ACAS Share Price

Open 17.85 Change Price %
High 18.05 1 Day 0.07 0.39
Low 17.84 1 Week 0.00 0.00
Close 17.99 1 Month 0.00 0.00
Volume 37661957 1 Year 0.91 5.33
52 Week High 18.05
52 Week Low 16.98
ACAS Important Levels
Resistance 2 18.18
Resistance 1 18.10
Pivot 17.96
Support 1 17.88
Support 2 17.80
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American Capital, Ltd. (NASDAQ: ACAS)

ACAS Technical Analysis 5
As on 3rd Jan 2017 ACAS Share Price closed @ 17.99 and we RECOMMEND Strong Buy for LONG-TERM with Stoploss of 16.07 & Strong Buy for SHORT-TERM with Stoploss of 17.27 we also expect STOCK to react on Following IMPORTANT LEVELS.
ACAS Target for November
1st Target up-side N/A
2nd Target up-side N/A
3rd Target up-side N/A
1st Target down-side N/A
2nd Target down-side N/A
3rd Target down-side N/A
ACAS Other Details
Segment EQ
Market Capital 3876380160.00
Sector Financial
Industry Asset Management
Offical website http://www.americancapital.com
ACAS Address
ACAS
2 Bethesda Metro Center
14th Floor
Bethesda, MD 20814
United States
Phone: 301-951-6122
Fax: 301-654-6714
ACAS Latest News
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ACAS Business Profile
American Capital, Ltd. (American Capital), incorporated in 1986, is an equity firm and global asset manager. American Capital invests in private equity, private debt, private real estate securities and other investments, technology investments, special situation investments, alternative asset funds managed by the Company. The Company primarily invests in senior and mezzanine debt and equity in buyouts of private companies sponsored by us (One Stop Buyouts) or sponsored by other private equity funds (Private Equity Buyouts) and provide capital directly to early stage and mature private and small public companies. It refers to its investments in these companies as its private finance portfolio. In December 2013, the Company announced that its portfolio company DelStar, Inc., including its subsidiary DelStar Technologies, Inc., was sold to Schweitzer Mauduit International Inc. The Company invests in structured financial product investments (Structured Products), including commercial mortgage backed securities (CMBS), commercial collateralized loan obligation (CLO) securities and collateralized debt obligation (CDO) securities and invest in alternative asset funds managed by the Company. As of December 31, 2011, the Company had investments in 152 portfolio companies. Its investments are consists of six product lines: One Stop Buyouts, Private Equity Buyouts, Direct and Other Investments, European Capital, Asset Management and Structured Products. Main Office of the Company is at 2 Bethesda Metro Center, 14th Floor, Bethesda, MD 20814.