Lazard US Corporate Income Portfolio Open Shares
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About the company
The primary objective of this portfolio is to deliver the highest possible total return, drawing from both capital appreciation and current income generation. Under typical market conditions, the portfolio allocates a minimum of 80% of its capital to debt instruments issued by U. S.
- IPO
- 1998
- HQ
- New York, NY, US
Price Chart
- Market Cap
- $1.38B
- P/E
- 6.15
- P/S
- 260.37
- P/B
- 0.00
- EV/EBITDA
- 37.26
- Div Yield
- 5.39%
- Gross Margin
- 100.00%
- Op Margin
- 35.65%
- Net Margin
- 746.55%
- ROE
- 17.91%
- ROIC
- 0.73%
- Revenue
- $5.30M · 7.57%
- Net Income
- $39.55M · 178.46%
- EPS
- $3.04 · 178.55%
- Op Income
- $1.89M
- FCF YoY
- -32.78%
- 52W High
- $18.90
- 52W Low
- $18.44
- 50D MA
- $18.73
- 200D MA
- $18.75
- Beta
- 0.64
- Avg Volume
- 0
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