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Aktualne aktualizacje dla Voya Index Solution 2050 [IDXQX]

Giełda: NASDAQ
Ostatnio aktualizowano29 birž. 2024 @ 03:00

-0.26% $ 19.20

Live Chart Being Loaded With Signals

Commentary (29 birž. 2024 @ 03:00):

Under normal market conditions, the Portfolio invests at least 80% of its net assets (plus borrowings for investment purposes) in a combination of underlying funds which are passively managed index funds...

Stats
Dzisiejszy wolumen 0
Średni wolumen 0
Kapitalizacja rynkowa 809.52M
Last Dividend $0.295 ( 2023-08-03 )
Next Dividend $0 ( N/A )
P/E 0
(Sector) 0
(Industry) 0
ATR14 $0.0770 (0.40%)

Wolumen Korelacja

Długi: 0.00 (neutral)
Krótki: 0.00 (neutral)
Signal:(62.089) Neutral

Voya Index Solution 2050 Korelacja

10 Najbardziej pozytywne korelacje
10 Najbardziej negatywne korelacje

Did You Know?

Correlation is a statistical measure that describes the relationship between two variables. It ranges from -1 to 1, where -1 indicates a perfect negative correlation (as one variable increases, the other decreases), 1 indicates a perfect positive correlation (as one variable increases, the other increases), and 0 indicates no correlation (there is no relationship between the variables).

Correlation can be used to analyze the relationship between any two variables, not just stocks. It's commonly used in fields such as finance, economics, psychology, and more.

Voya Index Solution 2050 Korelacja - Waluta/Towar

The country flag -0.22
( neutral )
The country flag -0.61
( weak negative )
The country flag 0.00
( neutral )
The country flag 0.39
( neutral )
The country flag 0.77
( moderate )
The country flag 0.39
( neutral )

Financial Reports:

No articles found.

Voya Index Solution 2050 Dividends

(Q3/22) (Q4/22) (Q1/23) (Q2/23) (Q3/23) (Q4/23) (Q1/24) (Q2/24) (Q3/24) (Q4/24)
$0.262
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)
$0.295
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)

Voya Index Solution 2050 Dividend Information - Dividend Junior

Dividend Sustainability Score: 0 - N/A | Divividend Growth Potential Score: 0 - N/A

Very Unsafe

High risk of being cut

Unsafe

Heightened risk of being cut

Borderline

Moderate risk of being cut

Safe

Unlikely to be cut

Very Safe

Very unlikely to be cut

Information
First Dividend $0.00600 2012-09-13
Last Dividend $0.295 2023-08-03
Next Dividend $0 N/A
Payout Date 0000-00-00
Next Payout Date N/A
# dividends 12 --
Total Paid Out $2.21 --
Avg. Dividend % Per Year 1.06% --
Score 1.04 --
Div. Sustainability Score 0
Div.Growth Potential Score 0
Div. Directional Score 0 --
Next Divdend (Est)
(2025-06-30)
$0.314 Estimate 3.10 %
Dividend Stability
0.25 Very Poor
Dividend Score
1.04
Pay Frequency
Annually
Yearly Payout
Year Amount Yield
2012 $0.00600 0.05%
2013 $0.225 1.83%
2014 $0.256 1.83%
2015 $0.115 0.84%
2016 $0.0170 0.14%
2017 $0.0660 0.47%
2018 $0.150 0.90%
2019 $0.224 1.53%
2020 $0.274 1.55%
2021 $0.316 1.65%
2022 $0.262 1.19%
2023 $0.295 1.86%
2024 $0 0.00%

Dividend Commentary

Unable to generate commentary due to missing data.

