(0.32%) 5 116.17 points
(0.38%) 38 386 points
(0.35%) 15 983 points
(-0.12%) $82.53
(0.74%) $2.05
(-0.57%) $2 344.20
(-1.19%) $27.33
(-0.19%) $959.70
(0.08%) $0.933
(0.10%) $10.99
(0.01%) $0.796
(0.01%) $93.31
0.27% $ 14.59
Live Chart Being Loaded With Signals
Guggenheim Strategic Opportunities Fund is a closed-ended balanced mutual fund launched and managed by Guggenheim Funds Investment Advisors, LLC. The fund is co-managed by Guggenheim Partners Investment Management LLC...
Stats | |
---|---|
Объем за сегодня | 406 181 |
Средний объем | 739 822 |
Рыночная капитализация | 2.00B |
EPS | $0 ( 2023-02-03 ) |
Last Dividend | $0.182 ( 2023-11-14 ) |
Next Dividend | $0 ( N/A ) |
P/E | 72.95 |
ATR14 | $0.00500 (0.03%) |
Date | Person | Action | Amount | type |
---|---|---|---|---|
2024-02-01 | Barnes Randall C | Sell | 10 000 | Common Stock |
2024-01-05 | Barnes Randall C | Sell | 20 000 | Common Stock |
2023-12-13 | Barnes Randall C | Sell | 6 000 | Common Stock |
2023-12-08 | Barnes Randall C | Sell | 2 000 | Common Stock |
2023-12-07 | Barnes Randall C | Sell | 8 000 | Common Stock |
INSIDER POWER |
---|
-99.63 |
Last 98 transactions |
Buy: 80 441 | Sell: 235 583 |
Объем Корреляция
Guggenheim Strategic Корреляция
10 Самые положительные корреляции | |
---|---|
ARDC | 0.863 |
AVTR | 0.861 |
PMT-PC | 0.86 |
GPN | 0.859 |
CODI | 0.859 |
PBS | 0.854 |
IVR-PB | 0.853 |
ARR-PC | 0.85 |
PAMC | 0.85 |
CCL | 0.849 |
Вы знали?
Корреляция - это статистический показатель, описывающий связь между двумя переменными. Он изменяется от -1 до 1, где -1 указывает на идеальную отрицательную корреляцию (при увеличении одной переменной другая уменьшается), 1 указывает на идеальную положительную корреляцию (при увеличении одной переменной другая увеличивается), а 0 указывает на отсутствие корреляции (между переменными нет связи).
Корреляцию можно использовать для анализа связи между любыми двумя переменными, не только акциями. Она широко используется в таких областях, как финансы, экономика, психология и т. д.
Guggenheim Strategic Корреляция - Валюта/Сырье
Guggenheim Strategic Финансовые показатели
Annual | 2022 |
Выручка: | $-14.31M |
Валовая прибыль: | $-33.98M (237.56 %) |
EPS: | $-0.140 |
FY | 2022 |
Выручка: | $-14.31M |
Валовая прибыль: | $-33.98M (237.56 %) |
EPS: | $-0.140 |
FY | 2022 |
Выручка: | $-125.69M |
Валовая прибыль: | $0 (0.00 %) |
EPS: | $-3.18 |
FY | 2021 |
Выручка: | $159.24M |
Валовая прибыль: | $0.00 (0.00 %) |
EPS: | $3.95 |
Financial Reports:
No articles found.
Guggenheim Strategic Dividends
(Q3/22) | (Q4/22) | (Q1/23) | (Q2/23) | (Q3/23) | (Q4/23) | (Q1/24) | (Q2/24) | (Q3/24) | (Q4/24) |
$0.546 (N/A) |
$0.546 (N/A) |
$0.546 (N/A) |
$0.546 (N/A) |
$0.546 (N/A) |
$0.364 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$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
First Dividend | $0.142 | 2007-09-12 |
Last Dividend | $0.182 | 2023-11-14 |
Next Dividend | $0 | N/A |
Payout Date | 2023-11-30 | |
Next Payout Date | N/A | |
# dividends | 196 | -- |
Total Paid Out | $33.65 | -- |
Avg. Dividend % Per Year | 8.03% | -- |
Score | 8.3 | -- |
Div. Sustainability Score | 9.39 | |
Div.Growth Potential Score | 4.53 | |
Div. Directional Score | 6.96 | -- |
Year | Amount | Yield |
---|---|---|
2007 | $0.568 | 2.84% |
2008 | $1.848 | 10.30% |
2009 | $1.848 | 16.90% |
2010 | $1.875 | 11.00% |
2011 | $1.848 | 9.24% |
2012 | $1.863 | 9.03% |
2013 | $2.13 | 9.76% |
2014 | $2.18 | 10.20% |
2015 | $2.18 | 10.40% |
2016 | $2.18 | 12.50% |
2017 | $2.18 | 11.10% |
2018 | $2.18 | 10.10% |
2019 | $2.18 | 11.60% |
2020 | $2.18 | 11.90% |
2021 | $2.18 | 11.30% |
2022 | $2.18 | 11.60% |
2023 | $2.00 | 12.80% |
2024 | $0 | 0.00% |
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.
