(0.20%) 5 532.75 points
(0.15%) 39 528 points
(0.15%) 19 958 points
(0.75%) $82.15
(-0.88%) $2.58
(-0.21%) $2 334.60
(-0.47%) $29.42
(-0.37%) $1 010.30
(-0.38%) $0.930
(-0.56%) $10.62
(-0.15%) $0.790
(1.64%) $87.13
-0.06% $ 16.30
Live Chart Being Loaded With Signals
The portfolio manager\'s use of short selling as a primary investment strategy creates leverage in an attempt to increase returns. It may invest a portion of its assets in foreign securities when these securities meet the portfolio managers\' standards of selection...
Stats | |
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Tagesvolumen | 0 |
Durchschnittsvolumen | 0 |
Marktkapitalisierung | 50.59M |
EPS | $0.410 ( Q4 | 2023-12-31 ) |
Last Dividend | $1.090 ( 2018-12-11 ) |
Next Dividend | $0 ( N/A ) |
P/E |
0 (Sector) 19.12 (Industry) 0 |
ATR14 | $0 (0.00%) |
AC Alternatives Korrelation
10 Am meisten positiv korreliert |
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10 Am meisten negativ korreliert |
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Wussten Sie das?
Korrelation ist ein statistisches Maß, das die Beziehung zwischen zwei Variablen beschreibt. Es reicht von -1 bis 1, wobei -1 eine perfekte negative Korrelation (wenn eine Variable zunimmt, nimmt die andere ab) anzeigt, 1 eine perfekte positive Korrelation (wenn eine Variable zunimmt, nimmt die andere zu) und 0 keine Korrelation anzeigt (es besteht kein Zusammenhang zwischen den Variablen).
Korrelation kann verwendet werden, um die Beziehung zwischen beliebigen zwei Variablen zu analysieren, nicht nur zwischen Aktien. Es wird häufig in Bereichen wie Finanzen, Wirtschaft, Psychologie und mehr verwendet.
AC Alternatives Finanzdaten
Annual | 2023 |
Umsatz: | $21.83B |
Bruttogewinn: | $7.32B (33.54 %) |
EPS: | $5.97 |
FY | 2023 |
Umsatz: | $21.83B |
Bruttogewinn: | $7.32B (33.54 %) |
EPS: | $5.97 |
FY | 2022 |
Umsatz: | $16.56B |
Bruttogewinn: | $4.00B (24.13 %) |
EPS: | $-4.75 |
Financial Reports:
No articles found.
AC Alternatives Dividends
(Q3/22) | (Q4/22) | (Q1/23) | (Q2/23) | (Q3/23) | (Q4/23) | (Q1/24) | (Q2/24) | (Q3/24) | (Q4/24) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
First Dividend | $0.407 | 2013-12-10 |
Last Dividend | $1.090 | 2018-12-11 |
Next Dividend | $0 | N/A |
Payout Date | 0000-00-00 | |
Next Payout Date | N/A | |
# dividends | 5 | -- |
Total Paid Out | $4.01 | -- |
Avg. Dividend % Per Year | 0.00% | -- |
Score | 2.06 | -- |
Div. Sustainability Score | 9.82 | |
Div.Growth Potential Score | 2.22 | |
Div. Directional Score | 6.02 | -- |
Year | Amount | Yield |
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The company's strong Dividend Sustainability Score (DSS) indicates its robust capacity to uphold current dividend levels. Unfortunately, its low Dividend Growth Potential Score (DGPS) suggests limited prospects for dividend growth. On the whole, the dividend outlook remains neutral, meriting close observation of both the company's financial health and growth prospects.
