Guggenheim Strategic Opportunities Fund 的關鍵財務報表是什麼?
根據最新的財務報表(Form-10K),Guggenheim Strategic Opportunities Fund 的總資產為 $0,淨isProfitable}為 $0
GOF 的關鍵財務比率是什麼?
Guggenheim Strategic Opportunities Fund 的流動比率為 0,淨利潤率為 0,每股銷售為 $0。
Guggenheim Strategic Opportunities Fund 的收入按細分市場或地理位置如何劃分?
Guggenheim Strategic Opportunities Fund 最大收入來源為 Financial Gravity Asset Management, Inc,在最近的收益報告中收入為 6,186,687。就地區而言,United States 是 Guggenheim Strategic Opportunities Fund 的主要市場,收入為 9,008,114。
Guggenheim Strategic Opportunities Fund 是否盈利?
無,根據最新的財務報表,Guggenheim Strategic Opportunities Fund 的淨損失為 $0
Guggenheim Strategic Opportunities Fund 有負債嗎?
無,Guggenheim Strategic Opportunities Fund 的負債為 0
Guggenheim Strategic Opportunities Fund 的流通股有多少?
Guggenheim Strategic Opportunities Fund 的總流通股為 0
關鍵數據
前收市價
$10.74
開盤價
$10.64
當日範圍
$10.6 - $10.73
52週區間
$10.54 - $15.2
交易量
--
平均成交量
1.4M
股息收益率
12.30%
每股盈餘 (TTM)
0.93
市值
$2.2B
什麼是 GOF?
Guggenheim Strategic Opportunities Fund is a US-based company operating in industry. The company is headquartered in Chicago, Illinois. The company went IPO on 2007-07-27. Guggenheim Strategic Opportunities Fund (the Fund) is a diversified, closed-end management investment company. The Fund's investment objective is to maximize total return through a combination of current income and capital appreciation. The Fund pursues a relative value-based investment philosophy. The Fund’s sub-adviser seeks to combine a credit-managed fixed-income portfolio with access to a diversified pool of alternative investments and equity strategies. The Fund may invest in a range of fixed-income and other debt and senior equity securities (Income Securities) selected from a variety of sectors and credit qualities. The Fund may invest in common stocks, limited liability company interests, trust certificates and other equity investments (Common Equity Securities) that GPIM believes offer attractive yield and/or capital appreciation potential. The company may invest in structured finance investments. Guggenheim Funds Investment Advisors, LLC serves as the investment adviser to the Fund.