Symbol | Title | Last dividend | Frequency | Years Dividend | Yearly Dividend | Score |
---|---|---|---|---|---|---|
LOMA | Dividend Knight | 2023-06-30 | Quarterly | 2 | 5.23% | 8.53 |
ZTR | Dividend King | 2024-02-09 | Monthly | 37 | 8.35% | 8.50 |
ORC | Dividend Royal | 2023-11-29 | Monthly | 12 | 9.23% | 8.50 |
KIO | Dividend Royal | 2023-12-14 | Monthly | 12 | 7.05% | 8.50 |
NCZ | Dividend Royal | 2024-02-09 | Monthly | 22 | 7.79% | 8.50 |
SCM | Dividend King | 2023-12-15 | Monthly | 13 | 7.08% | 8.50 |
SJT | Dividend Royal | 2023-11-29 | Monthly | 39 | 12.52% | 8.50 |
GOF | Dividend Royal | 2023-11-14 | Monthly | 18 | 8.03% | 8.50 |
SRV | Dividend Royal | 2023-12-04 | Monthly | 18 | 7.53% | 8.50 |
VGI | Dividend Royal | 2024-02-09 | Monthly | 13 | 7.36% | 8.50 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
netProfitMarginTTM | 0.688 | 1.500 | 10.00 | 10.00 | [0 - 0.5] |
returnOnAssetsTTM | 0.0523 | 1.200 | 8.26 | 9.91 | [0 - 0.3] |
returnOnEquityTTM | 0.0711 | 1.500 | -0.321 | -0.482 | [0.1 - 1] |
payoutRatioTTM | 2.13 | -1.000 | 10.00 | -10.00 | [0 - 1] |
currentRatioTTM | 0 | 0.800 | -5.00 | -4.00 | [1 - 3] |
quickRatioTTM | 1.295 | 0.800 | 7.09 | 5.67 | [0.8 - 2.5] |
cashRatioTTM | 0.0901 | 1.500 | -0.611 | -0.916 | [0.2 - 2] |
debtRatioTTM | 0.222 | -1.500 | 6.30 | -9.45 | [0 - 0.6] |
interestCoverageTTM | 5.23 | 1.000 | 9.18 | 9.18 | [3 - 30] |
operatingCashFlowPerShareTTM | 0.581 | 2.00 | 9.81 | 10.00 | [0 - 30] |
freeCashFlowPerShareTTM | 0.581 | 2.00 | 9.71 | 10.00 | [0 - 20] |
debtEquityRatioTTM | 0.293 | -1.500 | 8.83 | -10.00 | [0 - 2.5] |
grossProfitMarginTTM | 0.873 | 1.000 | 10.00 | 10.00 | [0.2 - 0.8] |
operatingProfitMarginTTM | 0.853 | 1.000 | 10.00 | 10.00 | [0.1 - 0.6] |
cashFlowToDebtRatioTTM | 0.165 | 1.000 | -0.196 | -0.196 | [0.2 - 2] |
assetTurnoverTTM | 0.0760 | 0.800 | -2.83 | -2.26 | [0.5 - 2] |
Total Score | 9.39 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
peRatioTTM | 17.51 | 1.000 | 8.33 | 0 | [1 - 100] |
returnOnEquityTTM | 0.0711 | 2.50 | -0.206 | -0.482 | [0.1 - 1.5] |
freeCashFlowPerShareTTM | 0.581 | 2.00 | 9.81 | 10.00 | [0 - 30] |
dividendYielPercentageTTM | 15.02 | 1.500 | 10.00 | 0 | [0 - 0.4] |
operatingCashFlowPerShareTTM | 0.581 | 2.00 | 9.81 | 10.00 | [0 - 30] |
payoutRatioTTM | 2.13 | 1.500 | 10.00 | -10.00 | [0 - 1] |
pegRatioTTM | 0.198 | 1.500 | -2.01 | 0 | [0.5 - 2] |
operatingCashFlowSalesRatioTTM | 0.481 | 1.000 | 0.478 | 0 | [0.1 - 0.5] |
Total Score | 4.53 |
Guggenheim Strategic
Guggenheim Strategic Opportunities Fund is a closed-ended balanced mutual fund launched and managed by Guggenheim Funds Investment Advisors, LLC. The fund is co-managed by Guggenheim Partners Investment Management LLC. It invests in public equity and fixed income markets across the globe. For its equity portion, the fund invests directly and through derivatives such as writing covered call and put options to invest in the stocks of companies operating across diversified sectors. It invests in the value stocks of companies of all capitalizations. The fund employs a combination of quantitative and qualitative analysis to create its portfolio. For the fixed income component of its portfolio, it seeks to invest in securities such as corporate bonds, loans, loan participations, structured finance investments, U.S. government and agency securities that are not rated below below CCC by S&P or Caa2 by Moody's. For the equity part of the portfolio the fund benchmarks S&P 500 Index and for the fixed income part it benchmarks Barclays Aggregate Bond Index. It was formerly known as Claymore/Guggenheim Strategic Opportunities Fund. Guggenheim Strategic Opportunities Fund was formed on November 13, 2006 and is domiciled in the United States.
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