Europe
Master Limited Partnership
Europe (Non-UK)

Capital Product

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-$0.04 (-1.75%) Today
$0.00 (0.00%) After Hours

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About

Capital Product Partners LP operates as an international shipping company. It engages in the seaborne transportation of cargo, including crude oil, refined oil products and chemicals. Read More The company fleet consists of vessels, suezmax crude oil tankers, medium range tankers, and capesize bulk carrier. Capital Product Partners was founded on January 16, 2007 and is headquartered in Piraeus, Greece.

Employees
Headquarters
Piraeus, Attica
Founded
2007
Market Cap
285.03M
Price-Earnings Ratio
Dividend Yield
15.31
Average Volume
488.09K
High Today
$2.29
Low Today
$2.24
Open Price
$2.25
Volume
122.26K
52 Week High
$3.31
52 Week Low
$2.05

Collections

Europe
Master Limited Partnership
Europe (Non-UK)
Fossil Fuel
Oil and Gas
Oil
Water Transportation
Shipping

News

Guru FocusMar 6

Capital Product Partners L.P. Announces the Effective Date of Its One-For-Seven Reverse Unit Split

ATHENS, Greece, March 06, 2019 (GLOBE NEWSWIRE) -- Capital Product Partners L.P. ( CPLP) (the “Partnership” or “CPLP”), an international shipping partnership, today announced that the Board of Directors of the Partnership has approved a one-for-seven reverse unit split (the “Reverse Split”). Formal notice of the Reverse Split is being sent to unitholders of the Partnership. Electronic copies of the materials are accessible on the Partnership’s website at http://ir.capitalpplp.com/. The Partnership previ...

544
Markets InsiderMar 4

Kayne Anderson Midstream/Energy Fund Provides Unaudited Balance Sheet Information and Announces its Net Asset Value and Asset Coverage Ratios at February 28, 2019

HOUSTON, March 04, 2019 (GLOBE NEWSWIRE) -- Kayne Anderson Midstream/Energy Fund, Inc. (the “Fund”) (NYSE: KMF) today provided a summary unaudited statement of assets and liabilities and announced its net asset value and asset coverage ratios under the Investment Company Act of 1940 (the “1940 Act”) as of February 28, 2019. As of February 28, 2019, the Fund’s net assets were $638 million and its net asset value per share was $13.04. As of February 28, 2019, the Fund’s asset coverage ratio under the 1940 ...

67

Earnings

$0.01
$0.03
$0.06
$0.08
Q2 2017
Q3 2017
Q4 2017
Q1 2018
Q2 2018
Q3 2018
Q4 2018
Q1 2019
Estimated
Actual
Expected Apr 29, Pre-Market
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