US Stock MarketDetailed Quotes

LGI Lazard Global Total Return & Inc Fd Inc

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  • 16.160
  • +0.135+0.84%
Close Jan 17 16:00 ET
210.29MMarket Cap8.37P/E (TTM)

Lazard Global Total Return & Inc Fd Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold
147.71%1.06M
-56.31%617.34K
-56.31%617.34K
-63.33%427.12K
-61.19%1.41M
-61.19%1.41M
10.25%1.16M
634.57%3.64M
634.57%3.64M
34.19%1.06M
-Cash and cash equivalents
-11.50%378.02K
-56.31%617.34K
-56.31%617.34K
67.64%427.12K
-59.05%1.41M
-59.05%1.41M
-68.01%254.79K
596.24%3.45M
596.24%3.45M
57.01%796.47K
-Restricted cash and investments
--680K
----
----
----
----
----
250.00%910K
--190K
--190K
-7.14%260K
Receivables
34.81%1.29M
5.43%927.54K
5.43%927.54K
-8.21%959.54K
-11.13%879.75K
-11.13%879.75K
-1.68%1.05M
6.11%989.93K
6.11%989.93K
-37.16%1.06M
-Available for sale securities
-60.80%5.59M
178.46%13.69M
178.46%13.69M
--14.25M
--4.92M
--4.92M
----
----
----
----
Derivative assets
-84.31%351.55K
-41.27%1.8M
-41.27%1.8M
72.71%2.24M
279.44%3.06M
279.44%3.06M
32.05%1.3M
-68.73%806.12K
-68.73%806.12K
-42.12%982.16K
Total assets
2.43%264.4M
9.42%259.73M
9.42%259.73M
7.94%258.13M
-24.38%237.37M
-24.38%237.37M
-21.44%239.13M
12.46%313.89M
12.46%313.89M
23.81%304.4M
Liabilities
Payables
8.99%237.18K
9.42%235.61K
9.42%235.61K
4.10%217.62K
-97.30%215.33K
-97.30%215.33K
-18.33%209.04K
3,147.96%7.98M
3,147.96%7.98M
15.38%255.95K
-Accounts payable
----
----
----
----
----
----
----
--7.71M
--7.71M
-99.72%21
-Other payable
8.99%237.18K
9.42%235.61K
9.42%235.61K
4.10%217.62K
-19.63%215.33K
-19.63%215.33K
-18.32%209.04K
9.07%267.93K
9.07%267.93K
19.45%255.93K
Long term debt and capital lease obligation
-12.88%23.68M
-9.20%24.68M
-9.20%24.68M
1.87%27.18M
3.13%27.18M
3.13%27.18M
7.91%26.68M
34.10%26.35M
34.10%26.35M
-23.56%24.72M
Derivative product liabilities
-2.75%1.84M
-17.48%1.19M
-17.48%1.19M
-35.58%1.89M
20.92%1.44M
20.92%1.44M
122.10%2.94M
-44.19%1.19M
-44.19%1.19M
-24.60%1.32M
Total liabilities
-11.49%26.11M
-9.00%26.42M
-9.00%26.42M
-1.15%29.5M
-18.72%29.04M
-18.72%29.04M
12.51%29.84M
59.74%35.72M
59.74%35.72M
-23.25%26.52M
Shareholders'equity
Share capital
3.08%173.2M
3.08%173.2M
3.08%173.2M
0.03%168.02M
0.03%168.02M
0.03%168.02M
-4.63%167.96M
-4.63%167.96M
-4.63%167.96M
-4.01%176.11M
-common stock
3.08%173.2M
3.08%173.2M
3.08%173.2M
0.03%168.02M
0.03%168.02M
0.03%168.02M
-4.63%167.96M
-4.63%167.96M
-4.63%167.96M
-4.01%176.11M
Retained earnings
7.39%65.1M
49.09%60.11M
49.09%60.11M
46.65%60.62M
-63.42%40.32M
-63.42%40.32M
-59.38%41.34M
36.66%110.21M
36.66%110.21M
265.41%101.77M
Total stockholders'equity
4.22%238.29M
11.99%233.31M
11.99%233.31M
9.24%228.64M
-25.10%208.33M
-25.10%208.33M
-24.68%209.3M
8.34%278.17M
8.34%278.17M
31.50%277.88M
Total equity
4.22%238.29M
11.99%233.31M
11.99%233.31M
9.24%228.64M
-25.10%208.33M
-25.10%208.33M
-24.68%209.3M
8.34%278.17M
8.34%278.17M
