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EIC

Eagle Point Income Company Inc.NYSE:EIC Aktienübersicht

Marktkapitalisierung US$240.6m
Aktienkurs
US$10.61
US$14
24.2% unterbewertet intrinsischer Abschlag
1Y-24.9%
7D-1.5%
Wert des Portfolios
Siehe

Eagle Point Income Company Inc.

NYSE:EIC Lagerbericht

Marktkapitalisierung: US$240.6m

Eagle Point Income (EIC) Aktienübersicht

Keine Geschäftsbeschreibung. Mehr Details

EIC grundlegende Analyse
Schneeflocken-Punktzahl
Bewertung2/6
Künftiges Wachstum0/6
Vergangene Leistung0/6
Finanzielle Gesundheit2/6
Dividenden2/6

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Eagle Point Income Company Inc. Wettbewerber

 
 
 
 
 
 
 
 
 
 
 
 

Preisentwicklung & Leistung

Zusammenfassung der Höchst- und Tiefststände sowie der Veränderungen der Aktienkurse für Eagle Point Income
Historische Aktienkurse
Aktueller AktienkursUS$10.61
52-Wochen-HochUS$14.80
52-Wochen-TiefUS$9.17
Beta0.29
1 Monat Veränderung6.74%
3 Monate Veränderung5.26%
1 Jahr Veränderung-24.86%
3 Jahre Veränderung-22.71%
5 Jahre Veränderung-31.55%
Veränderung seit IPO-45.73%

Aktuelle Nachrichten und Updates

Seeking Alpha Feb 05

EIC: Still Too Early To Rotate In; Wait Until The Fed's Done Cutting Rates

Summary Eagle Point Income Company receives a Hold rating amid challenging interest rate dynamics despite the appealing -17.82% NAV discount. EIC recently rotated more heavily into CLO equity (24.7%) from CLO debt to mitigate floating-rate risk, with portfolio yield averaging 10.62%. Further Fed rate cuts in 2026 could pressure EIC’s floating-rate CLO debt cash flows, though the time for investment may be nearing. EIC’s risk profile is elevated due to lower credit quality holdings and sensitivity to continued rate easing cycles. Read the full article on Seeking Alpha

Recent updates

Seeking Alpha Feb 05

EIC: Still Too Early To Rotate In; Wait Until The Fed's Done Cutting Rates

Summary Eagle Point Income Company receives a Hold rating amid challenging interest rate dynamics despite the appealing -17.82% NAV discount. EIC recently rotated more heavily into CLO equity (24.7%) from CLO debt to mitigate floating-rate risk, with portfolio yield averaging 10.62%. Further Fed rate cuts in 2026 could pressure EIC’s floating-rate CLO debt cash flows, though the time for investment may be nearing. EIC’s risk profile is elevated due to lower credit quality holdings and sensitivity to continued rate easing cycles. Read the full article on Seeking Alpha
Seeking Alpha Feb 26

Eagle Point Income: Distribution Remains Well Covered As NAV Grows

Summary Eagle Point Income remains a buy due to strong net investment income, low default rates, and a growing NAV. EIC's portfolio, heavily focused on CLO debt investments, benefits from higher interest rates, ensuring elevated cash flows and dividend sustainability. The fund's diversified portfolio and high dividend yield of around 15% make it an attractive option for income-focused investors. EIC's solid debt maturity schedule and consistent distribution raises indicate stability and continued income generation, even in a high-interest-rate environment. Recurring cash flows cover the distribution with a comfortable margin of excess. Read the full article on Seeking Alpha
Seeking Alpha Nov 15

Eagle Point Income: Q3 Earnings Reinforces Portfolio Strength

Summary Eagle Point Income Co Inc (EIC) operates as a closed-end fund supporting its high 14.7% dividend yield through a portfolio of CLO debt and equity investments. The recent Q3 earnings report provides reassurance of EIC's earnings potential in a changing interest rate environment. The rate of borrower defaults remains low, and there are few borrower maturities until 2027, providing a long runway of steady earnings. The current valuation is still attractive despite trading at a slight premium to NAV. Future rate cuts can actually boost valuations as more capital is allocated towards new investments. Read the full article on Seeking Alpha
Seeking Alpha Sep 27

