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DNP Select Income Fund Inc. (DNP)

Financial Services | Asset Management | Chicago, United States | NYSE
11.14 USD +0.08 (0.723%) ⇧ (July 14, 2026, 9:49 a.m. EDT)

Short-term:★★⯪☆☆Long-term:★★⯪☆☆Dividends:★★★☆☆
Hot Take | July 11, 2026, 2:36 a.m. EDT

This income fund offers a compelling 7.15% yield with a stable monthly payout history, making it attractive for cash-flow focused investors. However, the underlying business shows signs of distress; despite a recent price recovery, the asset has suffered a nearly 10% cumulative decline over the last nine years, reflecting persistent structural challenges in the asset management sector. The valuation metrics are mixed, trading at a low P/E but commanding a premium P/S multiple, suggesting the market sees limited growth potential. While the short-term technicals show a slight upward lean off recent lows, the lack of a clear multi-year trend and the reliance on capital gains for recent distributions temper the bullish case. It remains a neutral hold rather than a strong buy, suitable for defensive portfolios but lacking the catalyst needed for significant capital appreciation.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
AutoTheta ✓0.011442
MSTL0.012432
AutoETS0.014730
AutoARIMA0.014969

Forecast horizon: 45 days | Selected: AutoTheta

Forecast Reliability
Score 62%
H-stat 1.96
Ljung-Box p 0.000
Jarque-Bera p 0.769
Excess Kurtosis -0.14
Attribute Value
Sector Financial Services
Ex Dividend Date 2026-07-30
Last Dividend Date 2026-06-29
Debt to Equity Ratio 28.164
Revenue per Share 0.436
Market Cap 4,197,788,416
Trailing P/E 9.60
Beta 0.34
Profit Margins 424.54%
Website https://www.dnpselectincome.com

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.60% 7.60% 8.13% 7.72%
Dividend History
Date Dividend Yield %
2026-06-30 0.065 0.602410
2026-05-29 0.065 0.612053
2026-04-30 0.065 0.599631
2026-03-31 0.065 0.631068
2026-02-27 0.065 0.616698
2026-01-30 0.065 0.639764
2025-12-31 0.065 0.650651
2025-11-28 0.065 0.636008
2025-10-31 0.065 0.639135
2025-09-30 0.065 0.649351
2025-08-29 0.065 0.658561
2025-07-31 0.065 0.663943
2025-06-30 0.065 0.663943
2025-05-30 0.065 0.663265
2025-04-30 0.065 0.677083
2025-03-31 0.065 0.657230
2025-02-28 0.065 0.678497
2025-01-31 0.065 0.686378
2024-12-31 0.065 0.736961
2024-11-29 0.065 0.676379
2024-10-31 0.065 0.681342
2024-09-30 0.065 0.647410
2024-08-30 0.065 0.684932
2024-07-31 0.065 0.726257
2024-06-28 0.065 0.790754
2024-05-31 0.065 0.745413
2024-04-29 0.065 0.741163
2024-03-27 0.065 0.715859
2024-02-28 0.065 0.735294
2024-01-30 0.065 0.730337
2023-12-28 0.065 0.766509
2023-11-29 0.065 0.721421
2023-10-30 0.065 0.715859
2023-09-28 0.065 0.673575
2023-08-30 0.065 0.644202
2023-07-28 0.065 0.638507
2023-06-29 0.065 0.631068
2023-05-30 0.065 0.641026
2023-04-27 0.065 0.620229
2023-03-30 0.065 0.591985
2023-02-27 0.065 0.567190
2023-01-30 0.065 0.563258
2022-12-29 0.065 0.574713
2022-11-29 0.065 0.579323
2022-10-28 0.065 0.603528
2022-09-29 0.065 0.623800
2022-08-30 0.065 0.574205
2022-07-28 0.065 0.579839
2022-06-29 0.065 0.603528
2022-05-27 0.065 0.568182
2022-04-28 0.065 0.543024
