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Echtzeitaktualisierungen für Voya Global Advantage And [IGA]

Börse: NYSE Sektor: Financial Services Industrie: Asset Management
Zuletzt aktualisiert29 Apr 2024 @ 19:48

0.22% $ 8.94

Live Chart Being Loaded With Signals

Commentary (29 Apr 2024 @ 19:48):
Profile picture for Voya Global Advantage And Premium Opportunity Fund

Voya Global Advantage and Premium Opportunity Fund is a closed-ended equity mutual fund launched by Voya Investment Management LLC. The fund is co-managed by Voya Investments, LLC, Voya Investment Management Co...

Stats
Tagesvolumen 48 261.00
Durchschnittsvolumen 47 591.00
Marktkapitalisierung 162.70M
Nächstes Ertragsdatum ( $0 ) 2024-07-12
Last Dividend $0.197 ( 2023-10-02 )
Next Dividend $0 ( N/A )
P/E 18.24
ATR14 $0.00900 (0.10%)
Insider Trading
Date Person Action Amount type
2024-01-10 Toms Matthew Buy 0
2020-02-28 Jones Russell H Buy 0
2019-05-01 Zemsky Paul Buy 0
2019-05-01 Wetter Steven Buy 0
2019-05-01 Diorio Margaret Buy 0
INSIDER POWER
0.00
Last 33 transactions
Buy: 18 000 | Sell: 12 735

Volumen Korrelation

Lang: -0.08 (neutral)
Kurz: 0.41 (neutral)
Signal:(28.166) Neutral

Voya Global Advantage And Korrelation

10 Am meisten positiv korreliert
OMI0.919
WU0.914
ELAN0.912
CWAN0.91
CVEO0.907
JBGS0.906
MPW0.906
DIV0.903
AAT0.902
ONL0.901
10 Am meisten negativ korreliert
AMAM-0.908
UVE-0.855
BBL-0.847
HY-0.845
DVD-0.838
HCHC-0.837
RDS-A-0.833
FPAC-UN-0.83
FAZ-0.817
FCN-0.812

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.

Voya Global Advantage And Korrelation - Währung/Rohstoff

The country flag 0.35
( neutral )
The country flag 0.28
( neutral )
The country flag 0.00
( neutral )
The country flag 0.38
( neutral )
The country flag 0.52
( weak )
The country flag -0.21
( neutral )

Voya Global Advantage And Finanzdaten

Annual 2022
Umsatz: $4.68M
Bruttogewinn: $3.19M (68.06 %)
EPS: $0.280
FY 2022
Umsatz: $4.68M
Bruttogewinn: $3.19M (68.06 %)
EPS: $0.280
FY 2022
Umsatz: $24.52M
Bruttogewinn: $24.52M (100.00 %)
EPS: $1.380
FY 2021
Umsatz: $4.90M
Bruttogewinn: $0.00 (0.00 %)
EPS: $0.260

Financial Reports:

No articles found.

Voya Global Advantage And Dividends

(Q3/22) (Q4/22) (Q1/23) (Q2/23) (Q3/23) (Q4/23) (Q1/24) (Q2/24) (Q3/24) (Q4/24)
$0.197
(N/A)
$0.394
(N/A)
$0
(N/A)
$0.197
(N/A)
$0.197
(N/A)
$0.197
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)
$0
(N/A)

Voya Global Advantage And Dividend Information - Dividend King

Dividend Sustainability Score: 4.66 - low (54.70%) | Divividend Growth Potential Score: 0.906 - No dividend expected

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 $0.155 2005-12-28
Last Dividend $0.197 2023-10-02
Next Dividend $0 N/A
Payout Date 2023-10-16
Next Payout Date N/A
# dividends 71 --
Total Paid Out $22.05 --
Avg. Dividend % Per Year 5.02% --
Score 5.05 --
Div. Sustainability Score 4.66
Div.Growth Potential Score 0.906
Div. Directional Score 2.78 --
Next Divdend (Est)
(2024-06-17)
$0.198 Estimate 27.64 %
Dividend Stability
0.74 Good
Dividend Score
5.05
Pay Frequency
Quarterly
Yearly Payout
Year Amount Yield
2005 $0.155 0.78%
2006 $1.395 7.77%
2007 $2.97 14.00%
2008 $1.860 10.10%
2009 $1.767 15.30%
2010 $1.377 10.20%
2011 $1.317 9.78%
2012 $1.184 10.90%
2013 $1.120 9.72%
2014 $1.120 9.69%
2015 $1.120 9.75%
2016 $1.065 10.30%
2017 $0.900 9.15%
2018 $0.900 7.84%
2019 $0.844 9.04%
2020 $0.788 7.51%
2021 $0.788 9.16%
2022 $0.788 7.56%
2023 $0.591 6.69%
2024 $0 0.00%

Dividend Commentary

The company's low Dividend Sustainability Score (DSS) highlights potential challenges in upholding its current dividend levels. Unfortunately, its low Dividend Growth Potential Score (DGPS) suggests limited prospects for dividend growth. In conclusion, a more vigilant stance is recommended given the company's tentative dividend landscape.

