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DVS vs KIO Comparison

Compare DVS & KIO Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

DVS

Dolly Varden Silver Corporation

HOLD

Current Price

$4.38

Market Cap

415.2M

Sector

N/A

ML Signal

HOLD

Logo KKR Income Opportunities Fund

KIO

KKR Income Opportunities Fund

HOLD

Current Price

$11.72

Market Cap

478.7M

Sector

Finance

ML Signal

HOLD

Company Overview

Basic Information
Metric
DVS
KIO
Founded
2011
2011
Country
Canada
United States
Employees
N/A
2400
Industry
Investment Managers
Sector
Finance
Exchange
Nasdaq
Nasdaq
Market Cap
415.2M
478.7M
IPO Year
N/A
N/A

Fundamental Metrics

Financial Performance
Metric
DVS
KIO
Price
$4.38
$11.72
Analyst Decision
Analyst Count
0
0
Target Price
N/A
N/A
AVG Volume (30 Days)
1.3M
136.5K
Earning Date
02-23-2026
01-01-0001
Dividend Yield
N/A
10.82%
EPS Growth
N/A
N/A
EPS
N/A
N/A
Revenue
N/A
N/A
Revenue This Year
N/A
N/A
Revenue Next Year
N/A
N/A
P/E Ratio
N/A
N/A
Revenue Growth
N/A
N/A
52 Week Low
$2.30
$10.52
52 Week High
$5.38
$13.59

Technical Indicators

Market Signals
Indicator
DVS
KIO
Relative Strength Index (RSI) 45.60 55.39
Support Level $4.29 $11.62
Resistance Level $4.93 $11.70
Average True Range (ATR) 0.24 0.07
MACD -0.06 0.02
Stochastic Oscillator 11.04 100.00

Price Performance

Historical Comparison
DVS
KIO

About DVS Dolly Varden Silver Corporation

Dolly Varden Silver Corp is a mineral exploration company. The company's primary business is the acquisition, exploration, evaluation, and development of exploration and evaluation assets. It is focused on exploration advancing the Kitsault Valley Project, which includes the Dolly Varden property and the Homestake Ridge property located in the Golden Triangle of British Columbia, Canada.

About KIO KKR Income Opportunities Fund

KKR Income Opportunities Fund operates as a closed-end registered management investment company. The Fund's main objective is to generate a high level of current income, with a secondary objective of capital appreciation. The company invests in a portfolio of loans and fixed-income instruments of U.S. and non-U.S. issuers. The company will invest at least 80% of its Managed Assets in loans and fixed-income instruments or other instruments, including derivative instruments, with similar economic characteristics under normal market conditions.

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