2022-03-30 0.065 0.551315
2022-02-25 0.065 0.584532
2022-01-28 0.065 0.587173
2021-12-30 0.065 0.595784
2021-11-29 0.065 0.596878
2021-10-28 0.065 0.595238
2021-09-29 0.065 0.608614
2021-08-30 0.065 0.599078
2021-07-29 0.065 0.608045
2021-06-29 0.065 0.617284
2021-05-27 0.065 0.625000
2021-04-29 0.065 0.635386
2021-03-30 0.065 0.661241
2021-02-25 0.065 0.618459
2021-01-28 0.065 0.626808
2020-12-30 0.065 0.634146
2020-11-27 0.065 0.619638
2020-10-29 0.065 0.644841
2020-09-29 0.065 0.646123
2020-08-28 0.065 0.637880
2020-07-30 0.065 0.597976
2020-06-29 0.065 0.598527
2020-05-28 0.065 0.581395
2020-04-29 0.065 0.588768
2020-03-30 0.065 0.650000
2020-02-27 0.065 0.532787
2020-01-30 0.065 0.505837
2019-12-30 0.065 0.507020
2019-11-27 0.065 0.509005
2019-10-30 0.065 0.509005
2019-09-27 0.065 0.502707
2019-08-29 0.065 0.517928
2019-07-30 0.065 0.539419
2019-06-27 0.065 0.551783
2019-05-30 0.065 0.565217
2019-04-29 0.065 0.561798
2019-03-28 0.065 0.561798
2019-02-27 0.065 0.578292
2019-01-30 0.065 0.587703
2018-12-28 0.065 0.623202
2018-11-29 0.065 0.595784
2018-10-30 0.065 0.596878
2018-09-27 0.065 0.599631
2018-08-30 0.065 0.588235
2018-07-30 0.065 0.593066
2018-06-28 0.065 0.601295
2018-05-30 0.065 0.585059
2018-04-27 0.065 0.595238
2018-03-28 0.065 0.633528
2018-02-27 0.065 0.640394
2018-01-30 0.065 0.624400
2017-12-28 0.065 0.601852
2017-11-29 0.065 0.574713
2017-10-30 0.065 0.574713
2017-09-28 0.065 0.570175
2017-08-29 0.065 0.571680
2017-07-27 0.065 0.577778
2017-06-28 0.065 0.588235
2017-05-26 0.065 0.582960
2017-04-26 0.065 0.595238
2017-03-29 0.065 0.602410
2017-02-24 0.065 0.609756
2017-01-27 0.065 0.616114
2016-12-28 0.065 0.636631
2016-11-28 0.065 0.638507
2016-10-27 0.065 0.644202
2016-09-28 0.065 0.626808
2016-08-29 0.065 0.613787
2016-07-27 0.065 0.610329
2016-06-28 0.065 0.613787
2016-05-26 0.065 0.639764
2016-04-27 0.065 0.638507
2016-03-29 0.065 0.642928
2016-02-25 0.065 0.670795
2016-01-27 0.065 0.714286
2015-12-29 0.065 0.720621
2015-11-25 0.065 0.689289
2015-10-28 0.065 0.668037
2015-09-28 0.065 0.692964
2015-08-27 0.065 0.653266
2015-07-29 0.065 0.642928
2015-06-26 0.065 0.632911
2015-05-27 0.065 0.605778
2015-04-28 0.065 0.608614
2015-03-27 0.065 0.620821
2015-02-25 0.065 0.614948
2015-01-28 0.065 0.614948
2014-12-29 0.065 0.614367
2014-11-25 0.065 0.616114
2014-10-29 0.065 0.621415
2014-09-26 0.065 0.640394
2014-08-27 0.065 0.626808
2014-07-29 0.065 0.634766
2014-06-26 0.065 0.617284
2014-05-28 0.065 0.632296
2014-04-28 0.065 0.655903
2014-03-27 0.065 0.664622
2014-02-26 0.065 0.669413
2014-01-29 0.065 0.686378
2013-12-27 0.065 0.679206
2013-11-26 0.065 0.677083
2013-10-29 0.065 0.662589
2013-09-26 0.065 0.674274
2013-08-28 0.065 0.657230
2013-07-29 0.065 0.637880
2013-06-26 0.065 0.653924
2013-05-29 0.065 0.638507
2013-04-26 0.065 0.619048
2013-03-26 0.065 0.638507
2013-02-26 0.065 0.648703
2013-01-29 0.065 0.644202
2012-12-27 0.065 0.715071
2012-11-28 0.065 0.685654
2012-10-31 0.065 0.648703
2012-09-24 0.065 0.648056
2012-08-29 0.065 0.613208
2012-07-27 0.065 0.567686
2012-06-27 0.065 0.584007
2012-05-29 0.065 0.593607
2012-04-26 0.065 0.600739
2012-03-28 0.065 0.623800
2012-02-27 0.065 0.573698
