UTF

Cohen & Steers Infrastructure Fund, Inc [UTF] Stock Forecast

Buy or Sell ? Support and Resistance

What is MACD and how to read it?

How RSI can help?
RSI : 000

UTF Stock Summary

Top 10 Correlated ETFs

UTF


Top 10 Correlated Stocks

UTF


In the News

09:14 29 Mar 2024 UTF

UTF: Time To Consider A Leveraged Play On Utilities

The overall equity market is expensive, but there are attractive valuations in sectors such as utilities. The Cohen & Steers Infrastructure Fund is a leveraged play on the utility sector. It charges higher fees, entails higher downside risks, but also creates potential for higher returns.

07:15 29 Mar 2024 UTF

Retire With 6-10% Yields: The More They Drop, The More I Buy

High-yield stocks in sectors like REITs and utilities have been crushed by rising interest rates. Despite the pullback, there are attractive opportunities in these sectors with well-covered yields and defensive business models. Two blue-chip high-yield REITs and two infrastructure stocks are highlighted as attractive buys on the dip.

04:00 29 Mar 2024 UTF

Retire With 8-12%-Yields: Five Funds That Pay Fat Monthly Dividends

ETFs can provide a hands-off approach to earning passive income from dividends, allowing investors to achieve financial independence. High-yield monthly dividend ETFs can help investors budget their living expenses and potentially retire earlier. In this article, we discuss five well-diversified funds that pay out monthly dividends with annualized yields ranging from 8-12%.

09:15 29 Mar 2024 UTF

UTF: 8%-Yielding Infrastructure Fund And Alternatives

UTF: 8%-Yielding Infrastructure Fund And Alternatives

09:00 29 Mar 2024 UTF

Dividend Harvesting Portfolio Week 158: $15,800 Allocated, $1,398.55 In Projected Dividends

The markets were relatively flat this week, with a slight decrease in the S&P and a larger decline in the Dow.

09:00 29 Mar 2024 UTF

Dividend Harvesting Portfolio Week 157: $15,700 Allocated, $1,389.49 In Projected Dividends

Dividend Harvesting Portfolio Week 157: $15,700 Allocated, $1,389.49 In Projected Dividends

09:00 29 Mar 2024 UTF

How To Invest In A SWAN Portfolio: The Near Perfect Portfolio Strategy

The Near Perfect Portfolio Strategy provides SWAN-like attributes and aims to meet income and growth goals while minimizing volatility and drawdowns. The strategy consists of three buckets: Dividend Growth Investing, High Income (CEF investing), and Hedging (Rotational bucket). Backtesting results over 17 years show that the strategy has the potential to outperform the S&P 500, with lower drawdowns and volatility.

08:30 29 Mar 2024 UTF

2 Big Dividend Picks For An Inactive Fed

Steve Eisman says the market is operating with unrealistic expectations from the Federal Reserve and expects far fewer rate cuts in 2024. The Big Short investor maintains bullishness over established companies benefitting from historic federal spending. We discuss two time-tested, monthly-pay CEFs from Mr. Eisman's top sectors.

09:00 29 Mar 2024 UTF

Dividend Harvesting Portfolio Week 156: $15,600 Allocated, $1,379.68 In Projected Dividends

Nvidia's earnings report exceeded expectations, boosting the market.

08:15 29 Mar 2024 UTF

Focus On Retiring With These Durable Infrastructure Picks Averaging 8% Yield

Saving for retirement can be challenging when it comes to dependence on banking products.

