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ACIC vs GUG Comparison

Compare ACIC & GUG Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

  • Machine Learning Prediction
  • ML Decision
  • ACIC
  • GUG
  • Stock Information
  • Founded
  • ACIC 1999
  • GUG 2021
  • Country
  • ACIC United States
  • GUG United States
  • Employees
  • ACIC N/A
  • GUG N/A
  • Industry
  • ACIC Property-Casualty Insurers
  • GUG Trusts Except Educational Religious and Charitable
  • Sector
  • ACIC Finance
  • GUG Finance
  • Exchange
  • ACIC Nasdaq
  • GUG Nasdaq
  • Market Cap
  • ACIC 556.0M
  • GUG 470.0M
  • IPO Year
  • ACIC N/A
  • GUG N/A
  • Fundamental
  • Price
  • ACIC $10.39
  • GUG $15.38
  • Analyst Decision
  • ACIC Buy
  • GUG
  • Analyst Count
  • ACIC 1
  • GUG 0
  • Target Price
  • ACIC $16.00
  • GUG N/A
  • AVG Volume (30 Days)
  • ACIC 315.0K
  • GUG 108.9K
  • Earning Date
  • ACIC 08-06-2025
  • GUG 01-01-0001
  • Dividend Yield
  • ACIC 4.81%
  • GUG 9.67%
  • EPS Growth
  • ACIC 3.21
  • GUG N/A
  • EPS
  • ACIC 1.49
  • GUG N/A
  • Revenue
  • ACIC $302,261,000.00
  • GUG N/A
  • Revenue This Year
  • ACIC N/A
  • GUG N/A
  • Revenue Next Year
  • ACIC $37.63
  • GUG N/A
  • P/E Ratio
  • ACIC $7.06
  • GUG N/A
  • Revenue Growth
  • ACIC 23.92
  • GUG N/A
  • 52 Week Low
  • ACIC $8.82
  • GUG $12.71
  • 52 Week High
  • ACIC $15.08
  • GUG $15.06
  • Technical
  • Relative Strength Index (RSI)
  • ACIC 40.65
  • GUG 58.85
  • Support Level
  • ACIC $10.10
  • GUG $15.03
  • Resistance Level
  • ACIC $10.68
  • GUG $16.50
  • Average True Range (ATR)
  • ACIC 0.36
  • GUG 0.27
  • MACD
  • ACIC -0.07
  • GUG 0.00
  • Stochastic Oscillator
  • ACIC 15.18
  • GUG 23.81

About ACIC American Coastal Insurance Corporation

American Coastal Insurance Corp is a holding company that underwrites commercial residential property and casualty insurance policies in the United States through its wholly-owned insurance subsidiary.

About GUG Guggenheim Active Allocation Fund of Beneficial Interest

Guggenheim Active Allocation Fund is a diversified closed-end management investment company. The fund's investment objective is to maximize total return through a combination of current income and capital appreciation. The company invests in both fixed-income and other debt instruments selected from a variety of sectors and credit qualities, and may also invest in equities. It uses tactical asset allocation models to determine the optimal allocation of its assets between fixed-income and equity securities. A majority of its investments are made in corporate bonds and the rest in senior floating rate interests, asset-backed securities, preferred stocks, and other securities.

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