MCI - Barings Corporate Investors

NYSE - Nasdaq Real Time Price. Currency in USD
16.85
-0.02 (-0.12%)
At close: 3:30PM EST
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Previous Close16.87
Open16.88
Bid0.00 x 900
Ask16.90 x 3100
Day's Range16.85 - 16.92
52 Week Range15.19 - 17.33
Volume7,953
Avg. Volume20,400
Market Cap342.262M
Beta (5Y Monthly)0.31
PE Ratio (TTM)11.85
EPS (TTM)1.42
Earnings DateN/A
Forward Dividend & Yield1.20 (7.07%)
Ex-Dividend DateDec 29, 2019
1y Target EstN/A
  • PR Newswire

    Barings Corporate Investors Holds January 2020 Board Meeting

    The Board of Trustees of Barings Corporate Investors (the "Trust") met on January 23, 2020. The Trust's Trustees determined that the Trust's December 31, 2019 net asset value ("NAV") is $308,249,420 or $15.24 per share based on 20,226,045 shares outstanding. The Trust's December 31, 2018 NAV was $291,237,445 or $14.50 per share based on 20,082,869 shares outstanding. The Trust reported a NAV of $309,723,333 or $15.34 per share as of September 30, 2019, based on 20,192,015 shares outstanding. Unlike the NAV reported for quarters ended March 31, June 30, and September 30, 2019 the NAV for the quarter ended December 31 reflects the declaration of the quarterly dividend of $0.30 per share which was paid on January 17, 2020. All figures for 2019 are unaudited.

  • PR Newswire

    Barings Corporate Investors Holds October 2019 Board Meeting

    CHARLOTTE, N.C., Oct. 25, 2019 /PRNewswire/ -- The Barings Corporate Investors (the "Trust") Board of Trustees met today.  The Trust's Trustees declared a quarterly dividend of 30 cents per share payable on November 15, 2019 to shareholders of record on November 4, 2019.  The Trust paid a dividend of 30 cents per share in the preceding quarter. The Trust's Trustees determined that the Trust's net asset value as of September 30, 2019 was $309,723,333 or $15.34 per share based on 20,192,015 shares outstanding.  As of September 30, 2018, the Trust's net assets were $306,426,397 or $15.29 per share based on 20,047,076 shares outstanding.

  • PR Newswire

    Barings Corporate Investors Holds July 2019 Board Meeting

    CHARLOTTE, N.C., July 24, 2019 /PRNewswire/ -- The Barings Corporate Investors (the "Trust") Board of Trustees met today.  The Trust's Trustees declared a quarterly dividend of 30 cents per share payable on August 16, 2019 to shareholders of record on August 5, 2019.  The Trust paid a dividend of 30 cents per share in the preceding quarter. The Trust's Trustees determined that the Trust's net asset value as of June 30, 2019 was $308,265,619 or $15.29 per share based on 20,156,813 shares outstanding.  As of June 30, 2018, the Trust's net assets were $301,508,712 or $15.07 per share based on 20,011,203 shares outstanding. As of March 31, 2019, the Trust's net assets were $301,722,472 or $15.00 per share based on 20,120,306 shares outstanding.

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  • PR Newswire

    Barings Corporate Investors Holds April 2019 Board Meeting

    The Trust's Trustees determined that the Trust's March 31, 2019 net asset value ("NAV") is $301,722,472 or $15.00 per share based on 20,120,306 shares outstanding.  The Trust's March 31, 2018 NAV was $304,788,145 or $15.26 per share based on 19,975,363 shares outstanding.  The Trust reported a NAV of $291,237,445 or $14.50 per share as of December 31, 2018, based on 20,082,869 shares outstanding. All figures other than December 31, 2018 figures are unaudited.