Edison International Common Stock vs iShares International Treasury Bond ETF — how do they compare? Edison International Common Stock trades at $54.72 (market cap $20.90B), while iShares International Treasury Bond ETF trades at $39.75 (market cap $1.30B). The key difference: Edison International Common Stock is far larger — about 16.1× iShares International Treasury Bond ETF's market cap, and Edison International Common Stock pays a 6.46% dividend while iShares International Treasury Bond ETF pays none. Which is the better fit depends on your goals — on Pluang, investors hold Edison International Common Stock for 0 Days and iShares International Treasury Bond ETF for 92 Days on average.
| EIX | IGOV | |
|---|---|---|
Market Cap | $20.90B | $1.30B |
Volume | 7,556,718 | 693,740 |
Sector | Utilities | Fixed Income |
52-Week High | $80.38 | $42.99 |
52-Week Low | $51.47 | $39.65 |
Typical Hold Time | 0 Days | 92 Days |
Enterprise Value | $64.28B | — |
Dividend Yield | 6.46% | — |
Signals from Pluang's Aura AI — not financial advice
No Aura AI signal available yet.
IGOV trades at $39.70, down 0.48% with a bearish technical outlook as moving averages signal selling pressure. Key financial ratios including P/E, P/S, and ROE are unavailable, limiting fundamental assessment. Recent news highlights rising global bond yields, which may impact interest-rate sensitive sectors. The stock shows neutral oscillator signals with RSI levels near oversold territory at 30-37.
Investment outlook remains cautious due to incomplete financial data and bearish technical indicators. Rising Treasury yields pose macroeconomic headwinds, while the absence of valuation metrics complicates risk-reward analysis. Investors require updated SEC filings and earnings reports to properly evaluate the company's financial health and growth prospects.
Trailing returns across standard periods
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Edison International is the parent company of Southern California Edison, an electric utility that supplies and delivers electricity across Southern California. It also owns Trio, an energy advisory business.
Read more on EIX →The fund will invest at least 80% of its assets in the component securities of the underlying index and will invest at least 90% of its assets in fixed income securities included in the underlying index. The underlying index measures the performance of fixed-rate, local currency, investment-grade, sovereign bonds from certain developed markets. The fund is non-diversified.
Read more on IGOV →