Exchange: NASDAQ Sector: Financial Services Industry: Asset Management
-0.31% $3.24
America/New_York / 26 apr 2024 @ 09:49
FUNDAMENTALS | |
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MarketCap: | 46.65 mill |
EPS: | -0.260 |
P/E: | -12.46 |
Earnings Date: | May 13, 2024 |
SharesOutstanding: | 14.40 mill |
Avg Daily Volume: | 0.0297 mill |
RATING 2024-04-25 |
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B- |
Sell |
RATINGS | ||
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Rating CashFlow: | Buy | |
Return On Equity: | Strong Sell | |
Return On Asset: | Strong Sell | |
DE: | Strong Buy | |
P/E: | Strong Sell | |
Price To Book: | Sell |
QUARTER GROWTHS | ||||||
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3/22 | 4/22 | 1/23 | 2/23 | 3/23 | 4/23 | |
Revenue | ||||||
Gr.Profit | ||||||
Ebit | ||||||
Asset | ||||||
Debt |
PE RATIO: COMPANY / SECTOR |
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0.00x |
Company: PE -12.46 | sector: PE -18.15 |
PE RATIO: COMPANY / INDUSTRY |
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0x |
Company: PE -12.46 | industry: PE -47.59 |
DISCOUNTED CASH FLOW VALUE |
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N/A |
N/A |
Expected Trading Range (DAY) |
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$ 3.12 - 3.36 ( +/- 3.73%) |
ATR Model: 14 days |
Date | Person | Action | Amount | type |
---|---|---|---|---|
2023-02-02 | Shaikh Suhail A. | Sell | 0 | Common Stock |
2022-05-05 | Investcorp Bdc Holdings Ltd | Sell | 0 | Common Stock, $0.001 par value per share |
2022-05-05 | Cyrus Capital Partners Gp, Llc | Sell | 2 165 000 | Common Stock, par value $0.001 per share ("Common Stock") |
2022-05-05 | Cyrus Capital Partners, L.p. | Sell | 2 165 000 | Common Stock, par value $0.001 per share ("Common Stock") |
2021-09-01 | Delguercio Rocco | Buy | 2 000 | Common Stock |
INSIDER POWER |
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-100.00 |
Last 100 transactions |
Buy: 708 570 | Sell: 4 753 179 |
Indicator Signals | |
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RSI 21 | |
SMA | |
Trend | |
Trend 2 | |
Trend 3 | |
MACD |
Volume Signals | |
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Price | $3.24 (-0.31% ) |
Volume | 0.0019 mill |
Avg. Vol. | 0.0297 mill |
% of Avg. Vol | 6.47 % |
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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Investcorp Credit Management BDC, Inc. is a business development company specializing in loan, mezzanine, middle market, growth capital, acquisitions, market/product expansion, organic growth, refinancings and recapitalization investments. It also selectively invests in mezzanine loans/structured equity and in the equity of portfolio companies through warrants and other instruments, in most cases taking such upside participation interests as part of a broader investment relationship. The fund typically invests in United States and Europe. Within United States, the fund seeks to invest in Midatlantic, Midwest, Northeast, Southeast, and West Coast regions. The fund primarily invests in cable and satellites; consumer services; healthcare equipment and services; industrials; information technology; telecommunication services; and utilities sectors. The fund seeks to invest between $5 million to $25 million in companies that have annual revenues of at least $50 million with EBITDA at least $15 million.