Lazard US Corporate Income Portfolio Open Shares
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Companywww.lazardassetmanagement.com/us/en_us/investment-solutions/how-to-invest/2/144?shareClass=192
The investment seeks maximum total return from a combination of capital appreciation and current income. Under normal circumstances, the Portfolio invests at least 80% of its assets in fixed-income securities issued by corporations or other non-governmental issuers similar to corporations, which securities are tied economically to the U. S.
- IPO
- 1998
- HQ
- New York, NY, US
Price Chart
Valuation
- Market Cap
- $1.38B
- P/E
- 0.00
- P/S
- 260.37
- P/B
- 0.00
- EV/EBITDA
- 37.26
- Div Yield
- 5.34%
Profitability
- Gross Margin
- 100.00%
- Op Margin
- 35.65%
- Net Margin
- 746.55%
- ROE
- 17.91%
- ROIC
- 0.73%
Growth & Income
- Revenue
- $5.30M · 7.57%
- Net Income
- $39.55M · 178.46%
- EPS
- $3.04 · 178.55%
- Op Income
- $1.89M
- FCF YoY
- -32.78%
Performance & Tape
- 52W High
- $18.90
- 52W Low
- $18.13
- 50D MA
- $18.73
- 200D MA
- $18.74
- Beta
- 0.66
- Avg Volume
- 0
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