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BIF - Boulder Growth & Income Fund Inc


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14.75
-0.080   -0.542%

Share volume: 81,946
Last Updated: Fri 01 Apr 2022 10:00:02 PM CEST
Securities and Commodity Exchanges: -0.17%

PREVIOUS CLOSE
CHG
CHG%

$14.83
-0.08
-0.54%
This ticker is disabled and data are no longer maintained and up to date.
Fundamental analysis
42%
Profitability 25%
Dept financing 25%
Liquidity 75%
Performance 55%
Performance
5 Days
-1.47%
1 Month
4.39%
3 Months
4.67%
6 Months
13.10%
1 Year
20.47%
2 Year
76.66%
Key data
Stock price
$14.75
P/E Ratio 
0.00
DAY RANGE
$14.66 - $14.85
EPS 
$0.00
52 WEEK RANGE
$12.32 - $15.10
52 WEEK CHANGE
$0.20
MARKET CAP 
1.449 B
YIELD 
2.86%
SHARES OUTSTANDING 
98.271 M
DIVIDEND
$0.12
EX-DIVIDEND DATE
01/21/2022
NEXT EARNINGS DATE
N/A
BETA 
0.68
PUBLIC FLOAT 
$0
AVERAGE 10 VOLUME 
$93,026
AVERAGE 30 VOLUME 
$88,159
Company detail
CEO:
Region: US
Website: www.bouldercef.com
Employees: 0
IPO year: -
Issue type: Common Stock
Market: NYSE
Industry: Securities and Commodity Exchanges
Sector: Finance and Insurance

Boulder Growth & Income Fund, Inc. (the "Fund") is a non-diversified closed-end fund with a total return investment objective. To achieve its objective, the Fund utilizes a bottom-up, value-driven investment process to identify securities of good quality businesses trading below estimated intrinsic value. The intent of this process is to identify investment opportunities that will provide attractive returns over a long holding period. By doing this, 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 is managed by its investment adviser, ALPS Advisors, Inc. Rocky Mountain Advisers, LLC serves as the Fund's sub-adviser. Joel Looney, CFP and Stewart Horejsi of the sub-adviser serve as the Fund's portfolio managers and, with assistance from other advisory personnel, are jointly responsible for the day-to-day management of the Fund's assets.

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