Introduzione
Questa pagina fornisce un'analisi completa dello storico delle operazioni di insider trading note di Andrew Dakos. Gli insider sono funzionari, direttori o investitori importanti di una società. In generale, è illegale per gli insider effettuare operazioni di compravendita nelle loro aziende sulla base di informazioni materiali non pubbliche. Ciò non significa che sia illegale per loro effettuare qualsiasi operazioni di trading nelle proprie aziende. Tuttavia, devono segnalare tutte le operazioni alla SEC tramite un modulo 4. Nonostante queste restrizioni, la ricerca accademica suggerisce che gli insider, in generale, tendono a sovraperformare il mercato nelle proprie società.
Redditività media delle transazioni
La redditività media delle transazioni è il rendimento medio di tutti gli acquisti effettuati sul mercato aperto dagli insider negli ultimi tre anni. Pe calcolarla, esaminiamo tutti gli acquisti non pianificati effettuati dall'insider sul mercato aperto, escludendo tutte le operazioni che sono state parte di un piano di trading 10b5-1. Calcoliamo quindi la performance media di queste operazioni nell'arco di 3, 6 e 12 mesi e facciamo la media di ciascuna di queste durate per generare un indicatore di performance finale per ogni operazione. Infine, facciamo la media di tutti gli indicatori di performance per calcolare un indicatore di performance per l'insider. Questo elenco comprende solo gli insider che hanno effettuato almeno tre operazioni negli ultimi due anni.
Se la redditività delle operazioni di questo insider è "N/D", l'insider non ha effettuato acquisti sul mercato aperto negli ultimi tre anni, oppure le operazioni effettuate sono troppo recenti per poter calcolare un indicatore di performance affidabile.
Frequenza di aggiornamento: giornaliera
Società con posizioni di insider dichiarate
I depositi SEC indicano che Andrew Dakos ha dichiarato partecipazioni o transazioni nelle seguenti società:
Come interpretare i grafici
I grafici seguenti mostrano l'andamento dei titoli dopo ogni operazione di mercato aperto non pianificata effettuata da Andrew Dakos. Per operazioni non pianificate si intendono operazioni non effettuate nell'ambito di un piano di trading 10b5-1. La performance dei titoli è rappresentata come variazione percentuale cumulativa del prezzo delle azioni. Ad esempio, se un'operazione di insider è stata effettuata il 1° gennaio 2019, il grafico mostrerà la variazione percentuale giornaliera del titolo fino ad oggi. Se il prezzo dell'azione passasse da 10 a 15 dollari durante questo periodo, la variazione percentuale cumulativa del prezzo dell'azione sarebbe del 50%. Una variazione di prezzo da 10 a 20 dollari sarebbe del 100%, mentre una variazione di prezzo da 10 a 5 dollari sarebbe del -50%.
In definitiva, cerchiamo di determinare la correlazione tra le operazioni dell'insider e i rendimenti in eccesso (positivi o negativi) del prezzo dell'azione, al fine di capire se l'insider sta programmando le proprie operazioni per trarre profitto da informazioni privilegiate. Immaginiamo che un insider stia facendo questo. In questa situazione, ci aspetteremmo (a) rendimenti positivi dopo gli acquisti, oppure (b) rendimenti negativi dopo le vendite. Nel caso (a), il grafico ACQUISTO mostrerebbe una serie di curve ascendenti, indicando rendimenti positivi dopo ogni operazione di acquisto. Nel caso (b), il grafico VENDITA mostrerebbe una serie di curve inclinate verso il basso, indicando rendimenti negativi dopo ogni operazione di vendita.
Tuttavia, questo non è sufficiente per trarre conclusioni. Se, ad esempio, il prezzo delle azioni della società è aumentato in maniera non ciclica per molti anni, allora ci aspetteremmo che tutti i grafici post-acquisto abbiano una pendenza rivolta verso l'alto. Allo stesso modo, ribassi non ciclici per molti anni darebbero luogo a grafici post-negoziazione rivolti verso il basso. Nessuno di questi grafici suggerisce un'attività di insider trading.