2012-01-27 0.065 0.577265
2011-12-28 0.065 0.586114
2011-11-28 0.065 0.613208
2011-10-27 0.065 0.615530
2011-09-28 0.065 0.653924
2011-08-29 0.065 0.659229
2011-07-27 0.065 0.652610
2011-06-28 0.065 0.651956
2011-05-26 0.065 0.653266
2011-04-27 0.065 0.674274
2011-03-29 0.065 0.680628
2011-02-24 0.065 0.684211
2011-01-27 0.065 0.675676
2010-12-29 0.065 0.708061
2010-11-26 0.065 0.647410
2010-10-27 0.065 0.650651
2010-09-28 0.065 0.669413
2010-08-27 0.065 0.682773
2010-07-28 0.065 0.696677
2010-06-28 0.065 0.710383
2010-05-26 0.065 0.741163
2010-04-28 0.065 0.705755
2010-03-29 0.065 0.697425
2010-02-24 0.065 0.704225
2010-01-27 0.065 0.727884
2009-12-29 0.065 0.721421
2009-11-25 0.065 0.753187
2009-10-28 0.065 0.742009
2009-09-28 0.065 0.727884
2009-08-27 0.065 0.733634
2009-07-29 0.065 0.741163
2009-06-26 0.065 0.809465
2009-05-27 0.065 0.858653
2009-04-28 0.065 0.920680
2009-03-27 0.065 0.929900
2009-02-25 0.065 0.936599
2009-01-28 0.065 0.806452
2008-12-29 0.065 1.105442
2008-11-25 0.065 0.928571
2008-10-29 0.065 0.833333
2008-09-26 0.065 0.650000
2008-08-27 0.065 0.597426
2008-07-29 0.065 0.612053
2008-06-26 0.065 0.606909
2008-05-28 0.065 0.584532
2008-04-28 0.065 0.588235
2008-03-27 0.065 0.597976
2008-02-27 0.065 0.591447
2008-01-29 0.065 0.599078
2007-12-27 0.065 0.614948
2007-11-28 0.065 0.613208
2007-10-29 0.065 0.600185
2007-09-26 0.065 0.617284
2007-08-29 0.065 0.622605
2007-07-27 0.065 0.606343
2007-06-27 0.065 0.604651
2007-05-29 0.065 0.580357
2007-04-26 0.065 0.575731
2007-03-28 0.065 0.575731
2007-02-26 0.065 0.593607
2007-01-29 0.065 0.599078
2006-12-27 0.065 0.596330
2006-11-28 0.065 0.597976
2006-10-27 0.065 0.590372
2006-09-27 0.065 0.604651
2006-08-29 0.065 0.613787
2006-07-27 0.065 0.622010
2006-06-28 0.065 0.651303
2006-05-26 0.065 0.656566
2006-04-26 0.065 0.644841
2006-03-29 0.065 0.621415
2006-02-24 0.065 0.593607
2006-01-27 0.065 0.597426
2005-12-28 0.070 0.675024
2005-11-28 0.065 0.602410
2005-10-27 0.065 0.571680
2005-09-28 0.065 0.558419
2005-08-29 0.065 0.570676
2005-07-27 0.065 0.560345
2005-06-28 0.065 0.561798
2005-05-26 0.065 0.578807
2005-04-27 0.065 0.593607
2005-03-29 0.065 0.616698
2005-02-24 0.065 0.550847
2005-01-27 0.065 0.563747
2004-12-29 0.080 0.675105
2004-11-26 0.065 0.570175
2004-10-27 0.065 0.580357
2004-09-28 0.065 0.578807
2004-08-27 0.065 0.584532
2004-07-28 0.065 0.601295
2004-06-28 0.065 0.607477
2004-05-26 0.065 0.623202
2004-04-28 0.065 0.634146
2004-03-29 0.065 0.578292
2004-02-25 0.065 0.599078
2004-01-28 0.065 0.584532
2003-12-29 0.080 0.725295
2003-11-25 0.065 0.613208
2003-10-29 0.065 0.632296
2003-09-26 0.065 0.617284
2003-08-27 0.065 0.617871
2003-07-29 0.065 0.604089
2003-06-26 0.065 0.599078
2003-05-28 0.065 0.597426
2003-04-28 0.065 0.642928
2003-03-27 0.065 0.645482
2003-02-26 0.065 0.670103
2003-01-29 0.065 0.644202
2002-12-27 0.065 0.651956
2002-11-26 0.065 0.677083
2002-10-29 0.065 0.723026
2002-09-26 0.065 0.647410
2002-08-28 0.065 0.646766
2002-07-29 0.065 0.707291
2002-06-26 0.065 0.688559
2002-05-29 0.065 0.581395
2002-04-26 0.065 0.565217
2002-03-26 0.065 0.575731
2002-02-26 0.065 0.579839
2002-01-29 0.065 0.582960
2001-12-27 0.075 0.679964
2001-11-28 0.065 0.593066