UTF Financial details

Company Rating
Buy
Market Cap
2.14B
Income
5.88M
Revenue
318.86M
Book val./share
22.88
Cash/share
0.29
Dividend
1.86
Dividend %
8.35%
Employees
-
Optionable
No
Shortable
Yes
Earnings
20 May 2021
P/E
-10.81
Forward P/E
-
PEG
1.05
P/S
-11.14
P/B
0.91
P/C
81.41
P/FCF
13.54
Quick Ratio
2.75
Current Ratio
2.75
Debt / Equity
0.43
LT Debt / Equity
0.43
-
-
EPS (TTM)
0.06
EPS next Y
-
EPS next Q
-
EPS this Y
-118.45%
EPS next Y
-
EPS next 5Y
-
EPS last 5Y
-44.94%
Revenue last 5Y
-18.37%
Revenue Q/Q
65.54%
EPS Q/Q
-617.62%
-
-
-
-
SMA20
4.55%
SMA50
4.55%
SMA100
15%
Inst Own
16.44%
Inst Trans
0.94%
ROA
-6%
ROE
-8%
ROC
-0.05%
Gross Margin
100%
Oper. Margin
88%
Profit Margin
102%
Payout
-87%
Shs Outstand
96.37M
Shs Float
96.36M
-
-
-
-
Target Price
-
52W Range
18.15-24.49
52W High
-1.64%
52W Low
+31.15%
RSI
74
Rel Volume
1.67
Avg Volume
269.59K
Volume
450.4K
Perf Week
4.88%
Perf Month
8.54%
Perf Quarter
21.25%
Perf Half Y
14.88%
-
-
-
-
Beta
1.015
-
-
Volatility
0.55%, 0.54%
Prev Close
0.5%
Price
23.6075
Change
3.32%

UTF Financial Performance

Yearly Fundamentals Overview

Last date of statement is 2023-12-31

Metric History 2019-12-312020-12-312021-12-312022-12-31 2023-12-31
2.02K2.02K2.02K2.02K2.02K
Revenue per share
7.56-1.215.56-2.022.46
Net income per share
7.51-1.255.51-2.060.38
Operating cash flow per share
1.91.870.51.660.64
Free cash flow per share
1.91.870.51.660.64
Cash per share
0.670.150.470.70.29
Book value per share
30.3824.5828.5624.5123.16
Tangible book value per share
30.3824.5828.5624.5123.16
Share holders equity per share
30.3824.5828.5624.5123.16
Interest debt per share
10.259.3510.3310.2610.58
Market cap
2.24B2.42B2.68B2.29B2.02B
Enterprise value
3.09B3.27B3.63B3.23B2.95B
P/E ratio
3.49-20.665.17-11.6555.89
Price to sales ratio
3.47-21.375.13-11.898.65
POCF ratio
13.8113.856.9214.4433.06
PFCF ratio
13.8113.856.9214.4433.06
P/B Ratio
0.861.0510.980.92
PTB ratio
0.861.0510.980.92
EV to sales
4.78-28.876.95-16.8212.64
Enterprise value over EBITDA
4.81-27.917.01-19.1532.26
EV to operating cash flow
19.0618.6477.120.4448.33
EV to free cash flow
19.0618.6477.120.4448.33
Earnings yield
0.29-0.050.19-0.090.02
Free cash flow yield
0.070.070.020.070.03
Debt to equity
0.330.370.350.410.43
Debt to assets
0.250.270.260.290.3
Net debt to EBITDA
1.32-7.251.83-5.6210.19
Current ratio
1.71.135.962.750
Interest coverage
25.27-4.4624.24-6.181.61
Income quality
0.25-1.50.09-0.811.69
Dividend Yield
0.080.070.060.080.09
Payout ratio
0.27-1.470.32-0.874.86
Sales general and administrative to revenue
0.01-0.030.01-0.020
Research and developement to revenue
00000
Intangibles to total assets
00000
Capex to operating cash flow
00000
Capex to revenue
00000
Capex to depreciation
00000
Stock based compensation to revenue
00000
Graham number
71.6526.2959.5133.714.07
ROIC
0.17-0.050.13-0.070.03
Return on tangible assets
0.19-0.040.14-0.060.01
Graham Net
-9.33-9.04-9.34-8.85-9.71
Working capital
5.78M5.15M8.73M9.5M0
Tangible asset value
2.59B2.3B2.69B2.33B2.2B
Net current asset value
-850.31M-849.62M-946.96M-946.33M-963.73M
Invested capital
0.330.370.350.410.43
Average receivables
15.66M29M27.27M12.04M15.26M
Average payables
14.52M24.12M20.85M3.59M2.71M
Average inventory
0.5127.48M68.5M41.02M
Days sales outstanding
7.64-143.367.03-26.6225.75
Days payables outstanding
103.02493.0619.7160.540
Days of inventory on hand
00615.31917.680
Receivables turnover
47.75-2.5551.95-13.7114.17
Payables turnover
3.540.7418.526.030
Inventory turnover
29.42M29.56M0.590.40
ROE
0.25-0.050.19-0.080.02
Capex per share
00000