Top 10 dividend Companies for NYSE

Symbol Title Last dividend Frequency Years Dividend Yearly Dividend Score
LOMA Dividend Knight 2023-06-30 Quarterly 2 5.23% 8.53
VGI Dividend Royal 2024-02-09 Monthly 13 7.36% 8.50
PHK Dividend Royal 2023-11-10 Monthly 22 6.88% 8.50
KIO Dividend Royal 2023-12-14 Monthly 12 7.05% 8.50
GOF Dividend Royal 2023-11-14 Monthly 18 8.03% 8.50
PCF Dividend King 2023-12-18 Monthly 38 7.05% 8.50
PVL Dividend King 2023-11-15 Monthly 14 9.37% 8.50
NCV Dividend Royal 2024-02-09 Monthly 22 7.68% 8.50
SBR Dividend Royal 2023-11-14 Monthly 38 7.74% 8.50
MTR Dividend Diamond 2023-10-30 Monthly 39 10.10% 8.50

Dividend Sustainability Score (DSS)

RatioActual ValueWeightNormalized ValueScoreRange
netProfitMarginTTM1.7351.50010.0010.00[0 - 0.5]
returnOnAssetsTTM0.06871.2007.719.25[0 - 0.3]
returnOnEquityTTM0.06781.500-0.358-0.537[0.1 - 1]
payoutRatioTTM0-1.00000[0 - 1]
currentRatioTTM23.790.80010.008.00[1 - 3]
quickRatioTTM61.770.80010.008.00[0.8 - 2.5]
cashRatioTTM11.191.50010.0010.00[0.2 - 2]
debtRatioTTM0-1.50000[0 - 0.6]
interestCoverageTTM01.000-1.111-1.111[3 - 30]
operatingCashFlowPerShareTTM02.0000[0 - 30]
freeCashFlowPerShareTTM02.0000[0 - 20]
debtEquityRatioTTM0-1.50000[0 - 2.5]
grossProfitMarginTTM0.7681.0000.5400.540[0.2 - 0.8]
operatingProfitMarginTTM1.2931.00010.0010.00[0.1 - 0.6]
cashFlowToDebtRatioTTM01.000-1.111-1.111[0.2 - 2]
assetTurnoverTTM0.03960.800-3.07-2.46[0.5 - 2]
Total Score4.66

Dividend Growth Score (DGS)

RatioActual ValueWeightNormalized ValueScoreRange
peRatioTTM13.101.0008.780[1 - 100]
returnOnEquityTTM0.06782.50-0.230-0.537[0.1 - 1.5]
freeCashFlowPerShareTTM02.0000[0 - 30]
dividendYielPercentageTTM8.831.50010.000[0 - 0.4]
operatingCashFlowPerShareTTM02.0000[0 - 30]
payoutRatioTTM01.50000[0 - 1]
pegRatioTTM-0.1641.500-4.430[0.5 - 2]
operatingCashFlowSalesRatioTTM01.000-2.500[0.1 - 0.5]
Total Score0.906

Voya Global Advantage And

Voya Global Advantage and Premium Opportunity Fund is a closed-ended equity mutual fund launched by Voya Investment Management LLC. The fund is co-managed by Voya Investments, LLC, Voya Investment Management Co. LLC, and NNIP Advisors B.V. It invests in public equity markets across the globe. The fund seeks to invest in stocks of companies operating across diversified sectors. It primarily invests in value stocks of companies across all market capitalizations. The fund also invests through index call options on selected indices, equities, and/or exchange-traded funds. It employs fundamental analysis with a bottom-up stock picking approach and a proprietary discounted cash flow valuation model, focusing on such factors as sales, margins, and capital use to create its portfolio. The fund benchmarks the performance of its portfolio against the MSCI World Index. It was formerly known as ING Global Advantage and Premium Opportunity Fund. Voya Global Advantage and Premium Opportunity Fund was formed on July 7, 2005 and is domiciled in the United States.

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