U.S. Markets closed

Cohen & Steers Select Preferred and Income Fund, Inc. (PSF)

NYSE - NYSE Delayed Price. Currency in USD
Add to watchlist
28.10-0.04 (-0.14%)
At close: 3:43PM EDT
People also watch
LDPJPIPFOFFCHPF
Full screen
Previous Close28.14
Open28.16
Bid28.09 x 1200
Ask28.15 x 200
Day's Range28.08 - 28.19
52 Week Range24.82 - 29.16
Volume27,744
Avg. Volume23,342
Market CapN/A
BetaN/A
PE Ratio (TTM)N/A
EPS (TTM)N/A
Earnings DateN/A
Dividend & YieldN/A (N/A)
Ex-Dividend DateN/A
1y Target EstN/A
Trade prices are not sourced from all markets
  • Barrons.comyesterday

    UBS Downgrades Preferred Closed-End Funds to Hold

    Judging them overvalued with unsustainable returns, UBS closed-end fund strategist Sangeeta Marfatia downgraded preferred funds to Hold from Buy late last week. As shown in Chart 1, fund prices are up 15% for the year, far ahead of their net asset value returns of 10%. Below are the funds she covers, all of which were downgraded to hold, followed by their premium/discount to net asset value and their distribution rate, as of August 9: The funds listed above all have leverage equal to about 30% of assets.

  • PR Newswire15 days ago

    /C O R R E C T I O N -- Cohen & Steers/

    In the news release, Cohen & Steers Closed-End Funds Declare Distributions for July, August and September 2017 , issued 28-Jun-2017 by Cohen & Steers over PR Newswire, we are advised by the company that ...

  • PR Newswire23 days ago

    Cohen & Steers Select Preferred and Income Fund, Inc. (PSF) Notification of Sources of Distribution Under Section 19(a)

    NEW YORK, July 24, 2017 /PRNewswire/ -- This press release provides shareholders of Cohen & Steers Select Preferred and Income Fund, Inc. (PSF) (the "Fund") with information regarding the sources of the distribution to be paid on July 31, 2017 and cumulative distributions paid fiscal year-to-date. In December 2016, the Fund implemented a managed distribution policy in accordance with exemptive relief issued by the Securities and Exchange Commission. The managed distribution policy seeks to deliver the Fund's long-term total return potential through regular monthly distributions declared at a fixed rate per common share.