2001-10-29 0.065 0.590909
2001-09-26 0.065 0.604651
2001-08-29 0.065 0.586643
2001-07-27 0.065 0.600185
2001-06-27 0.065 0.604651
2001-05-29 0.065 0.589837
2001-04-26 0.065 0.602410
2001-03-28 0.065 0.609185
2001-02-26 0.065 0.619048
2001-01-29 0.065 0.625000
2000-12-27 0.075 0.710059
2000-11-28 0.065 0.641975
2000-10-27 0.065 0.666667
2000-09-27 0.065 0.670968
2000-08-29 0.065 0.666667
2000-07-27 0.065 0.684211
2000-06-28 0.065 0.679739
2000-05-26 0.065 0.712329
2000-04-26 0.065 0.717241
2000-03-29 0.065 0.732394
2000-02-25 0.065 0.764706
2000-01-27 0.065 0.722222
1999-12-29 0.075 0.888889
1999-11-26 0.065 0.712329
1999-10-27 0.065 0.684211
1999-09-28 0.065 0.684211
1999-08-27 0.065 0.638037
1999-07-28 0.065 0.622754
1999-06-28 0.065 0.608187
1999-05-26 0.065 0.601156
1999-04-28 0.065 0.601156
1999-03-29 0.065 0.594286
1999-02-24 0.065 0.601156
1999-01-27 0.065 0.590909
1999-01-13 0.065 0.581006
1998-12-29 0.065 0.577778
1998-11-25 0.065 0.574586
1998-10-28 0.065 0.590909
1998-09-28 0.065 0.594286
1998-08-27 0.065 0.634146
1998-07-29 0.065 0.622754
1998-06-26 0.065 0.630303
1998-05-27 0.065 0.630303
1998-04-28 0.065 0.650000
1998-03-27 0.065 0.619048
1998-02-25 0.065 0.611765
1998-01-28 0.065 0.615385
1997-12-29 0.065 0.654088
1997-11-25 0.065 0.658228
1997-10-29 0.065 0.675325
1997-09-26 0.065 0.666667
1997-08-27 0.065 0.693333
1997-07-29 0.065 0.702703
1997-06-26 0.060 0.685714
1997-05-28 0.060 0.695652
1997-04-28 0.060 0.685714
1997-03-26 0.060 0.666667
1997-02-26 0.060 0.671329
1997-01-31 0.060 0.666667
1996-12-27 0.080 0.927536
1996-11-26 0.060 0.685714
1996-10-29 0.060 0.695652
1996-09-26 0.060 0.705882
1996-08-28 0.060 0.695652
1996-07-29 0.060 0.705882
1996-06-26 0.060 0.695652
1996-05-29 0.060 0.695652
1996-04-26 0.060 0.676056
1996-03-27 0.060 0.676056
1996-02-27 0.060 0.657534
1996-01-29 0.060 0.631579
1995-12-27 0.070 0.788732
1995-11-28 0.060 0.666667
1995-10-27 0.060 0.676056
1995-09-27 0.060 0.680851
1995-08-29 0.060 0.685714
1995-07-27 0.060 0.685714
1995-06-28 0.060 0.685714
1995-05-24 0.060 0.705882
1995-04-24 0.060 0.716418
1995-03-27 0.060 0.727273
1995-02-22 0.060 0.705882
1995-01-25 0.060 0.705882
1994-12-23 0.060 0.738462
1994-11-23 0.060 0.738462
1994-10-25 0.060 0.738462
1994-09-26 0.060 0.750000
1994-08-25 0.060 0.705882
1994-07-25 0.060 0.705882
1994-06-24 0.060 0.727273
1994-05-24 0.060 0.685714
1994-04-25 0.060 0.676056
1994-03-25 0.060 0.716418
1994-02-22 0.060 0.648649
1994-01-25 0.060 0.631579
1993-12-27 0.080 0.790123
1993-11-23 0.060 0.607595
1993-11-22 0.098 1.005128
1993-10-25 0.060 0.564706
1993-09-24 0.060 0.545455
1993-08-25 0.060 0.539326
1993-07-27 0.060 0.551724
1993-06-24 0.060 0.564706
1993-05-24 0.060 0.571429
1993-04-26 0.060 0.551724
1993-03-25 0.060 0.551724
1993-02-22 0.060 0.551724
1993-01-25 0.060 0.564706
1992-12-24 0.120 1.142857
1992-11-23 0.060 0.585366
1992-10-23 0.060 0.607595
1992-09-24 0.060 0.571429
1992-08-25 0.060 0.578313
1992-07-27 0.060 0.585366
1992-06-24 0.060 0.592593
1992-05-22 0.060 0.607595
1992-04-24 0.060 0.615385
1992-03-25 0.060 0.623377
1992-02-24 0.060 0.592593
1992-01-27 0.060 0.585366
1991-12-24 0.110 1.100000
1991-11-22 0.060 0.615385