EICC: Compared To Other 2029 Choices, I Have Downgraded My Rating To Sell

Summary I am downgrading Eagle Point Income Company Inc. NT 29, trading under EICC, from Buy to Sell due to poor yield comparisons and coverage ratio. EICC's primary investment objective is high current income, investing mainly in junior debt tranches of CLOs, with a secondary focus on capital appreciation. Compared to other 2029 maturing issues, EICC offers the least yield and coverage, with RWTO providing the best yield-to-call and coverage. With expected rate cuts, locking in today's yield-to-call/yield-to-maturity is advisable for income-generation allocations not needed for unexpected expenses. Read the full article on Seeking Alpha
Seeking Alpha May 08

Eagle Point Income Issues 3rd Term Preferred Stock

Summary This article discusses three Term Preferreds issued by Eagle Point Income Company, focusing on their investment objectives and portfolio composition. Eagle Point Income Management is the advisor for EIC, which has over $9 billion in assets under management. The three Term Preferreds have a high likelihood of repayment and offer yields and YTC that can be compared to a 15+% yield for common stockholders. While all rate a Buy, my preference is EICC as it has the longest Call protection and maturity length. Read the full article on Seeking Alpha
Seeking Alpha Apr 22

Eagle Point Income: A Less Risky CLO Alternative To ECC

Summary Eagle Point Income offers a high monthly distribution with a yield of 15.4%. EIC has outperformed the S&P 500 in terms of total return, thanks to its high cash flow and distributions. The price of EIC currently trades below its average premium to NAV, indicating a potential opportunity for entry. EIC primarily holds CLO debt in comparison to ECC's CLO equity. This is less risky due to the position of repayment on the capital structure. Higher interest rates have benefitted EIC as the company has been able to obtain higher NII levels while actively deploying capital towards new investments. Read the full article on Seeking Alpha
Seeking Alpha Jan 07

Eagle Point Income: The 2026 Term Preferred Shares Offer A 8% YTM

Summary Eagle Point Income offers attractive 2026 term preferred shares with a 5% dividend yield and a yield to maturity of approximately 8%. The company has a strong asset coverage level and is able to cover its preferred dividend payments with just 24% of its adjusted net investment income. Eagle Point Income's common shares, EICA shares, and EICB all offer attractive investment opportunities. Read the full article on Seeking Alpha
Seeking Alpha Nov 15

EIC: 15% Annual Returns For Past 3 Years And Still Soaring

Summary Eagle Point Income Co Inc is a high-yield income fund that offers monthly distributions and strong total returns. Eagle Point holds a higher percentage of CLO debt and a small percentage of CLO equity, making it an attractive investment for income investors. The closed-end fund has a strong track record, with a total return of over 45% in the past 3 years, outperforming benchmarks like the SPY and Invesco Senior Loan ETF. Read the full article on Seeking Alpha
Seeking Alpha Sep 25

Eagle Point Income: I'm A Buyer Of The 7.75% Preferred Shares

Summary Eagle Point Income focuses on CLO debt and has two series of preferred shares outstanding. The newly issued term preferred stock has an attractive fixed preferred dividend and the standard 200% minimum asset coverage level. The company's asset coverage ratio decreased after the preferred stock offering, but the use of an ATM program helps maintain a safe asset base. Read the full article on Seeking Alpha
Seeking Alpha Jun 01

EIC: 0% Returns Since Inception, Here Are Two Alternatives For The Next Two Years

Summary Eagle Point Income Company Inc. has trailed its benchmark and delivered 0% total returns since inception. Over the next two years, we think the fund can deliver returns in line with the CS leveraged loan index i.e. 5-6%. With an upcoming recession now a virtual certainty, we look as to how we can beat this expected return with less risk. Read the full article on Seeking Alpha
Seeking Alpha Feb 22

Eagle Point Income Company GAAP EPS of $0.88

Eagle Point Income Company press release (NYSE:EIC): Q4 GAAP EPS of $0.88. Net investment income (“NII”) of $0.49 per weighted average common share, net of $0.03 per weighted average common share of non-recurring expenses. NAV per common share of $12.91 as of December 31, 2022, compared to $13.05 as of September 30, 2022. NAV per common share estimated to be between $13.67 and $13.77 as of January 31, 2023; at the midpoint, this reflects a 6.3% increase from the Company’s year-end NAV. Shares +3.09% PM.
Seeking Alpha Nov 15

