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TYG Tortoise Energy Infrastructure Corporation

USFinancial Services
$43.24-0.23%ClosedMarket Cap: $745.0M

As of 2026-07-09 16:00

Why TYG matters now

Tortoise Energy Infrastructure Corporation (TYG) is a US stock in Financial Services. The latest InvestLog snapshot shows $43.24 with -0.23% on the session and $745.0M in market capitalization; recent performance reads 1-month -9.51% and YTD +3.99%.

The latest financial table shown here is Q4 2025, with revenue of $49.7K, net income of $70.3M, and EPS of $3.89. Investors can compare that operating picture with valuation signals such as P/E 44.56 and FCF yield 9.0%.

The latest indexable market news headline is "TYG: This Aptly Named Fund Can Be Safely Avoided" from Seeking Alpha.

Additional event context on this page matters because analyst consensus is Buy with a median target of $—. These signals are research inputs, not a recommendation.

Valuation

P/E (TTM)

44.56

PEG

0.02

P/B

0.78

P/S

67.63

EV/EBITDA

10.86

DCF Value

$-6.31

FCF Yield

9.0%

Div Yield

13.2%

Margins & Returns

Gross Margin

452.9%

Operating Margin

441.9%

Net Margin

178.6%

ROE

2.2%

ROA

1.5%

ROIC

1.9%

Financials

PeriodRevenueNet IncomeEPS
Q4 2025$49.7K$70.3M$3.89
FY 2025$10.8M$19.4M$0.93
Q2 2025$10.8M$-50.9M$-2.96
Q4 2024$7.3M$140.3M$13.04

Analyst Ratings

Consensus

Buy

Target (Consensus)

$—

Target (Median)

$—

Target Range

$— - $—

Strong Buy: 0Buy: 1Hold: 0Sell: 0Strong Sell: 0

Company Info

Sector

Financial Services

Industry

Asset Management

Country

US

Exchange

Beta

0.72

The Tortoise Energy Infrastructure Corporation, a closed-end equity mutual fund, is managed by Tortoise Capital Advisors L.L.C. This U.S.-domiciled fund, established on October 29, 2003, invests in publicly traded companies within the United States. Its core strategy involves allocating capital to the energy infrastructure sector, specifically targeting businesses engaged in the transportation, processing, storage, distribution, or marketing of natural gas, natural gas liquids (such as propane), coal, crude oil, or refined petroleum products. It also seeks out firms involved in the exploration, development, management, or production of these commodities. The portfolio's main holdings include publicly traded Master Limited Partnerships (MLPs) and stocks of companies with a market capitalization exceeding $100 million.