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Ticker Symbol: IRL

New Ireland Fund Inc

$13.15 - 20-12-2024 4 p.m. ET

Exchange: NEW YORK STOCK EXCHANGE INC. Country: United States Currency: USD Asset Type: Common Stock CIK:0000858707

Company Profile

The New Ireland Fund is a closed-end diversified investment company that seeks long- term capital appreciation through investing at least 80% of its assets in a portfolio of Irish securities. The Fund is managed by KBI Global Investors (North America) Ltd. ("KBIGI"), a wholly owned subsidiary of KBI Global Investors Ltd. (based in Dublin, Ireland). KBI Global Investors Ltd. is majority owned by Amundi Asset Management, Europe's largest asset manager by assets under management.

Sector: Finance and Insurance
Industry: Securities and Commodity Exchanges
Standard Industrial Classification Code (SIC code): 0
Address: 201 Washington St Fl 36
CEO: N/A
Tags:
  • Miscellaneous
  • Investment Trusts/Mutual Funds

Pricing

Last Updated: December 31, 1969 07:00 PM EST
Previous Close: -
Change: - ( 0.00%)
Days Range: $10.39 - $10.46
Beta: -
52wk. High: $10.75
52wk. Low: $6.31
Ytd. Change 11.44%
50 Day Moving Average: $10.40
200 Day Moving Average: $8.60
Shares Outstanding: 3626980

Valuation

Market Cap: 3.8B
PE Ratio: -
EPS (TTM): 0

Dividends

Dividend Per Share (TTM): $0.20
Dividend Yield (TTM): 1.92%
Ex-Dividend Date: December 22, 2022