GJR

Strats SM Trust for Procter & Gamble Securities Series 2006-1 GIC
NYSEFINANCIALSINVESTMENT BANKING & INVESTMENT SERVICES

Key Statistics

Market Cap
P/E Ratio
EPS
Beta
52W High
$25.20
52W Low
$23.65
50-Day MA
$24.80
200-Day MA
$24.82
Dividend Yield
3.06%
Profit Margin
0.00%
Forward P/E
PEG Ratio
0.00

About Strats SM Trust for Procter & Gamble Securities Series 2006-1 GIC

Strats SM Trust for Procter & Gamble Securities Series 2006-1 GIC (Ticker: GJR) serves as a strategic investment vehicle tailored for institutional investors seeking exposure to the stable cash flows generated by Procter & Gamble’s 2006-1 GIC financing. Backed by Procter & Gamble's robust credit profile and its status as a leader in the consumer goods sector, GJR offers fixed-income investors a compelling opportunity for dependable returns. The trust's connection to Procter & Gamble’s esteemed portfolio of consumer brands further enhances its attractiveness, providing an effective hedge against market volatility and making it an ideal choice for conservative investment strategies focused on stability.

Official WebsiteUSAFY End: None

Fundamentals

Revenue (TTM)0
Gross Profit (TTM)0
EBITDA
Operating Margin0.00%
Return on Equity0.00%
Return on Assets0.00%
Revenue/Share (TTM)$0.00
Book Value
Price-to-Book
Price-to-Sales (TTM)
EV/Revenue-
EV/EBITDA
Quarterly Earnings Growth (YoY)0.00%
Quarterly Revenue Growth (YoY)0.00%
Shares Outstanding0
Float0
% Insiders0.00%
% Institutions0.00%

Historical Volatility

HV 10-Day
15.14%
HV 20-Day
16.25%
HV 30-Day
13.94%
HV 60-Day
12.25%
HV Rank
95.6%

Volatility is currently expanding

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Data last updated: 7/29/2026