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Tri-Continental Corporation PFD $2.50 Tri-Continental Corporation PFD $2.50

Tri-Continental Corporation PFD $2.50

TY-P
株式のランク #6760
Tri-Continental Corporation operates as a U.S.-based closed-end investment... Tri-Continental Corporation operates as a U.S.-based closed-end investment fund. Its core mandate is to foster future growth in both capital and income, alongside providing a steady stream of current earnings. The fund's assets are evenly distributed between two key strategies: an equity segment that employs quantitative models for individual stock selection, and a Flexible Capital Income segment that strategically allocates investments across a company's entire financial structure, encompassing equities, fixed-income instruments, and convertible securities. This diversified fund holds investments across a broad spectrum of sectors, including but not limited to consumer discretionary, consumer staples, energy, financials, healthcare, industrials, information technology, materials, real estate, telecommunication services, utilities, aerospace and defense, banking, and chemicals.
株価
$41.95
最終同期: 2026-08-27
時価総額
$1.87B
変化(1日)
-0.20%
変化(1年)
-6.76%
US
取引 Tri-Continental Corporation PFD $2.50 (TY-P)

カテゴリー

Tri-Continental Corporation PFD $2.50(TY-P)の株価履歴
終値の最高値: $42.09 (2026-08-01)

終値の最安値: $35.19 (1972-12-01)
Tri-Continental Corporation PFD $2.50 の株価履歴(1972 ~ 2026)
年間株価パフォーマンス
パフォーマンス
2026 (TTM) -1.12%
2025 -2.38%
2024 1.37%
2023 -3.05%
2022 -19.92%
2021 0.88%
2020 5.27%
2019 5.63%
2018 1.36%
2017 4.50%
2016 -3.29%
2015 5.38%
2014 6.82%
2013 -11.39%
2012 5.87%
2011 3.33%
2010 5.04%
2009 4.39%
2008 -5.34%
2007 0.65%
2006 0.77%
2005 -3.64%
2004 0.07%
2003 8.20%
2002 8.84%
2001 9.18%
2000 -2.33%
1999 -10.48%
1998 7.85%
1997 9.48%
1996 -0.96%
1995 8.65%
1994 -12.74%
1993 1.06%
1992 6.50%
1991 16.13%
1990 0.70%
1989 8.10%
1988 -6.87%
1987 -16.02%
1986 28.29%
1985 16.25%
1984 6.48%
1983 -4.02%
1982 18.45%
1981 -12.64%
1980 -15.23%
1979 -8.42%
1978 -10.24%
1977 -2.48%
1976 12.16%
1975 -0.27%
1974 -10.23%
1973 -9.43%
1972 0.00%
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