Ex Date | Amount | Declaration Date | Record Date | Payment Date |
---|---|---|---|---|
11 Dec 2018 | $1.090 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
12 Dec 2017 | $1.321 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
15 Dec 2015 | $0.269 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
12 Dec 2014 | $0.923 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
10 Dec 2013 | $0.407 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
Symbol | Title | Last dividend | Frequency | Years Dividend | Yearly Dividend | Score |
---|---|---|---|---|---|---|
OXLC | Dividend Diamond | 2024-09-16 | Monthly | 14 | 15.03% | 9.60 |
DMLP | Dividend Diamond | 2024-04-26 | Quarterly | 22 | 10.71% | 9.35 |
OXSQ | Dividend Diamond | 2024-09-16 | Monthly | 21 | 12.73% | 9.02 |
ARLP | Dividend Royal | 2024-05-07 | Quarterly | 26 | 9.67% | 8.87 |
PNNT | Dividend Royal | 2024-06-14 | Monthly | 18 | 9.49% | 8.82 |
MFIC | Dividend Royal | 2024-06-11 | Quarterly | 21 | 10.89% | 8.79 |
SPOK | Dividend Royal | 2024-05-23 | Quarterly | 20 | 8.73% | 8.72 |
PSEC | Dividend Royal | 2024-06-25 | Monthly | 21 | 9.03% | 8.65 |
SBLK | Dividend Royal | 2024-06-06 | Quarterly | 17 | 13.10% | 8.63 |
GBDC | Dividend Royal | 2024-11-29 | Bi-Monthly | 15 | 8.53% | 8.62 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
netProfitMarginTTM | 0.104 | 1.500 | 7.92 | 10.00 | [0 - 0.5] |
returnOnAssetsTTM | 0.0754 | 1.200 | 7.49 | 8.99 | [0 - 0.3] |
returnOnEquityTTM | -12.15 | 1.500 | -10.00 | -10.00 | [0.1 - 1] |
payoutRatioTTM | 0 | -1.000 | 0 | 0 | [0 - 1] |
currentRatioTTM | 1.025 | 0.800 | 9.87 | 7.90 | [1 - 3] |
quickRatioTTM | 0.966 | 0.800 | 9.02 | 7.22 | [0.8 - 2.5] |
cashRatioTTM | 0.281 | 1.500 | 9.55 | 10.00 | [0.2 - 2] |
debtRatioTTM | 0.442 | -1.500 | 2.63 | -3.94 | [0 - 0.6] |
interestCoverageTTM | 0 | 1.000 | -1.111 | -1.111 | [3 - 30] |
operatingCashFlowPerShareTTM | 9.55 | 2.00 | 6.82 | 10.00 | [0 - 30] |
freeCashFlowPerShareTTM | 6.09 | 2.00 | 6.95 | 10.00 | [0 - 20] |
debtEquityRatioTTM | 16.78 | -1.500 | 10.00 | -10.00 | [0 - 2.5] |
grossProfitMarginTTM | 0.335 | 1.000 | 7.74 | 7.74 | [0.2 - 0.8] |
operatingProfitMarginTTM | 0.106 | 1.000 | 9.89 | 9.89 | [0.1 - 0.6] |
cashFlowToDebtRatioTTM | 0.323 | 1.000 | 9.31 | 9.31 | [0.2 - 2] |
assetTurnoverTTM | 0.723 | 0.800 | 8.51 | 6.81 | [0.5 - 2] |
Total Score | 9.82 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
peRatioTTM | 4.43 | 1.000 | 9.65 | 0 | [1 - 100] |
returnOnEquityTTM | -12.15 | 2.50 | -10.00 | -10.00 | [0.1 - 1.5] |
freeCashFlowPerShareTTM | 6.09 | 2.00 | 7.97 | 10.00 | [0 - 30] |
dividendYielPercentageTTM | 0 | 1.500 | 0 | 0 | [0 - 0.4] |
operatingCashFlowPerShareTTM | 9.55 | 2.00 | 6.82 | 10.00 | [0 - 30] |
payoutRatioTTM | 0 | 1.500 | 0 | 0 | [0 - 1] |
pegRatioTTM | 0.00202 | 1.500 | -3.32 | 0 | [0.5 - 2] |
operatingCashFlowSalesRatioTTM | 0.198 | 1.000 | 7.55 | 0 | [0.1 - 0.5] |
Total Score | 2.22 |
Contract Name | Last Trade Date (EDT) | Strike | Last Price | Bid | Ask | Change | % Change | Volume | Open Interest | Implied Volatility | Strike Date |
---|---|---|---|---|---|---|---|---|---|---|---|
No data available |
Contract Name | Last Trade Date (EDT) | Strike | Last Price | Bid | Ask | Change | % Change | Volume | Open Interest | Implied Volatility | Strike Date |
---|---|---|---|---|---|---|---|---|---|---|---|
No data available |
AC Alternatives
The portfolio manager\'s use of short selling as a primary investment strategy creates leverage in an attempt to increase returns. It may invest a portion of its assets in foreign securities when these securities meet the portfolio managers\' standards of selection. The fund invests primarily in developed countries (including the United States), but it may also invest a portion of its assets in emerging market countries.
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