Capitalization 16Cr 13Cr 12Cr 11Cr 21Cr 1.41TCr 22Cr 139.85Cr 55Cr 676.53Cr 58Cr 57Cr 2.44TCr P/E ratio 2023
6.35x
P/E ratio 2024 10.6x
Enterprise value 21Cr 18Cr 16Cr 16Cr 29Cr 1.92TCr 30Cr 191.22Cr 76Cr 924.99Cr 80Cr 78Cr 3.33TCr EV / Sales 2023
12.2x
EV / Sales 2024 11.7x
Free-Float
100%
Yield 2023
8.63%
Yield 2024 9.34%
More valuation ratios * Estimated data
Dynamic Chart
03/02 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on February 24, 2026 CI
02/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on January 26, 2026 CI
01/12 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on December 22, 2025 CI
03/11 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on November 24, 2025 CI
01/25/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on October 22, 2025 CI
04/25/04 Credit Suisse Asset Management Income Fund, Inc. Reports Earnings Results for the Half Year Ended June 30, 2025 CI
02/25/02 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on September 23, 2025 CI
01/25/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on August 22, 2025 CI
01/25/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on July 23, 2025 CI
02/25/02 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on June 24, 2025 CI
01/25/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on May 22, 2025 CI
01/25/01 Credit Suisse Asset Management Income Fund, Inc. announces Monthly dividend, payable on April 23, 2025 CI
07/25/07 Credit Suisse Asset Management Income Fund, Inc. Reports Earnings Results for the Full Year Ended December 31, 2024 CI
More news
1 day+0.54%
1 week+0.05%
Current month+0.05%
1 month-1.52%
3 months-1.35%
6 months-5.97%
Current year-0.65%
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1 week 2.79
Extreme 2.79
2.84
1 month 2.79
Extreme 2.79
2.88
Current year 2.79
Extreme 2.79
2.88
1 year 2.56
Extreme 2.56
3.04
3 years 2.43
Extreme 2.43
3.19
5 years 2.39
Extreme 2.39
3.64
10 years 1.97
Extreme 1.97
3.64
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Manager TitleAgeSince
Chief Executive Officer 70 01/01/2010
Director of Finance/CFO 43 01/01/2019
Compliance Officer - -
Director TitleAgeSince
Chairman 78 01/01/2012
Director/Board Member 70 01/01/2013
Director/Board Member 67 01/01/2018
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Change 5d. change 1-year change 3-years change Capi.($)
+0.41%+0.05%-4.69%+1.50% 15Cr
+3.26%+2.30%+68.47%+157.77% 1.76TCr
+5.82%-5.04%+129.66%+230.42% 1.51TCr
-0.88%-1.27%+7.91%+49.82% 1.09TCr
+3.68%-1.35%+84.96%+175.21% 912.42Cr
+1.06%+2.07%-5.11%-10.88% 697.99Cr
+1.18%-8.25%+24.90%+69.71% 675.13Cr
0.00%-7.10%+8.79%+4.05% 432.7Cr
+0.25%+0.10%+7.85%-10.55% 382.47Cr
+0.51%-6.82%-44.47%-34.31% 357.08Cr
Average +1.58%-8.78%+27.83%+63.27% 782.4Cr
Weighted average by Cap. +2.43%-12.65%+51.89%+110.38%
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Financials

2023 2024
Net sales 1.77Cr 1.5Cr 1.38Cr 1.3Cr 2.42Cr 160.68Cr 2.53Cr 16Cr 6.33Cr 77Cr 6.65Cr 6.51Cr 278.45Cr 1.8Cr 1.52Cr 1.39Cr 1.32Cr 2.45Cr 162.87Cr 2.56Cr 16Cr 6.42Cr 78Cr 6.74Cr 6.6Cr 282.24Cr
Net income 2.6Cr 2.2Cr 2.02Cr 1.91Cr 3.55Cr 235.58Cr 3.71Cr 23Cr 9.28Cr 113.41Cr 9.75Cr 9.55Cr 408.26Cr 1.5Cr 1.27Cr 1.16Cr 1.1Cr 2.04Cr 135.74Cr 2.14Cr 14Cr 5.35Cr 65Cr 5.62Cr 5.5Cr 235.23Cr
Net Debt 5.23Cr 4.43Cr 4.06Cr 3.84Cr 7.14Cr 473.87Cr 7.46Cr 47Cr 19Cr 228.12Cr 20Cr 19Cr 821.2Cr 5.7Cr 4.82Cr 4.42Cr 4.19Cr 7.77Cr 516.11Cr 8.13Cr 51Cr 20Cr 248.46Cr 21Cr 21Cr 894.4Cr
More financial data * Estimated data
Logo Credit Suisse Asset Management Income Fund, Inc.
Credit Suisse Asset Management Income Fund, Inc. (the Fund) is a diversified, closed-end management investment company. The investment objective of the Fund is to provide current income consistent with the preservation of capital. The Fund's investment portfolio will not be managed for capital appreciation. Under normal circumstances, the Fund invests at least 75% of its total assets in fixed income securities, such as bonds, convertible securities and preferred stocks. The Fund primarily invests in high yield fixed income securities that are in the lower rating categories of Moody’s Investors Service, Inc. (Moody's), S&P Global Ratings (S&P) or another nationally recognized ratings service. The Fund may also invest in debt securities issued or guaranteed by the United States (U.S.) government, or by agencies or instrumentalities established or sponsored by the U.S. government, including mortgage-backed securities. The Fund's investment adviser is UBS Asset Management (Americas) LLC.
Employees
-
More about the company
Date Price Change Volume
07/26/07 2.812 $ +0.41% 5,11,883
05/26/05 2.800 $ -0.36% 2,32,718
04/26/04 2.810 $ -0.35% 5,89,807
03/26/03 2.820 $ 0.00% 3,50,673
02/26/02 2.820 $ +0.36% 4,60,472

Delayed Quote Nyse, February 07, 2026 at 01:19 am IST

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