Stock Symbol:   

Stoxline Mobile
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Nuveen Preferred and Convertible 2 (JQC)

6.39   -0.07 (-1.08%) 03-05 09:18
Open: 6.45 Pre. Close: 6.46
High: 6.46 Low: 6.37
Volume: 917,095 Market Cap: 867M
Nuveen Credit Strategies Income Fund is a diversified closed-end management investment company. The Fund's investment objectives are high current income and total return. The Fund meets its investment objectives by investing approximately 70% of its managed assets in senior secured and second lien loans, and up to 30% of its managed assets across the capital structure of companies (including equity securities) with a primary focus on high yield bonds, convertible securities and other forms of income-producing securities. The Fund invests in sectors, such as software, media, diversified telecommunication services, pharmaceuticals, healthcare equipment and supplies, real estate investment trust, chemicals, semiconductors and semiconductor equipment, healthcare providers and services, wireless telecommunication services, food and staples retailing, specialty retail, diversified consumer services and other. The Fund's investment advisor is Nuveen Fund Advisors, LLC.

Stock Price Prediction

Update at 5:00pm EST
If tomorrow: Open lower Open higher
High: 6.474 - 6.513 6.513 - 6.542
Low: 6.276 - 6.328 6.328 - 6.367
Close: 6.322 - 6.398 6.398 - 6.455

Technical analysis

as of: 2021-03-05 8:48:58 AM
Stoxline posted a SELL today, downgraded from higher rating. Downward movement to be expected.
Target: Six months: 7.54     One year: 7.65
Support: Support1: 6.31    Support2: 5.25
Resistance: Resistance1: 6.46    Resistance2: 6.55
Pivot: 6.41
Moving Average: MA(5): 6.45     MA(20): 6.43
MA(100): 6.24     MA(250): 6.02
MACD: MACD(12,26): 0.01     Signal(9): 0.01
Stochastic oscillator: %K(14,3): 57.14     %D(3): 63.03
RSI: RSI(14): 47.50
52-week: High: 6.74  Low: 3.75  Change(%): -9.6
Average Vol(K): 3-Month: 85315  10-Days: 68422

Price, moving averages and Bollinger Bands

Price and moving averages has closed below its Short term moving average. Short term moving average is currently above mid-term; AND above long term moving averages. From the relationship between price and moving averages; we can see that: This stock is NEUTRAL in short-term; and BULLISH in mid-long term.
JQC has closed above bottom band by 41.0%. Bollinger Bands are 45.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to JQC's normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market may be about to initiate a new trend.

Headline News

Sat, 16 Jan 2021
5 Best CEFs To Buy This Month (January 2021) - Seeking Alpha

Fri, 15 Jan 2021
CEF Report January 2021: Will We See A January Effect? - Seeking Alpha

Wed, 13 Jan 2021
Quantifying CEF Yield Risk In A Yieldless World - Seeking Alpha

Thu, 03 Dec 2020
Rebalancing, Repurposing, Replanning, Remodeling - Let's Look At Portfolio Adjustments For 2021 - Seeking Alpha

Mon, 29 Jun 2020
Senior Loans: 'Hunkering Down' At The Top Of The Capital Structure - Seeking Alpha

Thu, 25 Jun 2020
The Chemist's Closed-End Fund Report, June 2020: Valuations And Sentiment Improving - Seeking Alpha

Financial Analysis

Growth n/a
Growth measures the growth of both a company's revenue and net income. it tells investors how fast a company is growing.
Profitability n/a
Profitability measures a company’s ability to generate earnings as compared to its expenses and other relevant costs.
Solvency n/a
Solvency measures a company's ability to meet its long-term debts. Acceptable solvency ratios will vary from industry to industry.
Efficiency n/a
Efficiency measures the strength of a company's return on invested capital. It can identify business that are better managed or not.
Price to Book Value: Neutral Discounted cash flow: Neutral
Return on Assets: Neutral Price to Earnings: Neutral
Return on Equity: Neutral Debt to Equity: Neutral
Free Technical Analysis Charts

Stock Basics & Statistics

Exchange:  NYSE
Sector:  Financial Services
Industry:  Asset Management
Shares Out. (M) 136
Shares Float (M)
% Held by Insiders 0.01
% Held by Institutions 40.19
Shares Short (K) 138
Shares Short P. Month (K) 237

Stock Financials

EPS -0.480
EPS Est This Year
EPS Est Next Year
Book Value (p.s.) 6.880
Profit Margin -77.14
Operating Margin 83.10
Return on Assets (ttm) 2.6
Return on Equity (ttm) -6.3
Qtrly Rev. Growth -26.2
Gross Profit (p.s.) 0.625
Sales Per Share 0.625
EBITDA (p.s.)
Qtrly Earnings Growth
Operating Cash Flow (M) 337
Levered Free Cash Flow (M) 2

Stock Valuations

PE Ratio -13.31
PEG Ratio
Price to Book value 0.93
Price to Sales 10.22
Price to Cash Flow 2.57

Stock Dividends

Dividend 1.130
Forward Dividend 0.920
Dividend Yield 0.18
Dividend Pay Date 2019-01-31
Ex-Dividend Date 2021-01-13
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