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BWIN vs TY Comparison

Compare BWIN & TY Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

  • Machine Learning Prediction
  • ML Decision
  • BWIN
  • TY
  • Stock Information
  • Founded
  • BWIN 2011
  • TY 1929
  • Country
  • BWIN United States
  • TY United States
  • Employees
  • BWIN N/A
  • TY N/A
  • Industry
  • BWIN Specialty Insurers
  • TY Finance Companies
  • Sector
  • BWIN Finance
  • TY Finance
  • Exchange
  • BWIN Nasdaq
  • TY Nasdaq
  • Market Cap
  • BWIN 1.7B
  • TY 1.8B
  • IPO Year
  • BWIN 2019
  • TY N/A
  • Fundamental
  • Price
  • BWIN $26.75
  • TY $33.77
  • Analyst Decision
  • BWIN Hold
  • TY
  • Analyst Count
  • BWIN 7
  • TY 0
  • Target Price
  • BWIN $38.29
  • TY N/A
  • AVG Volume (30 Days)
  • BWIN 1.0M
  • TY 43.0K
  • Earning Date
  • BWIN 11-04-2025
  • TY 01-01-0001
  • Dividend Yield
  • BWIN N/A
  • TY 3.36%
  • EPS Growth
  • BWIN N/A
  • TY N/A
  • EPS
  • BWIN N/A
  • TY 4.78
  • Revenue
  • BWIN $1,487,497,000.00
  • TY N/A
  • Revenue This Year
  • BWIN $10.87
  • TY N/A
  • Revenue Next Year
  • BWIN $12.60
  • TY N/A
  • P/E Ratio
  • BWIN N/A
  • TY $6.38
  • Revenue Growth
  • BWIN 10.69
  • TY N/A
  • 52 Week Low
  • BWIN $21.26
  • TY $25.16
  • 52 Week High
  • BWIN $50.46
  • TY $30.73
  • Technical
  • Relative Strength Index (RSI)
  • BWIN 56.65
  • TY 41.01
  • Support Level
  • BWIN $21.26
  • TY $33.82
  • Resistance Level
  • BWIN $24.58
  • TY $34.80
  • Average True Range (ATR)
  • BWIN 1.10
  • TY 0.41
  • MACD
  • BWIN 0.60
  • TY -0.07
  • Stochastic Oscillator
  • BWIN 98.39
  • TY 27.61

About BWIN The Baldwin Insurance Group Inc. Class A Common Stock

The Baldwin Insurance Group Inc is a United States-based insurance distribution firm. Its products include Business Insurance, Benefits Consulting, Reinsurance, Specialty MGA, Embedded Insurance., Personal insurance, etc.

About TY Tri Continental Corporation

Tri-Continental Corp is a United States-based closed-end management investment company. It invests to produce future growth of both capital and income while providing reasonable current income. The fund is divided into two equal segments namely, the equity segment uses quantitative models to select individual stocks whereas the Flexible capital income segment invests across a company's investable capital structure, including stocks, bonds, and convertible securities. The Fund invests in a range of sectors, which include consumer discretionary, consumer staples, energy, financials, healthcare, industrials, information technology, industrials, materials, real estate, telecommunication services, utilities, aerospace and defense, banking, chemicals, and others.

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