L'indicatore più forte sarebbe una situazione in cui il prezzo delle azioni fosse estremamente ciclico e vi fossero segnali positivi nel grafico ACQUISTO e curve negative nel grafico VENDITA. Questa situazione suggerirebbe che l'insider sta programmando le operazioni di trading per trarne un vantaggio finanziario.
Acquisti di insider AEF / abrdn Emerging Markets ex-China Fund, Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider AEF / abrdn Emerging Markets ex-China Fund, Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider CMU / MFS High Yield Municipal Trust - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider CMU / MFS High Yield Municipal Trust - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider CXH / MFS Investment Grade Municipal Trust - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider CXH / MFS Investment Grade Municipal Trust - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider MXE / Mexico Equity & Income Fund Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider MXE / Mexico Equity & Income Fund Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider NRO.RT / Neuberger Berman Real Estate Securities Income Fund Inc. - Equity Right - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider NRO.RT / Neuberger Berman Real Estate Securities Income Fund Inc. - Equity Right - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider PCF / High Income Securities Fund - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider PCF / High Income Securities Fund - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider PEO / Adams Natural Resources Fund, Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider PEO / Adams Natural Resources Fund, Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider PMO / Putnam Municipal Opportunities Trust - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider PMO / Putnam Municipal Opportunities Trust - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider SCZ / iShares Trust - iShares MSCI EAFE Small-Cap ETF - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider SCZ / iShares Trust - iShares MSCI EAFE Small-Cap ETF - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider SPE / Special Opportunities Fund, Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider SPE / Special Opportunities Fund, Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
2024-09-20 | SPE | Dakos Andrew | 377 | 13,7410 | 377 | 13,7410 | 5.180 | 199 | 13.3400 | -151 | -2,91 |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider SVVC / Firsthand Technology Value Fund, Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider SVVC / Firsthand Technology Value Fund, Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider SWZ / Total Return Securities, Inc. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider SWZ / Total Return Securities, Inc. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Acquisti di insider TRC / Tejon Ranch Co. - Analisi degli utili a breve termine
In questa sezione analizziamo la redditività di ogni acquisto non pianificato di insider sul mercato aperto effettuato in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Questa analisi aiuta a capire se l'insider genera costantemente rendimenti anomali e se vale la pena seguirlo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra gli acquisti più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al massimo |
Prezzo al massimo |
Profitto massimo ($) |
Rendimento massimo (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Vendite di insider TRC / Tejon Ranch Co. - Analisi delle perdite a breve termine
In questa sezione, analizziamo l'evitamento delle perdite a breve termine di ogni vendita di insider non pianificata ed effettuata sul mercato aperto in AEF / abrdn Emerging Markets ex-China Fund, Inc.. Un modello coerente di evitamento delle perdite può suggerire che future transazioni di vendita potrebbero predire cali di prezzo. L'analisi riguarda l'anno successivo a ciascuna operazione, e i risultati sono teorici.
La tabella seguente mostra le vendite più recenti sul mercato aperto che non facevano parte di un piano di trading automatico.
Data dell'operazione | Ticker | Insider | Azioni dichiarate |
Prezzo dichiarato |
Azioni rettificate |
Prezzo rettificato |
Base di costo | Giorni fino al minimo |
Prezzo al minimo |
Perdita massima evitata ($) |
Perdita massima evitata (%) |
---|---|---|---|---|---|---|---|
Non sono note operazioni di mercato aperto non pianificate per questa combinazione di insider e titoli. |
Il prezzo rettificato è il prezzo rettificato per il frazionamento azionario. Leazioni rettificate sono le azioni rettificate per il frazionamento azionario.
Storico delle operazioni degli insider
Questa tabella mostra l'elenco completo delle operazioni effettuate da Andrew Dakos come comunicato alla Securities Exchange Commission (SEC).