31.50%277.88M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q2)Jun 30, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q2)Jun 30, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022 (Q2)Jun 30, 2022 (FY)Dec 31, 2021 (Q4)Dec 31, 2021 (Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold 147.71%1.06M -56.31%617.34K -56.31%617.34K -63.33%427.12K -61.19%1.41M -61.19%1.41M 10.25%1.16M 634.57%3.64M 634.57%3.64M 34.19%1.06M
-Cash and cash equivalents -11.50%378.02K -56.31%617.34K -56.31%617.34K 67.64%427.12K -59.05%1.41M -59.05%1.41M -68.01%254.79K 596.24%3.45M 596.24%3.45M 57.01%796.47K
-Restricted cash and investments --680K ---- ---- ---- ---- ---- 250.00%910K --190K --190K -7.14%260K
Receivables 34.81%1.29M 5.43%927.54K 5.43%927.54K -8.21%959.54K -11.13%879.75K -11.13%879.75K -1.68%1.05M 6.11%989.93K 6.11%989.93K -37.16%1.06M
-Available for sale securities -60.80%5.59M 178.46%13.69M 178.46%13.69M --14.25M --4.92M --4.92M ---- ---- ---- ----
Derivative assets -84.31%351.55K -41.27%1.8M -41.27%1.8M 72.71%2.24M 279.44%3.06M 279.44%3.06M 32.05%1.3M -68.73%806.12K -68.73%806.12K -42.12%982.16K
Total assets 2.43%264.4M 9.42%259.73M 9.42%259.73M 7.94%258.13M -24.38%237.37M -24.38%237.37M -21.44%239.13M 12.46%313.89M 12.46%313.89M 23.81%304.4M
Liabilities
Payables 8.99%237.18K 9.42%235.61K 9.42%235.61K 4.10%217.62K -97.30%215.33K -97.30%215.33K -18.33%209.04K 3,147.96%7.98M 3,147.96%7.98M 15.38%255.95K
-Accounts payable ---- ---- ---- ---- ---- ---- ---- --7.71M --7.71M -99.72%21
-Other payable 8.99%237.18K 9.42%235.61K 9.42%235.61K 4.10%217.62K -19.63%215.33K -19.63%215.33K -18.32%209.04K 9.07%267.93K 9.07%267.93K 19.45%255.93K
Long term debt and capital lease obligation -12.88%23.68M -9.20%24.68M -9.20%24.68M 1.87%27.18M 3.13%27.18M 3.13%27.18M 7.91%26.68M 34.10%26.35M 34.10%26.35M -23.56%24.72M
Derivative product liabilities -2.75%1.84M -17.48%1.19M -17.48%1.19M -35.58%1.89M 20.92%1.44M 20.92%1.44M 122.10%2.94M -44.19%1.19M -44.19%1.19M -24.60%1.32M
Total liabilities -11.49%26.11M -9.00%26.42M -9.00%26.42M -1.15%29.5M -18.72%29.04M -18.72%29.04M 12.51%29.84M 59.74%35.72M 59.74%35.72M -23.25%26.52M
Shareholders'equity
Share capital 3.08%173.2M 3.08%173.2M 3.08%173.2M 0.03%168.02M 0.03%168.02M 0.03%168.02M -4.63%167.96M -4.63%167.96M -4.63%167.96M -4.01%176.11M
-common stock 3.08%173.2M 3.08%173.2M 3.08%173.2M 0.03%168.02M 0.03%168.02M 0.03%168.02M -4.63%167.96M -4.63%167.96M -4.63%167.96M -4.01%176.11M
Retained earnings 7.39%65.1M 49.09%60.11M 49.09%60.11M 46.65%60.62M -63.42%40.32M -63.42%40.32M -59.38%41.34M 36.66%110.21M 36.66%110.21M 265.41%101.77M
Total stockholders'equity 4.22%238.29M 11.99%233.31M 11.99%233.31M 9.24%228.64M -25.10%208.33M -25.10%208.33M -24.68%209.3M 8.34%278.17M 8.34%278.17M 31.50%277.88M
Total equity 4.22%238.29M 11.99%233.31M 11.99%233.31M 9.24%228.64M -25.10%208.33M -25.10%208.33M -24.68%209.3M 8.34%278.17M 8.34%278.17M 31.50%277.88M
Currency Unit USD USD USD USD USD USD USD USD USD USD
Audit Opinions -- Unqualified Opinion -- -- -- -- -- -- -- --
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