SRH Total Return Fund, Inc. Stock

Equities

STEW

US1015071012

Closed End Funds

Real-time Estimate Cboe BZX 12:48:58 2024-04-23 pm EDT 5-day change 1st Jan Change
14.45 USD +0.28% Intraday chart for SRH Total Return Fund, Inc. +1.51% +4.15%
Sales 2022 35.02M Sales 2023 36.18M Capitalization 1.31B
Net income 2022 63M Net income 2023 140M EV / Sales 2022 37 x
Net Debt 2022 223.17 Net Debt 2023 223.36 EV / Sales 2023 36.1 x
P/E ratio 2022
20.3 x
P/E ratio 2023
9.28 x
Employees -
Yield 2022
3.61%
Yield 2023
3.73%
Free-Float 53.24%
More Fundamentals * Assessed data
Dynamic Chart
1 day+0.28%
1 week+1.51%
Current month-4.08%
1 month-2.33%
3 months+4.67%
6 months+17.06%
Current year+4.15%
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1 week
14.19
Extreme 14.19
14.48
1 month
14.19
Extreme 14.19
15.09
Current year
13.64
Extreme 13.64
15.09
1 year
12.07
Extreme 12.0711
15.09
3 years
10.65
Extreme 10.6466
15.10
5 years
7.54
Extreme 7.5401
15.10
10 years
6.52
Extreme 6.52
15.10
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Managers TitleAgeSince
Chairman 63 01-12-31
Compliance Officer 40 17-12-31
Director/Board Member 47 99-12-31
Members of the board TitleAgeSince
Director/Board Member 87 01-12-31
Chairman 63 01-12-31
Director/Board Member 85 05-12-31
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Date Price Change Volume
24-04-23 14.44 +0.24% 50 386
24-04-22 14.41 +0.28% 78,685
24-04-19 14.37 +0.91% 37,347
24-04-18 14.24 +0.21% 36,609
24-04-17 14.21 -0.14% 58,695

Delayed Quote Nyse, April 23, 2024 at 12:35 pm EDT

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SRH Total Return Fund, Inc. (the Fund) is a non-diversified closed-end fund with a total return investment objective. The Fund seeks to keep portfolio turnover low, which the sub-adviser believes helps to minimize associated trading costs. The Fund maintains a high level of investment flexibility and has the ability to invest in equity and fixed income securities of domestic and international companies without limitation to a company's market capitalization. The Fund's portfolio includes Berkshire Hathaway, Inc., JPMorgan Chase & Co., State Street Institutional U.S. Government Money Market Fund, Berkshire Hathaway, Inc., Yum! Brands, Inc., Enterprise Products Partners LP, Microsoft Corp., Cisco Systems, Inc., NRG Energy, Inc. and Stanley Black & Decker, Inc. The Fund is managed by its investment adviser, Paralel Advisors LLC.
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