Eagle Point Income Company GAAP EPS of -$0.51

Eagle Point Income Company press release (NYSE:EIC): Q3 GAAP EPS of -$0.51. The Company’s NII for the quarter ended September 30, 2022 was $0.40 per weighted average common share, net of non-recurring expenses. NAV per common share of $13.05 as of September 30, 2022. NAV per common share estimated to be between $12.81 and $12.91 as of October 31, 2022.
Seeking Alpha Aug 12

Eagle Point Income Company dividend raises by 12% to $ 0.14

Eagle Point Income Company (NYSE:EIC) declares $0.14/share quarterly dividend, 12% increase from prior dividend of $0.13. Forward yield 3.41% Payable Oct. 31; for shareholders of record Oct. 11; ex-div Oct. 10. Payable Nov. 30; for shareholders of record Nov. 12; ex-div Nov. 10. Payable Dec. 30; for shareholders of record Dec. 12; ex-div Dec. 9. See EIC Dividend Scorecard, Yield Chart, & Dividend Growth.
Seeking Alpha Jun 07

Eagle Point Income: A Sustainable Step-Up In Income For This 10%-Yielding CLO CEF

EIC is a CLO Debt/CLO Equity CEF featuring a 10% current yield. In this article, we discuss the fund's income, allocation, valuation, and performance profile. And highlight some misconceptions about the fund. We exited our EIC position earlier this year in anticipation of a better entry point.
Seeking Alpha Mar 27

Eagle Point Income: A Unique Value In Our Current Environment

Lots of funds are cheap these days and paying high distribution yields, but Eagle Point Income represents a better bargain than many other funds because it is not as well understood. EIC is safer than many high yield bond funds because of the unique characteristics of CLO junior debt, with its unusually low default history, yet perceived riskiness by many investors. Because CLOs are viewed as complex and kind of funky by some institutional investors, they have to pay higher rates than more mainstream asset classes with equivalent risk. With the recent sell-off, EIC's distribution (raised again last month) now represents a 9.3% yield, higher than many riskier high-yield funds.
Seeking Alpha Nov 19

EIC Vs. HYG: An In-Depth Comparison Of 2 High Yield Options

Today, investors are left searching for income as inflation soars and yields remain substantially compressed. HYG is the world’s largest ETF of non-investment grade corporate bonds. EIC is a closed end fund which invests in junior debt and equity tranches of CLOs. We take a deep look, comparing these two high yield income funds.
Seeking Alpha Oct 16

Eagle Point Income: More Income, Less Risk, And A Fund Institutional Investors Love

EIC recently increased its distribution by 33%, boosting its yield to over 8% (although the market has since bid the price up and yield down to 7.8%). Yields like a high-yield bond fund, but with a less risky portfolio. Sustainable distribution from its Net Investment Income, even through the crash early last year. Institutional investors like it, currently owning 67% along with insiders, with Enstar Insurance holding over 60%.

Aktionärsrenditen

EICUS Capital MarketsUS Markt
7D-1.5%-0.8%-0.3%
1Y-24.9%9.8%26.7%

Rendite im Vergleich zur Industrie: EIC unter dem Niveau der Branche US Capital Markets , die im vergangenen Jahr eine Rendite von 9.8% erzielte.

Rendite vs. Markt: EIC hinter dem Markt US zurück, der im vergangenen Jahr eine Rendite von 26.7 erzielte.

Preisvolatilität

Is EIC's price volatile compared to industry and market?
EIC volatility
EIC Average Weekly Movement2.8%
Capital Markets Industry Average Movement3.6%
Market Average Movement7.2%
10% most volatile stocks in US Market16.2%
10% least volatile stocks in US Market3.2%

Stabiler Aktienkurs: EIC hatte in den letzten 3 Monaten im Vergleich zum US -Markt keine signifikante Preisvolatilität.

Volatilität im Zeitverlauf: EICDie wöchentliche Volatilität (3%) ist im vergangenen Jahr stabil geblieben.

Über das Unternehmen

GegründetMitarbeiterCEOWebsite
n/an/aTom Majewskin/a

Eagle Point Income Company Inc.'s Grundlagenzusammenfassung

Wie verhalten sich die Erträge und Einnahmen von Eagle Point Income im Vergleich zum Marktanteil des Unternehmens?
EIC grundlegende Statistiken
MarktanteilUS$240.58m
Gewinn(TTM)-US$1.16m
Umsatz(TTM)US$60.09m
4.1x
Kurs-Umsatz-Verhältnis
-211.2x
Kurs-Gewinn-Verhältnis

Erträge & Einnahmen

Wichtige Rentabilitätsstatistiken aus dem letzten Ergebnisbericht (TTM)
EIC Gewinn- und Verlustrechnung (TTM)
EinnahmenUS$0
Kosten der EinnahmenUS$0
BruttogewinnUS$0
Sonstige AusgabenUS$0
GewinnUS$0

Zuletzt gemeldete Gewinne

Mar 31, 2026

Datum des nächsten Gewinnberichts

k.A.

