OPP (USA) - RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. has been performing well over the last 12 months making 37 new higher highs and is now up around 11.32%. If you had invested $1,000 into it 12 months ago, you would now have around $113.16 profit. A nice return on your investment. If however you had managed to pick the lowest price over the last 12 months you would be up 11.32% or around $113.16 profit in your pocket.
Performance
# of Higher Highs
% Price Change
The Asset Allocation table provides investors with a snapshot of how a fund distributes its investments across various asset classes, showcasing the balance between long and short positions. Key metrics such as Net% reveal the overall exposure, while Long and Short allocations illustrate the strategy's directional stance. The Category Average and Benchmark fields allow investors to compare the fund’s allocations to industry standards, helping them assess the fund’s relative positioning and performance potential.
Net%
Long
Asset Allocation Type
Short
Category Average
Benchmark
114.322
114.469
Bond
0.147
38.068
37.697
23.430
23.430
US Stock
48.154
35.634
4.128
4.128
Non US Stock
10.084
25.585
1.500
1.500
Not Classified
0.284
0.004
-0.229
0.079
Other
0.308
3.347
1.081
-43.151
13.231
Cash
56.382
22.709
The Mutual Fund Statistics table offers a detailed view of key metrics that can guide investors in assessing the performance and structure of an energy-focused limited partnership fund. By displaying the Net Asset Value (NAV) alongside the Previous Close Price, investors can gauge recent price movements, while the Inception Date provides insight into the fund’s longevity and experience in the market. Yield metrics, including Yield YTD and Yield 5-Year YTD, give a snapshot of past income performance over various timeframes, helping investors understand both short-term and historical returns. Additionally, the Expense Ratio highlights the fund's cost structure, an important consideration for evaluating net returns.
Fund Style
Tactical Allocation
Previous Close Price
8.500
The Value Growth table provides investors with an in-depth look at key growth and valuation metrics that can influence a fund’s potential for long-term returns. Fields like Dividend Yield, Cash-Flow Growth, Historical Earnings, and Sales Growth percentages allow investors to assess the financial health and growth trends of the stock portfolio, offering a snapshot of the fund’s income and revenue-generating capacity. Metrics such as Price/Sales, Price/Prospective Earnings, and Price/Book ratios indicate valuation levels, helping investors determine if the fund’s holdings are undervalued or overvalued relative to peers and benchmarks. By comparing the fund’s metrics to both Category Averages and Benchmarks, investors can better understand how the fund’s stocks stack up in terms of growth, value, and risk factors.
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Price/Cash Flow
12.665
11.020
2.451
Price/Prospective Earnings
17.337
16.625
60.047
Historical Earnings %
40.059
4.833
6.568
Price/Sales
2.089
1.781
1.678
Price/Book
3.188
2.276
0.760
Book-Value Growth %
5.733
5.602
-84.505
Sales Growth %
7.681
7.342
-6.077
Cash-Flow Growth %
7.853
6.167
-17.584
Long-Term Earnings %
11.667
10.925
Dividend Yield %
1.809
2.325
The Top Holdings table provides investors with an overview of the largest investments within the fund, showing the major companies that play a central role in its portfolio. By listing prominent energy sector firms, the table allows investors to assess the fund's strategic exposure to specific industry leaders. The Weight field for each holding highlights the relative importance of each company within the fund, helping investors evaluate the portfolio's diversification and any potential concentration in particular stocks.
The Market Capitalization table offers investors a detailed look at the size distribution of companies within the fund's portfolio, segmented by categories such as Giant, Large, Medium, Small, and Micro. These classifications reveal the fund’s strategic preference for certain market capitalizations, which can indicate risk and growth potential. The Category Average and Benchmark fields allow investors to compare the fund’s allocations with industry norms, helping them understand whether the fund leans towards larger, more established companies or smaller, potentially higher-growth firms. Additionally, the Average Market Cap metric provides a quick reference for the overall size orientation of the portfolio, offering valuable insights into the fund’s alignment with investors’ goals regarding stability, growth, or income potential.
Size
Category Average
Benchmark
Portfolio
AverageMarketCap
152120.878
59490.341
The Sector Weights table provides investors with a breakdown of the fund’s investments across different industry sectors. By illustrating the percentage allocation to each sector, this table helps investors understand the fund's focus and exposure to specific areas of the economy, such as technology, healthcare, or energy. These weightings can impact the fund’s risk profile, as certain sectors may be more volatile or sensitive to economic cycles. Additionally, this table allows investors to assess diversification across sectors, helping them determine if the fund aligns with their preferences for risk and growth. Sector weightings are key for investors who want to ensure the fund’s industry exposures align with their investment strategy and goals.
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Consumer Cyclical
9.816
10.569
Basic Materials
3.353
4.552
Financial Services
14.134
17.145
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Consumer Defensive
5.780
6.083
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Communication Services
7.363
5.365
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Cash and Equivalents
32.078
9.911
Corporate
11.605
13.216
31.334
Government
40.023
17.783
66.512
Securitized
11.450
58.986
2.093
The World Regions table presents a geographical breakdown of the fund’s investments, showing the percentage of assets allocated to different global regions, such as North America, Europe, Asia, and emerging markets. This information helps investors assess the fund’s exposure to various economic landscapes, currency risks, and regional growth opportunities. By understanding the distribution of assets across regions, investors can evaluate the fund's alignment with their global investment strategy and risk tolerance. This table is especially valuable for those seeking diversification or aiming to capitalize on potential growth in specific parts of the world.
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
North America
84.104
61.148
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Name
Category Average
Amount %
Stocks %
Benchmark
Stock Portfolio
Europe Emerging
0.072
0.268
United Kingdom
2.136
4.884
3.577
Africa/Middle East
0.432
1.665
Europe Developed
5.998
11.488
Loading Company News...
Loading Financial news sentiment...