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VBF vs EARN Comparison

Compare VBF & EARN Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

  • Machine Learning Prediction
  • ML Decision
  • VBF
  • EARN
  • Stock Information
  • Founded
  • VBF 1970
  • EARN 2012
  • Country
  • VBF United States
  • EARN United States
  • Employees
  • VBF N/A
  • EARN N/A
  • Industry
  • VBF Trusts Except Educational Religious and Charitable
  • EARN Real Estate Investment Trusts
  • Sector
  • VBF Finance
  • EARN Real Estate
  • Exchange
  • VBF Nasdaq
  • EARN Nasdaq
  • Market Cap
  • VBF 179.5M
  • EARN 189.7M
  • IPO Year
  • VBF N/A
  • EARN 2013
  • Fundamental
  • Price
  • VBF $15.70
  • EARN $5.05
  • Analyst Decision
  • VBF
  • EARN Buy
  • Analyst Count
  • VBF 0
  • EARN 2
  • Target Price
  • VBF N/A
  • EARN $5.88
  • AVG Volume (30 Days)
  • VBF 45.5K
  • EARN 338.2K
  • Earning Date
  • VBF 01-01-0001
  • EARN 11-19-2025
  • Dividend Yield
  • VBF 5.18%
  • EARN 18.46%
  • EPS Growth
  • VBF N/A
  • EARN N/A
  • EPS
  • VBF N/A
  • EARN N/A
  • Revenue
  • VBF N/A
  • EARN $35,893,000.00
  • Revenue This Year
  • VBF N/A
  • EARN N/A
  • Revenue Next Year
  • VBF N/A
  • EARN $15.93
  • P/E Ratio
  • VBF N/A
  • EARN N/A
  • Revenue Growth
  • VBF N/A
  • EARN 43.30
  • 52 Week Low
  • VBF $13.68
  • EARN $4.33
  • 52 Week High
  • VBF $16.27
  • EARN $6.99
  • Technical
  • Relative Strength Index (RSI)
  • VBF 46.37
  • EARN 35.68
  • Support Level
  • VBF $15.63
  • EARN $5.10
  • Resistance Level
  • VBF $15.86
  • EARN $5.40
  • Average True Range (ATR)
  • VBF 0.12
  • EARN 0.08
  • MACD
  • VBF -0.01
  • EARN 0.01
  • Stochastic Oscillator
  • VBF 42.86
  • EARN 23.11

About VBF Invesco Bond Fund

Invesco Bond Fund is an independent investment management firm. Its investment objective is to seek interest income while conserving capital.

About EARN Ellington Residential Mortgage REIT of Beneficial Interest

Ellington Credit Co is focused on corporate collateralized loan obligations (CLOs). It focuses on acquiring, investing in, and managing secondary CLO mezzanine debt and equity tranches. The company relies on risk management, including disciplined liquidity management and selective use of credit hedges, to preserve book value during times. The company primary investment objectives are to generate attractive current yields and risk-adjusted total returns for shareholders. It invest in multiple parts of the CLO capital structure, principally mezzanine debt and equity tranches. Rather than focusing only on short-term current yield, it select investments that it believe will provide a strong total return to drive a sustainable earnings stream over a long-term horizon.

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