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Zweig Fund (ZF)

Zweig Fund (ZF)
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Company Info

Zweig Fund

Description:

Virtus Total Return Fund Inc. is a closed-end, diversified management investment company. The Fund's investment objective is capital appreciation, with income as a secondary objective. Virtus Total Return Fund Inc., formerly known as The Zweig Fund Inc., is based in GREENFIELD, United States.

Key Statistics

Overview:

Market Capitalization, $K 241,533
Shares Outstanding, K 21,527
Annual Sales, $ 0 K
Annual Net Income, $ 0 K
60-Month Beta 0.84
% of Insider Shareholders 6.10%
% of Institutional Shareholders 10.06%
Float, K 20,214
% Float 93.90%

Growth:

1-Year Return 20.00%
3-Year Return 0.09%
5-Year Return -26.86%
5-Year Revenue Growth 0.00%
5-Year Earnings Growth 0.00%
5-Year Dividend Growth 0.00%

Per-Share Information:

Latest Earnings Date N/A
Earnings Per Share ttm 0.00
Annual Dividend Rate, $ 1.44
Annual Dividend Yield 12.83%
Most Recent Dividend 0.361 on 10/10/19
Next Ex-Dividends Date 10/10/19
Dividend Payable Date 10/18/19
Dividend Payout Ratio 0.00%
Most Recent Split 1-4 on 06/27/12

ZF Ratios

Ratio
Price/Earnings ttm 0.00
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % 0.00%
Return-on-Assets % 0.00%
Profit Margin % 0.00%
Debt/Equity N/A
Price/Sales N/A
Price/Cash Flow N/A
Price/Book N/A
Book Value/Share 0.00
Interest Coverage 0.00

ZF Dividends

Date Value
10/10/19 $0.3610
07/10/19 $0.3610
04/10/19 $0.3610
01/04/19 $0.3610
10/10/18 $0.3610
07/11/18 $0.3610
04/11/18 $0.3610
01/04/18 $0.3610
10/11/17 $0.3610
07/11/17 $0.3610
03/22/17 $0.3610
01/05/17 $0.3610
10/11/16 $0.3610
07/07/16 $0.3560
04/07/16 $0.3620
12/29/15 $0.0260
10/08/15 $0.2220
07/09/15 $0.2530
04/09/15 $0.2620
01/06/15 $0.2630
10/09/14 $0.2560
07/09/14 $0.2640
04/09/14 $0.2580
01/03/14 $0.2540
10/09/13 $0.2330
07/09/13 $0.2190
04/09/13 $0.2230
01/03/13 $0.2080
10/09/12 $0.2130
07/10/12 $0.2060
04/10/12 $0.0550
01/05/12 $0.0820
10/05/11 $0.0870
07/07/11 $0.0900
04/06/11 $0.0940
01/04/11 $0.0940
10/06/10 $0.0860
07/07/10 $0.0870
04/06/10 $0.0960
01/05/10 $0.0950
10/06/09 $0.0950
07/06/09 $0.0890
04/06/09 $0.0750
01/05/09 $0.0840
10/06/08 $0.1160
07/07/08 $0.1330
04/07/08 $0.1260
01/03/08 $0.1420
10/09/07 $0.1400
07/06/07 $0.1530
04/09/07 $0.1440
01/03/07 $0.1510
10/06/06 $0.1440
07/06/06 $0.1410
04/05/06 $0.1500
01/04/06 $0.1460
10/05/05 $0.1450
07/06/05 $0.1470
04/06/05 $0.1490
01/04/05 $0.0430
10/06/04 $0.1440
07/06/04 $0.0200
04/06/04 $0.0100
01/05/04 $0.0460
10/06/03 $0.0900
07/07/03 $0.1390
04/07/03 $0.1310
01/03/03 $0.1370
10/07/02 $0.1440
07/08/02 $0.1650
04/08/02 $0.1940
01/03/02 $0.1950
10/05/01 $0.1800
07/06/01 $0.2200
04/10/01 $0.2200
01/04/01 $0.2700
10/06/00 $0.2900
07/06/00 $0.2900
04/06/00 $0.3000
01/05/00 $0.3000
10/06/99 $0.2900
07/06/99 $0.3100
04/07/99 $0.3000
01/06/99 $0.2900
10/07/98 $0.2700
07/08/98 $0.3100
04/07/98 $0.3300
01/05/98 $0.3100
10/08/97 $0.3300
07/10/96 $0.2700
04/10/96 $0.2800
01/04/96 $0.2800
10/10/95 $0.2800
07/10/95 $0.2700
04/06/95 $0.2600
01/05/95 $0.2600
10/06/94 $0.2700
07/06/94 $0.2700
04/06/94 $0.2900
01/05/94 $0.3120
12/27/93 $0.3050
10/06/93 $0.3050
07/06/93 $0.2800
04/06/93 $0.2750
01/06/93 $0.3600
10/06/92 $0.2820
07/06/92 $0.2970
04/06/92 $0.2900
01/06/92 $0.2900
10/09/91 $0.2900
04/08/91 $0.2900
01/04/91 $0.2600
10/05/90 $0.2600
07/06/90 $0.2800
04/06/90 $0.2700
01/04/90 $0.3700
10/06/89 $0.2900
07/06/89 $0.2800
04/06/89 $0.2700
01/05/89 $0.2800
10/06/88 $0.2600
07/06/88 $0.2600
04/06/88 $0.2600
01/06/88 $0.2600
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