• LAST PRICE
    16.5600
  • TODAY'S CHANGE (%)
    Trending Down-0.0400 (-0.2410%)
  • Bid / Lots
    15.7500/ 48
  • Ask / Lots
    17.3900/ 20
  • Open / Previous Close
    16.5800 / 16.6000
  • Day Range
    Low 16.5482
    High 16.6800
  • 52 Week Range
    Low 15.1272
    High 17.7900
  • Volume
    18,352
    above average

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Price Comparison Graph. See accessible table below
1 Day Comparison Chart Accessibility Table. Wednesday's close: 16.6
TimeVolumeIGI
09:32 ET109316.5809
09:36 ET10016.61
09:43 ET20016.58
09:48 ET31816.58
09:50 ET40016.59
10:06 ET10016.6
10:08 ET20016.59
10:10 ET48116.67
10:14 ET30816.68
10:28 ET80016.68
10:30 ET15216.66
10:32 ET70016.66
10:35 ET12916.64
11:04 ET12516.5601
11:29 ET50016.5501
11:31 ET20016.6
11:33 ET38316.5518
01:35 ET34316.63
01:50 ET10016.58
02:00 ET65416.56
02:09 ET210016.5603
02:13 ET120016.56
02:15 ET30016.58
02:26 ET30016.5532
02:31 ET116316.553
02:44 ET70516.56
03:21 ET100016.5482
03:27 ET100016.5499
03:32 ET100016.5499
03:50 ET10016.55
03:52 ET40016.56
03:59 ET10016.56
Data delayed at least 15 minutes.
Industry Peers Overview Table
Company sortableMarket Cap sortableP/E Ratio (TTM) sortableEPS Growth (5yr) sortable
United StatesIGI
Western Asset Investment Grade Defined Opportunity Trust Inc.
180.1M
0.0x
---
United StatesTRIS
Tristar Acquisition I Corp
180.3M
35.8x
---
United StatesSBXC
SilverBox Corp III
182.2M
54.9x
---
United StatesAPCA
AP Acquisition Corp
177.3M
65.4x
---
United StatesIVCA
Investcorp India Acquisition Corp
182.9M
32.1x
---
United StatesPCK
PIMCO California Municipal Income Fund II
184.5M
0.0x
---
As of 2024-04-25

Company Information

Western Asset Investment Grade Defined Opportunity Trust Inc. is a non-diversified, closed-end management investment company. The Fund's primary investment objective is to provide current income and then to liquidate and distribute substantially all of the Fund's net assets to stockholders. As a secondary investment objective, the Fund will seek capital appreciation. The Fund seeks to achieve its investment objectives by investing, under normal market conditions, at least 80% of its net assets in investment grade corporate fixed-income securities of varying maturities. The Fund's investment portfolio sectors include corporate bonds and notes; consumer discretionary; consumer staples; financials; energy; health care; industrials; information technology; utilities; materials; communication services; municipal bonds, and real estate. Legg Mason Partners Fund Advisor, LLC is the Fund's investment manager.

Contact Information

Headquarters
620 Eighth Avenue, 47th FloorNEW YORK, NY, United States 10018
Phone
888-777-0102
Fax
---

Executives

Chairman of the Board, President, Chief Executive Officer
Jane Trust
Principal Financial Officer, Treasurer
Christopher Berarducci
Senior Vice President
Jeanne Kelly
Senior Vice President
Thomas Mandia
Chief Compliance Officer
Fred Jensen

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Fundamentals Table
Market Cap
$180.1M
Revenue (TTM)
---
Shares Outstanding
10.8M
Dividend Yield
4.97%
Annual Dividend Rate
0.8235 USD
Ex-Dividend Date
05-22-24
Pay Date
06-03-24
Beta
0.55
EPS
---
Book Value
---
P/E Ratio
0.0x
Price/Sales (TTM)
---
Price/Cash Flow (TTM)
---
Operating Margin
---
*GAAP = prior to non-GAAP analyst adjusted earnings.

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