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LGI - Lazard Global Total Return and Income Fund Inc


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17.24
0.110   0.638%

Share volume: 24,729
Last Updated: Fri 30 Aug 2024 10:30:00 PM CEST
Securities and Commodity Exchanges: -0.17%

PREVIOUS CLOSE
CHG
CHG%

$17.13
0.11
0.64%
5D - 1M - 3M - 1Y - 3Y - 5Y - 10Y - 15Y
Fundamental analysis
42%
Profitability 25%
Dept financing 25%
Liquidity 75%
Performance 55%
Performance
5 Days
0.94%
1 Month
3.88%
3 Months
7.48%
6 Months
13.91%
1 Year
24.90%
2 Year
25.27%
Key data
Stock price
$17.24
P/E Ratio 
0.00
DAY RANGE
$17.13 - $17.38
EPS 
$0.00
52 WEEK RANGE
$11.83 - $17.38
52 WEEK CHANGE
$0.27
MARKET CAP 
224.343 M
YIELD 
7.29%
SHARES OUTSTANDING 
13.013 M
DIVIDEND
$0.1494
EX-DIVIDEND DATE
08/12/2024
NEXT EARNINGS DATE
N/A
BETA 
0.95
PUBLIC FLOAT 
$0
AVERAGE 10 VOLUME 
$38,693
AVERAGE 30 VOLUME 
$39,649
Company detail
CEO:
Region: US
Website:
Employees: 1,221
IPO year: -
Issue type: Common Stock
Market: NYSE
Industry: Securities and Commodity Exchanges
Sector: Finance and Insurance

lazard asset management is known for its global perspective on investing and its experience with global, regional and domestic portfolios. we believe in fostering a culture of constant dialogue between teams. the resulting views bring us the unique, firsthand market insights that are the key to our long-term success. at lazard asset management having an entrepreneurial spirit means that our teams are independent, but supported by a central infrastructure. this central infrastructure allows teams to focus on what they do best. with over $222.3 billion in assets under management (as of december 31, 2017), we have offices located throughout the world in boston, dubai, dublin, frankfurt, geneva, hamburg, hong kong, london, milan, montreal, new york, san francisco, seoul, singapore, sydney, tokyo, toronto, and zurich.

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