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NASDAQ, HERZ: Herzfeld Credit Income Fund Inc

04 Nov 25 15:48
LAST:

2.270

CHANGE:
 0.01
OPEN:
2.270
HIGH:
2.309
ASK:
0.000
VOLUME:
30.1K
CHG(%):
0.44
PREV:
2.280
LOW:
2.240
BID:
0.000
 

CHART

RECENT END OF DAY PRICES

DateOpenHighLowCloseVolume
04 Nov 252.2702.3092.2402.27031.0K
03 Nov 252.3202.3202.2702.280143.1K
31 Oct 252.3002.3292.2902.32353.5K
30 Oct 252.3302.3602.3102.3208.1K
29 Oct 252.3502.3642.3302.3309.7K
28 Oct 252.3742.3742.3302.34524.6K
27 Oct 252.3762.3762.3302.36414.8K
24 Oct 252.3792.3822.3602.3717.5K
23 Oct 252.3402.3702.2902.36035.6K
22 Oct 252.3602.3902.3102.32027.1K

COMPANY PROFILE

Name:Herzfeld Credit Income Fund Inc
About:The Herzfeld Caribbean Basin Fund Inc. is a closed-ended equity mutual fund launched by Thomas J. Herzfeld Advisors, Inc. The fund is managed by Herzfeld/Cuba. It invests in the public equity markets of the United States. The fund employing fundamental analysis investing in stocks of companies that are likely to benefit from economic, political, structural and technological developments in the countries in the Caribbean Basin, which consist of Cuba, Jamaica, Trinidad and Tobago, the Bahamas, the Dominican Republic, Barbados, Aruba, Haiti, the Netherlands Antilles, the Commonwealth of Puerto Rico, Mexico, Honduras, Guatemala, Belize, Costa Rica, Panama, Colombia and Venezuela. It invests in stocks of companies operating across diversified sectors. The Herzfeld Caribbean Basin Fund Inc. was formed on March 10, 1992 and is domiciled in the United States.
Industry:Asset Management
Address:10491 Sout West 97th Avenue, Miami, FL, United States, 33116
Website:https://www.herzfeld.com/cuba.htm#!cuba/cs3d
FIGI:BBG000CGFS75

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SYMBOL HISTORY

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FUNDAMENTALS

Trailing P/E:34.86 
Price to Book:0.92 
EPS Ratio:0.07 
Shares:16.91M 
Market Cap:38.38M 

TECHNICAL INDICATORS

MA5:2.301.5%
MA10:2.332.6%
MA20:2.374.4%
MA50:2.416.3%
RSI14:25.68 
WPR14:-100.00 
MTM14:-0.13
ROC14:-0.05 
ATR:0.05 
Week High:2.374.6%
Week Low:2.241.3%
Month High:2.468.4%
Month Low:2.24
Volatility:4.02 

RECENT SPLITS

Date Ratio
18 Nov 20211034-1000

RECENT DIVIDENDS

Date Amount
23 May 2025$0.23
31 Dec 2024$0.23
03 Jun 2024$0.14
26 Mar 2024$0.14
28 Dec 2023$0.14
19 May 2023$0.17
14 Feb 2023$0.17
17 Nov 2022$0.17
19 Aug 2022$0.17
20 May 2022$0.26