Gewinn per Aktie (EPS)-0.05
Bruttomarge100.00%
Nettogewinnspanne-1.93%
Schulden/Eigenkapital-Verhältnis45.7%

Wie hat sich EIC auf lange Sicht entwickelt?

Historische Performance und Vergleiche

Dividenden

12.4%
Aktuelle Dividendenrendite
-4,008%
Ausschüttungsquote

Zahlt EIC eine zuverlässige Dividende?

Siehe EIC Dividendenhistorie und Benchmarks
Bis wann müssen Sie EIC kaufen, um eine kommende Dividende zu erhalten?
Eagle Point Income Dividendentermine
Ex-Dividenden DatumMay 11 2026
Datum der DividendenzahlungMay 29 2026
Tage bis Ex-Dividende11 days
Tage bis zum Datum der Dividendenzahlung7 days

Zahlt EIC eine zuverlässige Dividende?

Siehe EIC Dividendenhistorie und Benchmarks

Unternehmensanalyse und Finanzdaten Status

DatenZuletzt aktualisiert (UTC-Zeit)
Unternehmensanalyse2026/05/20 13:57
Aktienkurs zum Tagesende2026/05/20 00:00
Gewinne2026/03/31
Jährliche Einnahmen2025/12/31

Datenquellen

Die in unserer Unternehmensanalyse verwendeten Daten stammen von S&P Global Market Intelligence LLC. Die folgenden Daten werden in unserem Analysemodell verwendet, um diesen Bericht zu erstellen. Die Daten sind normalisiert, was zu einer Verzögerung bei der Verfügbarkeit der Quelle führen kann.

PaketDatenZeitrahmenBeispiel US-Quelle *
Finanzdaten des Unternehmens10 Jahre
  • Gewinn- und Verlustrechnung
  • Kapitalflussrechnung
  • Bilanz
Konsensschätzungen der Analysten+3 Jahre
  • Finanzielle Vorausschau
  • Kursziele der Analysten
Marktpreise30 Jahre
  • Aktienkurse
  • Dividenden, Splits und Aktionen
Eigentümerschaft10 Jahre
  • Top-Aktionäre
  • Insiderhandel
Verwaltung10 Jahre
  • Das Führungsteam
  • Direktorium
Wichtige Entwicklungen10 Jahre
  • Ankündigungen des Unternehmens

* Beispiel für US-Wertpapiere, für nicht-US-amerikanische Wertpapiere werden gleichwertige regulatorische Formulare und Quellen verwendet.

Sofern nicht anders angegeben, beziehen sich alle Finanzdaten auf einen Jahreszeitraum, werden aber vierteljährlich aktualisiert. Dies wird als Trailing Twelve Month (TTM) oder Last Twelve Month (LTM) Daten bezeichnet. Erfahren Sie mehr.

Analysemodell und Schneeflocke

Einzelheiten zu dem Analysemodell, mit dem dieser Bericht erstellt wurde, finden Sie auf unserer Github-Seite. Außerdem bieten wir Leitfäden zur Verwendung unserer Berichte und Tutorials auf YouTube an.

Erfahren Sie mehr über das Weltklasse-Team, das das Simply Wall St-Analysemodell entworfen und entwickelt hat.

Metriken für Industrie und Sektor

Unsere Branchen- und Sektionskennzahlen werden alle 6 Stunden von Simply Wall St berechnet. Details zu unserem Verfahren finden Sie auf Github.

Analysten-Quellen

Eagle Point Income Company Inc. wird von 5 Analysten beobachtet. 3 dieser Analysten hat die Umsatz- oder Gewinnschätzungen übermittelt, die als Grundlage für unseren Bericht dienen. Die von den Analysten übermittelten Daten werden im Laufe des Tages aktualisiert.

AnalystEinrichtung
Randy BinnerB. Riley Securities, Inc.
Timothy D'AgostinoB. Riley Securities, Inc.
Mickey SchleienLadenburg Thalmann & Company