1991-10-25 0.060 0.631579
1991-09-24 0.060 0.640000
1991-08-26 0.060 0.648649
1991-07-25 0.060 0.685714
1991-06-24 0.060 0.685714
1991-05-24 0.060 0.666667
1991-04-24 0.060 0.666667
1991-03-22 0.060 0.666667
1991-02-22 0.060 0.676056
1991-01-25 0.060 0.695652
1990-12-24 0.100 1.159420
1990-11-26 0.060 0.716418
1990-10-25 0.060 0.727273
1990-09-24 0.060 0.761905
1990-08-27 0.060 0.738462
1990-07-25 0.060 0.738462
1990-06-25 0.060 0.738462
1990-05-24 0.060 0.738462
1990-04-24 0.060 0.750000
1990-03-26 0.060 0.727273
1990-02-22 0.060 0.716418
1990-01-25 0.060 0.716418
1989-12-22 0.100 1.142857
1989-11-24 0.060 0.716418
1989-10-25 0.060 0.738462
1989-09-25 0.060 0.738462
1989-08-25 0.060 0.727273
1989-07-25 0.060 0.705882
1989-06-26 0.060 0.716418
1989-05-24 0.060 0.716418
1989-04-24 0.060 0.761905
1989-03-27 0.060 0.774194
1989-02-22 0.060 0.750000
1989-01-25 0.060 0.716418
1988-12-23 0.180 2.285714
1988-11-23 0.180 2.181818
1988-10-25 0.180 2.117647
1988-08-25 0.180 2.215385
1988-07-25 0.180 2.181818
1988-06-24 0.060 0.705882
1988-05-24 0.060 0.727273
1988-04-25 0.060 0.695652
1988-03-25 0.060 0.695652
1988-02-23 0.060 0.676056
1988-01-25 0.060 0.676056
1987-12-24 0.060 0.761905
1987-11-23 0.060 0.716418
1987-10-26 0.060 0.738462
1987-09-24 0.060 0.716418
1987-08-25 0.060 0.666667
1987-07-27 0.060 0.676056
1987-06-24 0.060 0.657534
1987-05-22 0.055 0.619718
1987-04-24 0.050 0.555556
1987-03-25 0.045 0.444444
1987-02-23 0.040 0.385542
Additional Data
dividendRate 0.78
dividendYield 7.05
exDividendDate 2026-07-31
trailingAnnualDividendRate 0.78
trailingAnnualDividendYield 0.07052441
lastDividendValue 0.065
lastDividendDate 2026-06-30
dividendDate 2019-04-10

Info Dump

Attribute Value
52 Week Change 0.14138281
Address1 10 South Wacker Drive
Address2 19th Floor
All Time High 13.22
All Time Low 4.8
Ask 11.11
Ask Size 1,000
Average Daily Volume10 Day 825,500
Average Daily Volume3 Month 682,865
Average Volume 682,865
Average Volume10Days 825,500
Beta 0.339
Bid 11.08
Bid Size 1,500
Book Value 10.356
City Chicago
Country United States
Crypto Tradeable 0
Currency USD
Current Price 11.14
Current Ratio 2.193
Custom Price Alert Confidence HIGH
Date Short Interest 1,782,777,600
Day High 11.16
Day Low 11.06
Debt To Equity 28.164
Display Name DNP Select Income Fund
Dividend Date 1,554,854,400
Dividend Rate 0.78
Dividend Yield 7.05
Earnings Growth 0.959
Earnings Quarterly Growth 0.991
Earnings Timestamp End 1,734,692,340
Earnings Timestamp Start 1,734,692,340
Ebitda Margins 0.0
Enterprise To Revenue 31.728
Enterprise Value 5,238,166,016
Eps Trailing Twelve Months 1.16
Esg Populated 0
Ex Dividend Date 1,785,456,000
Exchange NYQ
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fax 312 261 5074
Fifty Day Average 10.7644
Fifty Day Average Change 0.3756008
Fifty Day Average Change Percent 0.034892872
Fifty Two Week Change Percent 14.138281
Fifty Two Week High 11.16
Fifty Two Week High Change -0.019999504
Fifty Two Week High Change Percent -0.0017920703
Fifty Two Week Low 9.65
Fifty Two Week Low Change 1.4900007
Fifty Two Week Low Change Percent 0.15440422
Fifty Two Week Range 9.65 - 11.16
Financial Currency USD
First Trade Date Milliseconds 538,237,800,000
