Discounted Cash Flow Rating

Strong Sell

Return on Equity Rating

Sell

Debt to Equity Rating

Neutral

Price to Earnings Rating

Strong Buy

Analyst Rating

Sell

Simple Moving Average

Neutral

Exponential Moving Average

Neutral

Relative Strength Index

Buy

Standard Deviation

Neutral

Williams %R

Strong Buy

Average Directional Index

Strong Buy

Insider Trading

Strong Buy

Wall Street Data Solutions Rating

Neutral

B

Western Asset Diversified Income Fund (WDI)

https://www.westernasset.com

Western Asset Diversified Income Fund is a newly-organized, diversified, closed-end management investment company. The fund's primary investment objective is to seek high current income.

Current Price

---.--

% Change Today

0.00%

Change Amt. Today

0.00

Active Status

Active

Listing Date

01/01/1970

Market Cap

802,199,218

Shares Outstanding

51,790,000

Weighted SO

51,788,210

Total Employees

N/A

Upcoming Earnings

N/A

Beta

0.6575

Last Div

1.6800

Range

12.16-15.495

Chg

0.2000

Avg Vol

233606

Mkt Cap

802199218

Exch

NYSE

Country

US

Phone

N/A

DCF Diff

22.2499

DCF

-6.7749

Div Yield

0.1105

P/S

6.3498

EV Multiple

9.2383

P/FV

0.9975

Div Yield %

11.0491

P/E

6.4299

PEG

0.0379

Payout

0.6696

Current Ratio

2.9541

Quick Ratio

2.9541

Cash Ratio

0.6150

DSO

76.1906

DIO

0.0000

Op Cycle

0.0000

DPO

0.0000

CCC

0.0000

Gross Margin

1.0000

Op Margin

0.9881

Pretax Margin

0.9881

Net Margin

0.9881

Eff Tax Rate

-0.0013

ROA

0.1047

ROE

0.1592

ROCE

0.1057

NI/EBT

1.0000

EBT/EBIT

1.0000

EBIT/Rev

0.9881

Debt Ratio

0.3004

D/E

0.4449

LT Debt/Cap

0.3079

Total Debt/Cap

0.3079

Int Coverage

5.3821

CF/Debt

0.2556

Equity Multi

1.4811

Rec Turnover

4.7906

Pay Turnover

0.0000

Inv Turnover

0.0000

FA Turnover

0.0000

Asset Turnover

0.1060

OCF/Share

1.7661

FCF/Share

1.7661

Cash/Share

0.1338

OCF/Sales

0.7244

FCF/OCF

1.0000

CF Coverage

0.2556

ST Coverage

0.0000

CapEx Coverage

0.0000

Div&CapEx Cov

1.0949

P/BV

0.9975

P/B

0.9975

P/S

6.3498

P/E

6.4299

P/FCF

8.7657

P/OCF

8.7709

P/CF

8.7709

PEG

0.0379

P/S

6.3498

EV Multiple

9.2383

P/FV

0.9975

DPS

1.7115

Latest Headlines (EST)

Revenue Product Segmentation

Dividend History

Cash Value Ex-Dividend Date Declaration Date Record Date Pay Date
0.15 08/23/2024 05/22/2024 08/23/2024 09/03/2024
0.15 07/24/2024 05/22/2024 07/24/2024 08/01/2024
0.15 06/21/2024 05/22/2024 06/21/2024 07/01/2024
0.14 05/22/2024 02/20/2024 05/23/2024 06/03/2024
0.14 04/22/2024 02/20/2024 04/23/2024 05/01/2024
0.14 03/20/2024 02/20/2024 03/21/2024 04/01/2024
0.14 02/21/2024 11/14/2023 02/22/2024 03/01/2024
0.14 01/23/2024 11/14/2023 01/24/2024 02/01/2024
0.14 12/20/2023 11/14/2023 12/21/2023 12/29/2023
0.14 11/21/2023 08/02/2023 11/22/2023 12/01/2023
0.14 10/23/2023 08/02/2023 10/24/2023 11/01/2023
0.14 09/21/2023 08/02/2023 09/22/2023 10/02/2023
0.14 08/23/2023 05/15/2023 08/24/2023 09/01/2023
0.14 07/21/2023 05/15/2023 07/24/2023 08/01/2023
0.14 06/22/2023 05/15/2023 06/23/2023 07/03/2023
0.13 05/22/2023 02/14/2023 05/23/2023 06/01/2023
0.13 04/20/2023 02/14/2023 04/21/2023 05/01/2023
0.13 03/23/2023 02/14/2023 03/24/2023 04/03/2023
0.13 02/17/2023 11/14/2022 02/21/2023 03/01/2023
0.13 01/23/2023 11/14/2022 01/24/2023 02/01/2023
0.13 12/21/2022 11/14/2022 12/22/2022 12/30/2022
0.12 11/21/2022 08/02/2022 11/22/2022 12/01/2022
0.12 10/21/2022 08/02/2022 10/24/2022 11/01/2022
0.12 09/22/2022 08/02/2022 09/23/2022 10/03/2022
0.12 08/23/2022 05/17/2022 08/24/2022 09/01/2022
0.12 07/21/2022 11/30/-0001 07/22/2022 08/01/2022
0.12 06/22/2022 05/17/2022 06/23/2022 07/01/2022
0.12 05/20/2022 02/16/2022 05/23/2022 06/01/2022
0.12 04/21/2022 02/16/2022 04/22/2022 05/02/2022
0.12 03/23/2022 02/16/2022 03/24/2022 04/01/2022
0.12 02/17/2022 11/17/2021 02/18/2022 03/01/2022
0.12 01/21/2022 11/17/2021 01/24/2022 02/01/2022
0.12 12/22/2021 11/17/2021 12/23/2021 12/31/2021
0.12 11/19/2021 09/09/2021 11/22/2021 12/01/2021
0.12 10/21/2021 09/09/2021 10/22/2021 11/01/2021
0.12 09/22/2021 09/09/2021 09/23/2021 10/01/2021
0.12 08/23/2021 08/02/2021 08/24/2021 09/01/2021