NYSE: FIF - First Trust Energy Infrastructure Fund

Rentabilidad a seis meses: +1.51%
Sector: Нефтегаз

Calendario de promoción First Trust Energy Infrastructure Fund


Acerca de la empresa

First Trust Energy Infrastructure Fund is a closed-ended equity mutual fund launched and managed by First Trust Advisors L.P. The fund is co-managed by Energy Income Partners LLC. It invests in the public equity markets of the United States.

Más detalles
The fund seeks to invest in stocks of companies operating in the energy infrastructure sector, including pipeline companies, utilities, and other companies that derive at least 50% of their revenues from operating or providing services in support of infrastructure assets such as pipelines, power transmission, and petroleum and natural gas storage in the petroleum, natural gas, and power generation industries. It primarily invests in stocks of publicly-traded master limited partnerships and MLP affiliates. The fund benchmarks the performance of its portfolio against the Philadelphia Stock Exchange Utility Index, Alerian MLP Total Return Index, and a blended index comprised of 50% Philadelphia Stock Exchange Utility Index and 50% Alerian MLP Total Return Index. First Trust Energy Infrastructure Fund was formed on February 22, 2011 and is domiciled in the United States.

ISIN US33738C1036
Валюта usd
Див.доход ао 6.69
Дивиденд ао 0.25
Сайт https://www.ftportfolios.com/Retail/cef/cefsummary.aspxTicker=FIF
Цена ао 17.79
Cambio de precio por día: 0% (18.1)
Cambio de precio por semana.: 0% (18.1)
Cambio de precio por mes: 0% (18.1)
Cambio de precio en 3 meses.: 0% (18.1)
Cambio de precio en seis meses: +1.51% (17.83)
Cambio de precio por año: +21.48% (14.9)
Cambio de precio en 3 años.: +39.23% (13)
Cambio de precio en 5 años.: +13.55% (15.94)
Cambio de precio desde principios de año.: +17.69% (15.38)

Subestimación

Nombre Significado Calificación
P/S 0 0
P/BV 0 0
P/E 0 0
EV/EBITDA 0 0
Total: 2.5

Eficiencia

Nombre Significado Calificación
ROA, % 0 0
ROE, % 0 0
Total: 0

Dividendos

Nombre Significado Calificación
Div yield, % 6.5 10
DSI 0.7857 7.86
Total: 5.41

Deber

Nombre Significado Calificación
Debt/EBITDA 0 10
Total: 10

Impulso de crecimiento

Nombre Significado Calificación
Rentabilidad Revenue, % 0 0
Rentabilidad Ebitda, % 0 0
Rentabilidad EPS, % 0 0
Total: 0

Instituciones Volumen Compartir, %
Saba Capital Management, L.P. 1085708 6.93
Wealthspire Advisors, LLC 895076 5.71
UBS Group AG 618710 3.95
Wells Fargo & Company 449193 2.87
Advisors Asset Management, Inc. 307141 1.96
Morgan Stanley 299396 1.91
Cohen & Steers Inc. 212260 1.35
Cambridge Investment Research Advisors Inc. 204998 1.31
Ameriprise Financial, Inc. 121380 0.77
Royal Bank of Canada 115752 0.74



DIRECCIÓN: United States, Wheaton. IL, 120 East Liberty Drive - abrir en mapas de google, abrir mapas de Yandex
Sitio web: https://www.ftportfolios.com/Retail/cef/cefsummary.aspxTicker=FIF