OXFORD LANE CAPITAL CORP. PREFERRED STOCK SHARES, 8.25% SERIES 2031

NASDAQ: OXLCM (Oxford Lane Capital Corp. - 6.7)

Kemas kini terakhir: 24 May, 2023, 3:17AM

24.67

-0.12 (-0.48%)

Penutupan Terdahulu 24.79
Buka 24.66
Jumlah Dagangan 2,342
Purata Dagangan (3B) 3,411
Modal Pasaran 460,440,896
Harga / Pendapatan (P/E TTM) 28.32
Julat 52 Minggu
24.01 (-2%) — 25.43 (3%)
Hasil Dividen (DY TTM) 6.76%

Arah Aliran Pasaran

Jangka Pendek Jangka Sederhana
Industri Asset Management (US) Bercampur Bercampur
Asset Management (Global) Bercampur Bercampur
Stok Oxford Lane Capital Corp. - 6.7 - -

AISkor Stockmoo

1.8
Konsensus Penganalisis NA
Aktiviti Orang Dalam NA
Volatiliti Harga 3.5
Purata Bergerak Teknikal 0.0
Osilator Teknikal 2.0
Purata 1.83

Saham Serupa

Stok Modal Pasaran DY P/E (TTM) P/B
OXLCM 460 M 6.76% 28.32 -
TRIN 2 B 13.64% 10.75 1.40
OCSL 1 B 11.86% 27.06 0.830
DHIL 486 M 4.57% 11.41 2.68
SWKH 227 M - 14.67 0.820
SAMG 180 M 8.30% 12.81 1.69

Oxford Lane Capital Corp is a non-diversified closed-end management investment company. The fund's investment objective is to maximize its portfolio's risk-adjusted total return over its investment horizon. Its current focus is to seek that return by investing in equity and junior tranches of CLO(collateralized loan obligation) vehicles, which are collateralized by a diverse portfolio of senior loans, and which generally have little to no exposure to real estate loans, mortgage loans or pools of consumer-based debt, such as credit card receivables or auto loans. Its investment plan also includes investing in warehouse facilities, which are financing structures intended to aggregate senior loans that may be used to form the basis of a CLO vehicle.

Sektor Financial Services
Industri Asset Management
Gaya Pelaburan Small Value

Tiada data dalam julat masa ini.

Tiada data dalam julat masa ini.

Tahap sokongan, rintangan dan garis aliran yang dibentangkan telah dihasilkan oleh model kecerdasan buatan (AI) dan harus ditafsirkan dengan berhati-hati.

Portfolio

AI Templat

Peringatan harga anda

Profil Risiko

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Konservatif
Sederhana Konservatif
Sederhana
Sederhana Agresif
Agresif
Margin Keselamatan (EP)
Keuntungan Separa (TP1)
Keuntungan Sasaran (TP2)
Kerugian Maksimum (SL)

Penafian: Perkara di atas adalah untuk tujuan ilustrasi sahaja dan BUKAN nasihat pelaburan. Dapatkan nasihat daripada penasihat kewangan yang berkelayakan.

Harga Masuk (EP)

Ambil Untung 1 (TP1)

Ambil Untung 2 (TP2)

Henti Rugi (SL)

Julat 52 Minggu
 
52WL
 
52WH
SL
EP
TP1
TP2

Semua harga peringatan berada dalam julat harga 52 minggu

Keuntungan Nyata -
Keuntungan Tidak Nyata -
Dividen Diterima 2026 -
Jumlah Untung -
Pulangan Purata -
Kuantiti (Beli) -
Purata Harga (Beli) -
Kuantiti (Jual) -
Purata Harga (Jual) -
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