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XNYS
NCZ
Market cap297mUSD
Jul 09, Last price  
15.65USD
1D
1.43%
1Q
6.39%
Jan 2017
-31.48%
IPO
-73.92%
Name

Virtus Convertible & Income Fund II

Chart & Performance

D1W1MN
XNYS:NCZ chart
P/E
4.40
P/S
5.29
EPS
3.56
Div Yield, %
9.20%
Shrs. gr., 5y
-1.85%
Rev. gr., 5y
10.68%
Revenues
56m
+29.91%
66,990,00064,926,35673,143,80865,765,82710,743,14717,192,39637,133,490-4,578,43535,484,58033,882,22022,016,725-28,487,00018,269,00043,320,00056,277,000
Net income
68m
+29.08%
50,00070,253,569107,661,2722,880,222-133,888,327145,898,93736,303,552-5,713,04434,677,663117,883,000-28,379,998-61,696,0007,385,00052,452,00067,705,000
CFO
10m
+729.81%
0070,928,07366,183,401000000090,072,0001,221,00010,132,000
Dividend
Aug 13, 20260.12 USD/sh

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Profile

The Virtus Convertible & Income Fund II, a closed-ended mutual fund, generates income through fixed-income investments and was formerly known as AGIC Convertible & Income Fund II. It is managed by Allianz Global Investors Fund Management LLC, with co-management provided by Allianz Global Investors U.S. LLC. The fund's strategy involves investing primarily in the United States' fixed income markets, concentrating on convertible securities and non-convertible bonds with high yields and below investment grade ratings. Its portfolio is designed to encompass a wide spectrum of maturities, typically maintaining a weighted average maturity ranging from five to ten years. The investment team employs a fundamental analysis approach, utilizing bottom-up security selection techniques supported by proprietary internal research models. The fund, established on July 31, 2003, is domiciled in the United States.
IPO date
Jul 29, 2003
Employees
Domiciled in
US
Incorporated in
US

Valuation

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