Dividend History

Ex Date Amount Declaration Date Record Date Payment Date
03 Aug 2023 $0.295 30 Nov -0001 30 Nov -0001 30 Nov -0001
03 Aug 2022 $0.262 30 Nov -0001 30 Nov -0001 30 Nov -0001
03 Aug 2021 $0.316 30 Nov -0001 30 Nov -0001 30 Nov -0001
04 Aug 2020 $0.274 30 Nov -0001 30 Nov -0001 30 Nov -0001
02 Aug 2019 $0.224 30 Nov -0001 30 Nov -0001 30 Nov -0001
03 Aug 2018 $0.150 30 Nov -0001 30 Nov -0001 30 Nov -0001
04 Aug 2017 $0.0660 30 Nov -0001 30 Nov -0001 30 Nov -0001
04 Aug 2016 $0.0170 30 Nov -0001 30 Nov -0001 30 Nov -0001
04 Aug 2015 $0.115 30 Nov -0001 30 Nov -0001 30 Nov -0001
04 Aug 2014 $0.256 30 Nov -0001 30 Nov -0001 30 Nov -0001
06 Aug 2013 $0.225 30 Nov -0001 30 Nov -0001 30 Nov -0001
13 Sep 2012 $0.00600 30 Nov -0001 30 Nov -0001 30 Nov -0001

Top 10 dividend Companies for NASDAQ

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

Dividend Sustainability Score (DSS)

RatioActual ValueWeightNormalized ValueScoreRange
netProfitMarginTTM01.50010.0010.00[0 - 0.5]
returnOnAssetsTTM01.20010.0010.00[0 - 0.3]
returnOnEquityTTM01.50010.0010.00[0.1 - 1]
payoutRatioTTM0-1.00010.00-10.00[0 - 1]
currentRatioTTM00.80010.008.00[1 - 3]
quickRatioTTM00.80010.008.00[0.8 - 2.5]
cashRatioTTM01.50010.0010.00[0.2 - 2]
debtRatioTTM0-1.50010.00-10.00[0 - 0.6]
interestCoverageTTM01.00010.0010.00[3 - 30]
operatingCashFlowPerShareTTM02.0010.0010.00[0 - 30]
freeCashFlowPerShareTTM02.0010.0010.00[0 - 20]
debtEquityRatioTTM0-1.50010.00-10.00[0 - 2.5]
grossProfitMarginTTM01.00010.0010.00[0.2 - 0.8]
operatingProfitMarginTTM01.00010.0010.00[0.1 - 0.6]
cashFlowToDebtRatioTTM01.00010.0010.00[0.2 - 2]
assetTurnoverTTM00.80010.008.00[0.5 - 2]
Total Score0

Dividend Growth Score (DGS)

RatioActual ValueWeightNormalized ValueScoreRange
peRatioTTM01.00010.000[1 - 100]
returnOnEquityTTM02.5010.0010.00[0.1 - 1.5]
freeCashFlowPerShareTTM02.0010.0010.00[0 - 30]
dividendYielPercentageTTM01.50010.000[0 - 0.4]
operatingCashFlowPerShareTTM02.0010.0010.00[0 - 30]
payoutRatioTTM01.50010.00-10.00[0 - 1]
pegRatioTTM01.50010.000[0.5 - 2]
operatingCashFlowSalesRatioTTM01.00010.000[0.1 - 0.5]
Total Score0

Voya Index Solution 2050 Options Data

Calls

Contract Name Last Trade Date (EDT) Strike Last Price Bid Ask Change % Change Volume Open Interest Implied Volatility Strike Date
No data available

Puts

Contract Name Last Trade Date (EDT) Strike Last Price Bid Ask Change % Change Volume Open Interest Implied Volatility Strike Date
No data available

Voya Index Solution 2050

Under normal market conditions, the Portfolio invests at least 80% of its net assets (plus borrowings for investment purposes) in a combination of underlying funds which are passively managed index funds. The underlying funds invest in U.S. stocks, international stocks, U.S. bonds, and other fixed-income instruments and the Portfolio uses an asset allocation strategy designed for investors expecting to retire around the year 2050.

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Total Execution Time: 3.3139798641205 seconds
Number of API calls: 2
Number of DB calls: 8