Exchange: AMEX Industry: Asset Management
0.00% $8.00
America/New_York / 13 mai 2024 @ 11:57
FUNDAMENTALS | |
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MarketCap: | 207.46 mill |
EPS: | 0.160 |
P/E: | 50.00 |
Earnings Date: | N/A |
SharesOutstanding: | 25.93 mill |
Avg Daily Volume: | 0.0925 mill |
RATING 2024-05-10 |
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C- |
Strong Sell |
RATINGS | ||
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Rating CashFlow: | Strong Sell | |
Return On Equity: | Strong Sell | |
Return On Asset: | Strong Sell | |
DE: | Sell | |
P/E: | Strong Sell | |
Price To Book: | Neutral |
QUARTER GROWTHS | ||||||
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3/22 | 4/22 | 1/23 | 2/23 | 3/23 | 4/23 | |
Revenue | ||||||
Gr.Profit | ||||||
Ebit | ||||||
Asset | n/a | n/a | n/a | |||
Debt |
PE RATIO: COMPANY / SECTOR |
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4.06x |
Company: PE 50.00 | sector: PE 12.30 |
PE RATIO: COMPANY / INDUSTRY |
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0x |
Company: PE 50.00 | industry: PE -5.64 |
DISCOUNTED CASH FLOW VALUE |
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$-2.39 (-129.83%) $-10.39 |
Date: 2024-05-12 |
Expected Trading Range (DAY) |
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$ 7.93 - 8.07 ( +/- 0.90%) |
ATR Model: 14 days |
Date | Person | Action | Amount | type |
---|---|---|---|---|
2023-09-29 | Bank Of America Corp /de/ | Buy | 0 | Mandatory Redeemable Preferred Series D (CUSIP: 64128C205) |
2023-09-18 | Metlife Investment Management, Llc | Sell | 8 583 032 | Floating Rate Senior Note, Series A Note, Due Sep. 18, 2023 |
2023-09-18 | Metlife Investment Management, Llc | Sell | 26 500 000 | Floating Rate Senior Note, Series B Note, Due Sep. 18, 2023 |
2023-09-18 | Metlife Investment Management, Llc | Sell | 1 344 000 | Series C Mandatory Redeemable Preferred Shares |
2023-06-29 | Kaplan Ami | Buy | 0 |
INSIDER POWER |
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-88.45 |
Last 97 transactions |
Buy: 35 901 883 | Sell: 112 193 752 |
Indicator Signals | |
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RSI 21 | |
SMA | |
Trend | |
Trend 2 | |
Trend 3 | |
MACD |
Volume Signals | |
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Price | $8.00 (0.00% ) |
Volume | 0.0352 mill |
Avg. Vol. | 0.0925 mill |
% of Avg. Vol | 38.07 % |
Signal 1: | |
Signal 2: |
0 Signals | Accuracy: 0.00% | Accuracy Buy: 0.00% | Accuracy Sell: 0.00%
Avg return buy: 0.00 % | Avg return sell: 0.00 %
$1 invested is now $1.00 or 0.00% since Coming Soon
Date | Signal | @ | Closed | % |
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Neuberger Berman High Yield Strategies Fund Inc. is a closed-ended fixed income mutual fund launched by Neuberger Berman LLC. The fund is managed by Neuberger Berman Investment Advisers LLC. It invests in fixed income markets across the globe. The fund typically invests in high yield debt securities of various sectors, such as auto parts and equipment, airlines, automotive, electronics, health services, packaging, telecom-integrated/services, gaming, and gas distribution. It was formerly known as Neuberger Berman High Yield Strategies Fund. Neuberger Berman High Yield Strategies Fund Inc. was formed on July 28, 2003 and is domiciled in the United States.