RCM STRATGIC GL The Fund is a non-diversified, closed-end management investment company. TheTrust's investment objective is to generate a level of income that is higher than that generated by high-quality, intermediate-term U.S. debt securities. Asa secondary objective, the Fund seeks to maintain volatility in the net assetvalue of the shares of the Fund comparable to that of high-quality,intermediate-term U.S. debt securities. In addition, the Fund seeks capitalappreciation to the extent consistent with its other investment objectives.
Revenue (Most Recent Fiscal Year) | -- |
Net Income (Most Recent Fiscal Year) | -- |
PE Ratio (Current Year Earnings Estimate) | -- |
PE Ratio (Trailing 12 Months) | -- |
PEG Ratio (Long Term Growth Estimate) | -- |
Price to Sales Ratio (Trailing 12 Months) | -- |
Price to Book Ratio (Most Recent Quarterly Book Value per Share) | -- |
Price to Cash Ratio (Most Recent Annual Cash Flow per Share) | -- |
Pre-Tax Margin (Trailing 12 Months) | -- |
Net Margin (Trailing 12 Months) | -- |
Return on Equity (Trailing 12 Months) | -- |
Return on Assets (Trailing 12 Months) | -- |
Current Ratio (Most Recent Fiscal Quarter) | -- |
Quick Ratio (Most Recent Fiscal Quarter) | -- |
Debt to Common Equity (Most Recent Fiscal Quarter) | -- |
Inventory Turnover (Trailing 12 Months) | -- |
Book Value per Share (Most Recent Fiscal Quarter) | -- |
Earnings per Share (Most Recent Fiscal Quarter) | -- |
Earnings per Share (Most Recent Fiscal Year) | -- |
Diluted Earnings per Share (Trailing 12 Months) | -- |
Exchange | NYSE |
Sector | -- |
Industry | -- |
Common Shares Outstanding | 46.65M |
Free Float | -- |
Market Capitalization | $296.25M |
Average Volume (Last 20 Days) | 0.10M |
Beta (Past 60 Months) | 0.88 |
Percentage Held By Insiders (Latest Annual Proxy Report) | -- |
Percentage Held By Institutions (Latest 13F Reports) | 13.48% |
Annual Dividend (Based on Last Quarter) | $0.56 |
Dividend Yield (Based on Last Quarter) | 8.77% |