Groupon Falls; Cisc...
American Strategic Income Portfolio I (ASP: NYSE)
$11.31 0.04 | 0.36%
02/09/12 - 01:40 PM ET
7.80K / 13.50K
Vol / Avg. Vol:11.32 / 11.27
Open / Prev. Close:11.24 - 11.34
Today's Range:9.55 - 11.80
52 Wk Range:-14.37%
Performance YTD:TheStreet Rating:
Portfolios with ASP
- Portfolio NameUser Type
- UserHigh Yield Monthly Dividend...
- UserSUPRATRADE SUSTRAX 1008071653
Latest ASP Headlines from TheStreet
- 10 AAA-Rated Treasury Bond Alernatives 08.03.11 | 07:08 am
Press Releases for ASP
- U.S. Bancorp Asset Management, Inc. Announces Financial Positions For Closed-End Funds - Business Wire 01.20.12 | 12:01 pm
- U.S. Bancorp Asset Management, Inc. Announces February Distributions For Closed-End Funds - Business Wire 01.20.12 | 11:01 am
- U.S. Bancorp Asset Management, Inc. Announces Financial Positions For Closed-End Funds - Business Wire 12.16.11 | 11:12 am
- U.S. Bancorp Asset Management, Inc. Announces January Distributions For Closed-End Funds - Business Wire 12.16.11 | 11:12 am
- U.S. Bancorp Asset Management, Inc. Announces Financial Positions For Closed-End Funds - Business Wire 11.18.11 | 09:11 am
- U.S. Bancorp Asset Management, Inc. Announces December Distributions For Closed-End Funds - Business Wire 11.18.11 | 09:11 am
- U.S. Bancorp Asset Management, Inc. Announces Financial Positions For Closed-End Funds - Business Wire 10.24.11 | 02:10 pm
- U.S. Bancorp Asset Management, Inc. Announces November Distributions For Closed-End Funds - Business Wire 10.24.11 | 12:10 pm
- U.S. Bancorp Asset Management, Inc. Announces Financial Positions For Closed-End Funds - Business Wire 09.26.11 | 05:09 pm
- U.S. Bancorp Asset Management, Inc. Announces October Distributions For Closed-End Funds; Elimination Of Level Distribution Policies - Business Wire 09.23.11 | 02:09 pm
Partner Headlines for ASP
- Four Mortgage Income Funds Worth Considering - Seeking Alpha 11.18.11 | 05:11 pm
- AMD Announces Cuts Preliminary Q3 Revenues; Expected to Increase 4-6% QoQ from 10% Prior Est - Benzinga 09.28.11 | 04:09 pm





