Guggenheim Credit Allocation Fund of Beneficial Interest

21.71+0.2500+1.16%Vol 176.45K1Y Perf 38.39%
Apr 19th, 2021 12:42 DELAYED
BID21.71 ASK21.73
Open21.65 Previous Close21.46
Pre-Market- After-Market-
 - -%  - -
Target Price
- 
Analyst Rating
— — 0.00
Potential %
- 
Finscreener Ranking
 —    -
Insiders Trans % 3/6/12 mo.
-/100/100 
Value Ranking
★★★★★     67.39
Insiders Value % 3/6/12 mo.
-/100/100 
Growth Ranking
 —    -
Insiders Shares Cnt. % 3/6/12 mo.
-/100/100 
Income Ranking
 —    -
Market Cap- 
Earnings Rating
Price Range Ratio 52W %
99.41 
Earnings Date
-

Today's Price Range

21.5021.75

52W Range

15.0021.75

Summary:

Buy

Technical Indicators: Neutral
Moving Averages: Strong Buy
Performance
1 Week
-0.14%
1 Month
4.17%
3 Months
7.57%
6 Months
18.98%
1 Year
38.39%
3 Years
-0.46%
5 Years
13.91%
10 Years
-

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Earnings HistoryEstimateReportedSurprise %
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Earnings Per EndEstimateRevision %Trend
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Next Report Date-
Estimated EPS Next Report-
Estimates Count-
EPS Growth Next 5 Years %-
Volume Overview
Volume176.45K
Shares Outstanding0
Trades Count817
Dollar Volume1.42M
Avg. Volume64.20K
Avg. Weekly Volume78.88K
Avg. Monthly Volume72.79K
Avg. Quarterly Volume65.36K

Guggenheim Credit Allocation Fund of Beneficial Interest (NYSE: GGM) stock closed at 21.46 per share at the end of the most recent trading day (a 0.05% change compared to the prior day closing price) with a volume of 50.38K shares and market capitalization of 0.0000. Is a component of indices and it is traded on NYSE exchange. The company belongs in the Asset Management industry, Financial Services sector and employs 0 people. Guggenheim Credit Allocation Fund of Beneficial Interest CEO is Brian E. Binder.

The one-year performance of Guggenheim Credit Allocation Fund of Beneficial Interest stock is 38.39%, while year-to-date (YTD) performance is 8.55%. GGM stock has a five-year performance of 13.91%. Its 52-week range is between 15 and 21.75, which gives GGM stock a 52-week price range ratio of 99.41%

Guggenheim Credit Allocation Fund of Beneficial Interest currently has a PE ratio of 12.10, a price-to-book (PB) ratio of 1.22, a price-to-sale (PS) ratio of 12.47, a price to cashflow ratio of 113.20, a PEG ratio of 2.32, a ROA of 6.68%, a ROC of -% and a ROE of 9.58%. The company’s profit margin is 92.50%, its EBITDA margin is -%, and its revenue ttm is $16.94 Million , which makes it $1.73 revenue per share.

Of the last four earnings reports from Guggenheim Credit Allocation Fund of Beneficial Interest, there were 0 positive earnings surprise and 0 negative earnings surprise. The company has EPS estimate of $0.00 for the next earnings report. Guggenheim Credit Allocation Fund of Beneficial Interest’s next earnings report date is -.

The consensus rating of Wall Street analysts for Guggenheim Credit Allocation Fund of Beneficial Interest is (), with a target price of $, which is 0.00% compared to the current price. The earnings rating for Guggenheim Credit Allocation Fund of Beneficial Interest stock is (calculated from actual period earnings estimates revision (80% weight) and previous period earnings surprise (20% weight)).

Guggenheim Credit Allocation Fund of Beneficial Interest has a dividend yield of 10.10% with a dividend per share of $2.18 and a payout ratio of 182.00%.

Guggenheim Credit Allocation Fund of Beneficial Interest has a Buy technical analysis rating based on Technical Indicators (ADX : 10.83, ATR14 : 0.30, CCI20 : 87.85, Chaikin Money Flow : 0.08, MACD : 0.30, Money Flow Index : 83.51, ROC : 2.19, RSI : 56.89, STOCH (14,3) : 83.54, STOCH RSI : 0.32, UO : 55.23, Williams %R : -16.46), Simple Moving Averages and Exponential Moving Averages.

Aggregated Insider Trades of Guggenheim Credit Allocation Fund of Beneficial Interest in the last 12-months were: Ronald E. Toupin (Buy at a value of $11 995)

Analyst RatingsCurrent1 M ago3 M ago
Strong Buy
0
0
0
Moderate Buy
0
0
0
Hold
0
0
0
Moderate Sell
0
0
0
Strong Sell
0
0
0
Summary Rating---

Guggenheim Credit Allocation Fund of Beneficial Interest

Guggenheim Credit Allocation Fund is a diversified, closed-end management investment company. The Fund's investment objective is to seek total return through a combination of current income and capital appreciation. Its investment portfolio includes high yield corporate bonds, bank loans, and asset-backed securities.

CEO: Brian E. Binder

Telephone: +1 312 827-0100

Address: 227 West Monroe Street, Chicago 60606, IL, US

Number of employees: 0

Bearish or Bullish?
WeekMonthThree MonthsSix Months

Bearish Bullish

100%0%

Bearish Bullish

67%33%

Bearish Bullish

78%22%

Bearish Bullish

67%33%

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