPS next Y- Insider Trans- Shs Float247.70M Perf Month-6.55%
Income- PEG- EPS next Q- Inst Own34.89% Short Float0.12% Perf Quarter-3.02%
Sales70.61M P/S9.02 EPS this Y- Inst Trans- Short Ratio0.39 Perf Half Y2.80%
Book/sh2.83 P/B0.91 EPS next Y- ROA- Short Interest0.31M Perf Year-7.22%
Cash/sh- P/C- EPS next 5Y- ROE- 52W Range2.33 - 2.84 Perf YTD-5.17%
Dividend Est.- P/FCF- EPS past 5Y- ROI- 52W High-9.51% Beta0.63
Dividend TTM0.33 (12.84%) Quick Ratio- Sales past 5Y- Gross Margin- 52W Low10.30% ATR (14)0.04
Dividend Ex-DateApr 22, 2024 Current Ratio- EPS Y/Y TTM- Oper. Margin- RSI (14)30.02 Volatility1.92% 1.63%
Employees- Debt/Eq- Sales Y/Y TTM- Profit Margin- Recom- Target Price-
Option/ShortNo / Yes LT Debt/Eq- EPS Q/Q- Payout106.65% Rel Volume1.02 Prev Close2.60
Sales Surprise- EPS Surprise- Sales Q/Q5.30% Earnings- Avg Volume797.38K Price2.57
SMA20-4.48% SMA50-4.58% SMA200-2.99% Trades Volume811,955 Change-1.15%
Date Action Analyst Rating Change Price Target Change
Mar-01-07Initiated Stifel Nicolaus Hold
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Abrdn Asia-Pacific Income Fund Inc is a close ended fixed income mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited. It is co-managed by Aberdeen Standard Investments Australia Limited and Aberdeen Asset Managers Limited. The fund invests in fixed income markets of Asia, Australia, and New Zeland. It primarily invests in debt securities issued by governmental entities, banks, companies, and other entities. Abrdn Asia-Pacific Income Fund Inc was formed on March 14, 1986 and is domiciled in the United States.
Last Close
Apr 19 04:00PM ET
5.51
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+0.01
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FCO abrdn Global Income Fund, Inc. daily Stock Chart
Index- P/E12.81 EPS (ttm)0.43 Insider Own- Shs Outstand13.41M Perf Week3.38%
Market Cap73.89M Forward P/E- EPS next Y- Insider Trans- Shs Float13.41M Perf Month4.16%
Income- PEG- EPS next Q- Inst Own10.78% Short Float0.20% Perf Quarter3.57%
Sales4.78M P/S15.46 EPS this Y- Inst Trans- Short Ratio0.34 Perf Half Y-4.84%
Book/sh3.74 P/B1.47 EPS next Y- ROA- Short Interest0.03M Perf Year6.58%
Cash/sh- P/C- EPS next 5Y- ROE- 52W Range4.73 - 6.63 Perf YTD-14.71%
Dividend Est.- P/FCF- EPS past 5Y- ROI- 52W High-16.89% Beta0.61
Dividend TTM0.84 (15.25%) Quick Ratio- Sales past 5Y- Gross Margin- 52W Low16.49% ATR (14)0.12
Dividend Ex-DateApr 22, 2024 Current Ratio- EPS Y/Y TTM- Oper. Margin- RSI (14)55.81 Volatility2.21% 1.78%
Employees- Debt/Eq- Sales Y/Y TTM- Profit Margin- Recom- Target Price-
Option/ShortNo / Yes LT Debt/Eq- EPS Q/Q- Payout- Rel Volume0.43 Prev Close5.50
Sales Surprise- EPS Surprise- Sales Q/Q33.40% Earnings- Avg Volume77.13K Price5.51
SMA201.85% SMA501.37% SMA200-5.37% Trades Volume33,538 Change0.18%
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Abrdn Global Income Fund Inc is a closed-ended fixed income mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited. It is co-managed by Aberdeen Standard Investments Australia Limited and Aberdeen Asset Managers Limited. The fund invests in fixed income markets across the globe. It primarily invests in fixed-income securities denominated in the Commonwealth currencies and global debt securities. The fund benchmarks the performance of its portfolio against a composite index comprised of 20% Bank of America Merrill Lynch Australian Government Bonds Index, 20% Bank of America Merrill Lynch UK Government Bonds Index, 15% Bank of America Merrill Lynch Canadian Government Bonds Index, 15% Bank of America Merrill Lynch New Zealand Government Bonds Index, and 30% Bank of America Merrill Lynch Global Emerging Markets Index. Abrdn Global Income Fund Inc was formed on June 28, 1991 and is domiciled in the United States.