Quarterly Fundamentals Overview

Last date of statement is 2023-12-31 for Q4

Metric History 2022-09-302022-12-312023-03-312023-06-30 2023-12-31
2.02K2.02K2.02K2.02K2.02K
Revenue per share
0.290.540.350.921.51
Net income per share
-0.14-0.27-0.05-0.090.47
Operating cash flow per share
0.360.510.440.380.26
Free cash flow per share
0.360.510.440.380.26
Cash per share
0.020.70.080.340.29
Book value per share
24.3624.3623.3423.3422.88
Tangible book value per share
24.3624.3623.3523.3422.88
Share holders equity per share
24.3624.3623.3423.3422.88
Interest debt per share
010.1010.1510.17
Market cap
2.23B2.3B2.35B2.27B2.05B
Enterprise value
2.22B3.25B2.34B3.21B2.98B
P/E ratio
-42.98-22.18-134.31-65.0111.39
Price to sales ratio
78.8644.3270.6625.8114.04
POCF ratio
64.2946.9555.0362.9581.73
PFCF ratio
64.2946.9555.0362.9581.73
P/B Ratio
0.950.981.051.010.93
PTB ratio
0.950.981.051.010.93
EV to sales
78.7862.6270.4436.5220.45
Enterprise value over EBITDA
-67.33-377.64-78.46177.0340.57
EV to operating cash flow
64.2266.3354.8689.06119.03
EV to free cash flow
64.2266.3354.8689.06119.03
Earnings yield
-0.01-0.01000.02
Free cash flow yield
0.020.020.020.020.01
Debt to equity
00.4100.420.43
Debt to assets
00.2900.30.3
Net debt to EBITDA
0.07-110.360.2551.912.71
Current ratio
0.042.750.055.970
Interest coverage
0-0.4800.682.45
Income quality
-2.67-1.89-9.76-4.130.56
Dividend Yield
0.020.040.020.040.04
Payout ratio
-3.33-3.33-9.98-9.981.97
Sales general and administrative to revenue
0.290.160.230.090
Research and developement to revenue
00000
Intangibles to total assets
00000
Capex to operating cash flow
00000
Capex to revenue
00000
Capex to depreciation
00000
Stock based compensation to revenue
00000
Graham number
8.6112.174.886.9115.49
ROIC
-0.010-0.070.020.02
Return on tangible assets
0-0.01000.01
Graham Net
-9.9-8.8-9.74-9.49-9.59
Working capital
-924.7M9.5M-913.25M23.46M0
Tangible asset value
2.33B2.33B2.25B2.25B2.2B
Net current asset value
-925.76M-946.33M-913.25M-932.59M-963.73M
Invested capital
00.4100.420.43
Average receivables
34.02M14.02M17.38M20.74M0
Average payables
15.88M3.15M2.71M2.36M0
Average inventory
041.02M41.02M10
Days sales outstanding
44.6924.3356.221.210.19
Days payables outstanding
030.47027.610
Days of inventory on hand
0461.89000
Receivables turnover
2.013.71.64.248.84
Payables turnover
02.9503.260
Inventory turnover
00.19015.37M0
ROE
-0.01-0.01000.02
Capex per share
00000

UTF Frequently Asked Questions

What is Cohen & Steers Infrastructure Fund, Inc stock symbol ?

Cohen & Steers Infrastructure Fund, Inc is a US stock , located in New york of Ny and trading under the symbol UTF

What is Cohen & Steers Infrastructure Fund, Inc stock quote today ?

Cohen & Steers Infrastructure Fund, Inc stock price is $23.6075 today.

Is Cohen & Steers Infrastructure Fund, Inc stock public?

Yes, Cohen & Steers Infrastructure Fund, Inc is a publicly traded company.

Something similar

Top by Market Cap
Top Correlated ETFs
Top Correlated Stocks
Similar Market Cap