Five Year Avg Dividend Yield 7.72
Free Cashflow 50,881,876
Full Exchange Name NYSE
Gmt Off Set Milliseconds -14,400,000
Gross Margins 1.0
Gross Profits 165,095,008
Has Pre Post Market Data 1
Held Percent Insiders 0.00051
Held Percent Institutions 0.10925
Implied Shares Outstanding 376,821,218
Industry Asset Management
Industry Disp Asset Management
Industry Key asset-management
Is Earnings Date Estimate 0
Language en-US
Last Dividend Date 1,782,777,600
Last Dividend Value 0.065
Last Fiscal Year End 1,761,868,800
Long Business Summary DNP Select Income Fund Inc. is a closed ended balanced mutual fund launched by Virtus Investment Partners, Inc. The fund is managed by Duff & Phelps Investment Management Co. It invests in the public equity and fixed income markets of the United States. For the fixed income portion, the fund invests in bonds. It seeks to invest in stocks of companies operating in the Utility sector. The fund invests in stocks of companies across all market capitalizations. It benchmarks the performance of its portfolio against the S&P 500 Utilities Index and Barclays Capital U.S. Utility Bond Index. DNP Select Income Fund Inc. was formed on November 26, 1986 and is domiciled in the United States.
Long Name DNP Select Income Fund Inc.
Market us_market
Market Cap 4,197,788,416
Market State REGULAR
Max Age 86,400
Message Board Id finmb_267819
Most Recent Quarter 1,777,507,200
Net Income To Common 700,889,024
Next Fiscal Year End 1,793,404,800
Non Diluted Market Cap 4,167,642,671
Open 11.08
Operating Cashflow 262,276,992
Operating Margins 0.80151004
Payout Ratio 0.6724
Phone 312 263 2610
Previous Close 11.06
Price Hint 2
Price To Book 1.0757049
Price To Sales Trailing12 Months 25.4265
Profit Margins 4.24537
Quick Ratio 2.185
Quote Source Name Nasdaq Real Time Price
Quote Type EQUITY
Recommendation Key none
Region US
Regular Market Change 0.07999992
Regular Market Change Percent 0.7233331
Regular Market Day High 11.16
Regular Market Day Low 11.06
Regular Market Day Range 11.06 - 11.16
Regular Market Open 11.08
Regular Market Previous Close 11.06
Regular Market Price 11.14
Regular Market Time 1,784,036,948
Regular Market Volume 68,211
Return On Assets 0.0172
Return On Equity 0.18993999
Revenue Growth 0.043
Revenue Per Share 0.436
Sand P52 Week Change 0.20365608
Sector Financial Services
Sector Disp Financial Services
Sector Key financial-services
Shares Outstanding 376,821,218
Shares Percent Shares Out 0.0014
Shares Short 533,481
Shares Short Previous Month Date 1,780,012,800
Shares Short Prior Month 672,665
Short Name DNP Select Income Fund, Inc.
Short Percent Of Float 0.0014
Short Ratio 0.81
Source Interval 15
State IL
Symbol DNP
Total Cash 56,242,000
Total Cash Per Share 0.148
Total Debt 1,104,850,944
Total Revenue 165,095,008
Tradeable 0
Trailing Annual Dividend Rate 0.78
Trailing Annual Dividend Yield 0.07052441
Trailing Eps 1.16
Trailing P E 9.603449
Trailing Peg Ratio None
Triggerable 1
Two Hundred Day Average 10.32705
Two Hundred Day Average Change 0.81295013
Two Hundred Day Average Change Percent 0.07872046
Type Disp Equity
Volume 68,211
Website https://www.dnpselectincome.com
Zip 60,606