NYSE
12.02USD
-0.03 (-0.21%)
We have scored 8 news catalysts on Ares Dynamic Credit Allocation Fund, Inc. (ARDC) over the past 12 months. The biggest single-day move next to one of them came Apr 3, 2026, when ARDC closed −1.3%: “Ares Dynamic Credit Allocation Fund (NYSE:ARDC) Stock Passes Below Two Hundred Day Moving Average – What’s Next?”. Coverage across the window leans negative (average ticker sentiment −0.18). Most of the impact sits in sector financials and price momentum.
Dots are scored news catalysts — size = impact, color = sentiment. Tap one to read it.
Market cap
288M
P/E
—
EPS
—
Beta
0.60
52W range
11.6-14.93
Day range
12.02–12.10
Open
12.09
Prev close
12.04
Volume
83.7K
Avg volume
106.4K
Dividend
1.35
IPO
2012-11-28
Daily OHLCV with SMA overlays and session pivots. Draw your levels and trendlines on it, or ask the AI analyst what the price is reacting to.
Suppliers, customers, partners and competitors, derived from what the news actually says about Ares Dynamic Credit Allocation Fund, Inc. — not a sector bucket. Click an edge to see the articles that established the link.
Suppliers, customers, partners and competitors of Ares Dynamic Credit Allocation Fund, Inc., taken from what the news actually said about them rather than from a sector bucket. The count is how many articles established each link.
Latest scored catalyst for ARDC: .
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Ares Dynamic Credit Allocation Fund, Inc. operates as a closed-end mutual fund dedicated to fixed-income investments, initially launched by Ares Management LLC. Its investment management responsibilities are handled by Ares Capital Management II LLC. The fund strategically deploys capital across European fixed-income markets. Its holdings primarily consist of diverse debt instruments, including senior loans predominantly issued to companies with sub-investment grade credit ratings, high-yield corporate bonds also rated below investment grade, debt securities originating from Collateralized Loan Obligations (CLOs), and other various fixed-income products. The creation of its portfolio is driven by an in-depth evaluation of the global macroeconomic landscape, prevailing financial market dynamics, and specific company research and analysis. This fund was established on November 27, 2012, and is headquartered in the United States.