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Columbia Seligman Premium Technology Growth Fund (STK)

NYSE - Nasdaq Real Time Price. Currency in USD
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33.24+0.52 (+1.59%)
At close: 03:50PM EDT
32.71 -0.53 (-1.59%)
After hours: 04:04PM EDT
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Trade prices are not sourced from all markets
Previous Close32.72
Open33.17
Bid0.00 x 1100
Ask0.00 x 1300
Day's Range32.96 - 33.25
52 Week Range24.95 - 34.60
Volume14,868
Avg. Volume31,823
Market Cap550.335M
Beta (5Y Monthly)N/A
PE Ratio (TTM)4.76
EPS (TTM)N/A
Earnings DateN/A
Forward Dividend & Yield1.85 (7.03%)
Ex-Dividend DateAug 11, 2023
1y Target EstN/A
  • Business Wire

    Columbia Seligman Premium Technology Growth Fund Announces a Third Quarter Distribution: 9.25% Annual Rate for IPO Investors

    BOSTON, August 09, 2024--Today, Columbia Seligman Premium Technology Growth Fund, Inc. (NYSE: STK) (the Fund) declared a third-quarter distribution, pursuant to its managed distribution policy, in the amount of $0.4625 per share, which is equal to a quarterly rate of 2.3125% (9.25% annualized) of the $20.00 offering price in the Fund’s initial public offering in November 2009. The third-quarter distribution of $0.4625 per share is equal to a quarterly rate of 1.3943% (5.58% annualized) of the Fu

  • Business Wire

    Columbia Seligman Premium Technology Growth Fund, Inc. Holds 14th Annual Meeting of Stockholders

    MINNEAPOLIS, June 25, 2024--Columbia Seligman Premium Technology Growth Fund, Inc. (the "Fund") (NYSE: STK) today held its 14th Annual Meeting of Stockholders (the "Meeting") in Minneapolis, Minnesota. Stockholders voted in favor of the recommendations of the Fund’s Board of Directors (the "Board") on each of two proposals at the Meeting.

  • Business Wire

    Columbia Seligman Premium Technology Growth Fund Announces a Second Quarter Distribution: 9.25% Annual Rate for IPO Investors

    BOSTON, May 03, 2024--Today, Columbia Seligman Premium Technology Growth Fund, Inc. (NYSE: STK) (the Fund) declared a second-quarter distribution, pursuant to its managed distribution policy, in the amount of $0.4625 per share, which is equal to a quarterly rate of 2.3125% (9.25% annualized) of the $20.00 offering price in the Fund’s initial public offering in November 2009. The second-quarter distribution of $0.4625 per share is equal to a quarterly rate of 1.4929% (5.97% annualized) of the Fun