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IGA vs AHMA Comparison

Compare IGA & AHMA Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

  • Machine Learning Prediction
  • ML Decision
  • IGA
  • AHMA
  • Stock Information
  • Founded
  • IGA 2005
  • AHMA 2007
  • Country
  • IGA United States
  • AHMA United Arab Emirates
  • Employees
  • IGA N/A
  • AHMA N/A
  • Industry
  • IGA Investment Managers
  • AHMA Services-Misc. Amusement & Recreation
  • Sector
  • IGA Finance
  • AHMA Consumer Discretionary
  • Exchange
  • IGA Nasdaq
  • AHMA Nasdaq
  • Market Cap
  • IGA 151.6M
  • AHMA 128.6M
  • IPO Year
  • IGA N/A
  • AHMA 2025
  • Fundamental
  • Price
  • IGA $9.60
  • AHMA $4.68
  • Analyst Decision
  • IGA
  • AHMA
  • Analyst Count
  • IGA 0
  • AHMA 0
  • Target Price
  • IGA N/A
  • AHMA N/A
  • AVG Volume (30 Days)
  • IGA 42.3K
  • AHMA 551.2K
  • Earning Date
  • IGA 01-01-0001
  • AHMA 11-22-2025
  • Dividend Yield
  • IGA 8.93%
  • AHMA N/A
  • EPS Growth
  • IGA N/A
  • AHMA N/A
  • EPS
  • IGA N/A
  • AHMA 0.03
  • Revenue
  • IGA N/A
  • AHMA $18,543,447.00
  • Revenue This Year
  • IGA N/A
  • AHMA N/A
  • Revenue Next Year
  • IGA N/A
  • AHMA N/A
  • P/E Ratio
  • IGA N/A
  • AHMA $137.81
  • Revenue Growth
  • IGA N/A
  • AHMA N/A
  • 52 Week Low
  • IGA $7.77
  • AHMA $4.00
  • 52 Week High
  • IGA $8.88
  • AHMA $7.48
  • Technical
  • Relative Strength Index (RSI)
  • IGA 35.70
  • AHMA N/A
  • Support Level
  • IGA $9.38
  • AHMA N/A
  • Resistance Level
  • IGA $9.80
  • AHMA N/A
  • Average True Range (ATR)
  • IGA 0.11
  • AHMA 0.00
  • MACD
  • IGA -0.03
  • AHMA 0.00
  • Stochastic Oscillator
  • IGA 38.60
  • AHMA 0.00

About IGA Voya Global Advantage and Premium Opportunity Fund of Beneficial Interest

Voya Global Advantage and Premium Opportunity Fund is a United States-based diversified, closed-end management investment company. The fund has two investment objectives. Its primary objective is to provide a high level of income, while the secondary objective is to seek capital appreciation. To achieve these objectives, the fund invests at least 80% of its managed assets in a portfolio of common stocks from various countries around the world, including the United States. Additionally, it uses an integrated derivatives strategies.

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