Short-TermMedium-TermLong-TermSignals

Hennessy Focus Fund [HFCSX]

Exchange: NASDAQ
Sector: Financial Services
Industry: Asset Management
Last Updated 24 Jun 2026 @ 08:10 (Exchange is open)
Last: $38.31 -1.84%
-3.06 (↓)
GaG Algo Score™
v1.0
Short
-3.06 (↓)
Medium
-4.41 (↓)
Long
-4.58 (↓)

Stats

Today's Volume 0
Average Volume 0
Market Cap 1.14B
Last Dividend $17.85 (2025-12-04)
P/E 25.63 (Sector) 25.37 (Industry) N/A
ATR14 $0.643 (1.68%)
Possible DaySwing $37.99 - $38.63 (1.69%)

Support and Resistance Levels

Line

Pivot Data

Pivot Statistics
Metric Average Median Std Dev
Gain % 18.85% 18.85% 0.00%
Loss % -8.10% -8.10% 0.00%
Duration 18.0d 18d 7.1d
Total Pivots Found 3
Gain/Loss Legs 2 (1 Gain / 1 Loss)
Last Pivot Bottom @ $39.35 on 2026-06-10
Change since Last Pivot $-1.04 (-2.64%)
Next Pivot Prediction Last: $38.31
Predicted Next Type Top
Predicted Price (Avg) $46.77
Predicted Price (Median) $46.77
Predicted Price Range (~68%) $46.77 - $46.77
Change to Avg Target $8.46 (22.07%)
Predicted Date (Avg) 2026-06-28
Predicted Date Range (~68%) 2026-06-20 - 2026-07-05
Basis Based on 1 historical gains (Avg: 18.85%, Median: 18.85%, StdDev: 0.00%) and duration (Avg: 18.0 days, StdDev: 7.1 days)
Note Ranges assume ~normal distribution & historical patterns repeat. Use with caution.

Stock description is not available.

Positioning pressure

Short interest pressure

Normal
Short interest 0.00% Of outstanding shares
Short float 0.00% Of tradable float
Days to cover - Short interest divided by average volume
Squeeze probability 0.00% 0.00% change

Short positioning does not currently stand out as a dominant risk factor.

Income profile

Dividend profile

Score 5.55
Last Dividend $17.85 2025-12-04
Next Dividend $0 N/A
Avg. yearly yield 18.08% Annually
Total paid $110.04 15 payments
Sustainability 3.00 N/A
Growth potential 3.00 N/A
Direction 3.00 Score based on dividend trend and payout behavior.

Yearly history

Year Dividend Yield
- $0 0.00%
- $17.85 41.47%
- $6.88 16.13%
- $10.61 23.44%
- $6.84 10.01%
- $11.87 19.72%

Recent payments

Date Dividend Payment
2025-12-04 $17.85 2025-12-04
2024-12-05 $6.88 2024-12-05
2023-12-07 $10.61 2023-12-07
2022-12-08 $6.84 2022-12-08
2021-12-07 $11.87 2021-12-07

Company context

Company profile

Website
Exchange: NASDAQ
Sector: Financial Services
Industry: Asset Management
Currency USD

The main objective of this investment product is to grow the value of its assets over time It primarily allocates its capital to companies headquartered in the United States which are publicly traded on national securities exchanges within the US The fund also has the option to invest in international businesses This can include foreign companies whose stocks are listed on US national exchanges or those accessed through American Depositary Receipts ADRs and similar instruments these are US dollardenominated securities representing foreign issuers also traded on US national exchanges Furthermore it may acquire shares in foreign companies that are listed on exchanges outside the US Its important to note that this fund maintains a concentrated portfolio meaning it is classified as nondiversified