NYSE

INVESCO CALIFORNIA VALUE MNCPL INCM TRST (VCV)

Company Overview

VAN KAM CA VALU The Fund is registered as a diversified, closed-end management investmentcompany. The Fund's investment objective is to provide a high level of currentincome exempt from federal and California income taxes, consistent withpreservation of capital.Investment Adviser: Van Kampen American Capital Investment AdvisoryCorp.Advisory Agreement: Under the terms of the Trust's InvestmentAdvisory Agreement, the Adviser will provide investment advice and facilitiesto the Trust for an annual fee payable monthly of .65% of the average netassets of the Trust. In addition, the Trust will pay a monthly administrativefee to VKAC, the Trust's Administrator, at an annual rate of .20% of theaverage net assets of the Trust. The administrative services provided by theAdministrator include record keeping and reporting responsibilities withrespect to the Trust's portfolio and preferred shares and providing certainservices to shareholders.

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Financial Highlights

Day Range

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5 Day Range

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3 Month Range

The price range a stock has traded at during the previous 3 months.

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52 Week Range

The price range a stock has traded at during the previous 52 weeks.

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Previous Close

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Open

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Bid

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Ask

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Volume

The number of shares traded in a given period. This number illustrates the active interest in the stock at any time.

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Avg. Volume

The average number of shares traded in a given day.

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Dividend Yield

A company's annual dividend expressed as a percentage of its current stock price.

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Recent Dividend

The value a shareholder receives from a company they are invested in for holding their shares.

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Beta

A measurement of the stock’s volatility in comparison to the market as a whole.

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Shareholding

Shares Outstanding

Number of shares currently held by investors, including restricted shares owned by the company's officers and insiders.

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Insider Shareholders

The percentage of shares owned by any officer or board director of the company, including their related or affiliated individuals, families, entities and trusts.

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Institutional Shareholders

The percentage of shares owned by an institution such as a mutual fund, bank or insurance company.

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Market Cap

The market value of a company’s outstanding shares. It is used as a measurement tool to determine how large a company is.

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Revenue TTM

The amount of money a company has made for the trailing twelve-month period.

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Net Income TTM

A measurement of how much profit they are retaining for the trailing twelve-month period.

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P/E Ratio

The Price to Earnings (P/E) ratio, is calculated by dividing the stock's most recent share price by the sum of the diluted earnings per share.

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EPS TTM

Earnings Per Share (EPS) TTM is a company's profit for the trailing twelve-month period divided by its number of common outstanding shares.

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1 Year Return

A measurement of how much the stock has increased or decreased in the last year.

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