Data di deposito | Data della transazione | Modulo | Ticker | Titolo | Codice | Azioni | Azioni rimanenti | Variazione percentuale |
Prezzo dell'azione |
Valore della transazione |
Valore rimanente |
|
---|---|---|---|---|---|---|---|---|---|---|---|---|
2025-07-18 |
|
4 | TRC |
TEJON RANCH CO
Common Stock |
A - Award | 461 | 32.461 | 1,44 | 16,96 | 7.819 | 550.539 | |
2025-05-22 | 3 | TRC |
TEJON RANCH CO
Common Stock |
32.000 | ||||||||
2025-05-22 | 3 | TRC |
TEJON RANCH CO
Common Stock |
25.000 | ||||||||
2025-02-14 | 3 | CMU |
MFS HIGH YIELD MUNICIPAL TRUST
Common Stock |
24.200 | ||||||||
2024-12-16 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -94.433 | 10.705 | -89,82 | 7,07 | -667.641 | 75.684 | |
2024-09-26 | 3 | CXH |
MFS INVESTMENT GRADE MUNICIPAL TRUST
Common Stock |
0 | ||||||||
2024-09-23 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
S - Sale | -377 | 4.880 | -7,17 | 13,74 | -5.180 | 67.056 | |
2024-08-19 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
M - Exercise | 70.092 | 105.138 | 200,00 | 6,48 | 454.196 | 681.294 | |
2023-09-20 | 3 | TGVC |
TG Venture Acquisition Corp.
Class A Common Stock |
0 | ||||||||
2022-06-09 |
|
4/A | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
M - Exercise | 33.301 | 35.046 | 1.908,37 | 8,36 | 278.396 | 292.985 | |
2022-04-07 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -154 | 782 | -16,45 | 15,69 | -2.416 | 12.270 | |
2022-04-07 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -968 | 5.257 | -15,55 | 15,69 | -15.188 | 82.482 | |
2022-04-07 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -2.016 | 10.162 | -16,55 | 15,69 | -31.631 | 159.442 | |
2022-03-04 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.000 | 3.000 | 50,00 | 8,82 | 8.820 | 26.460 | |
2022-02-04 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 572 | 2.000 | 40,06 | 9,31 | 5.325 | 18.620 | |
2022-02-04 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 428 | 1.428 | 42,80 | 9,38 | 4.015 | 13.395 | |
2022-01-28 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
2.75% Convertible Preferred Stock, Series C |
X - Other | 200 | 200 | 25,00 | 5.000 | 5.000 | ||
2021-11-03 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
M - Exercise | 31.745 | 33.490 | 1.819,20 | 8,36 | 265.388 | 279.976 | |
2021-09-17 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -10.000 | 1.745 | -85,14 | 10,02 | -100.226 | 17.489 | |
2021-09-17 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -20.000 | 11.745 | -63,00 | 9,96 | -199.254 | 117.012 | |
2021-09-15 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -10.000 | 31.745 | -23,95 | 9,95 | -99.502 | 315.869 | |
2021-09-15 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -10.000 | 41.745 | -19,33 | 9,94 | -99.401 | 414.949 | |
2021-08-05 |
|
4 | IRL |
NEW IRELAND FUND INC
Common Stock |
S - Sale | -25.088 | 394.374 | -5,98 | 12,50 | -313.545 | 4.928.807 | |
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock Series B |
M - Exercise | -156 | 0 | -100,00 | ||||
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock Series B |
M - Exercise | -966 | 0 | -100,00 | ||||
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock Series B |
M - Exercise | -3.200 | 0 | -100,00 | ||||
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
M - Exercise | 303 | 936 | 47,87 | ||||
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
M - Exercise | 1.889 | 6.225 | 43,57 | ||||
2021-07-14 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
M - Exercise | 6.257 | 12.178 | 105,67 | ||||
2021-05-10 | 3 | NDP |
TORTOISE ENERGY INDEPENDENCE FUND, INC.
Common Stock |
0 | ||||||||
2021-03-24 | 3 | IRL |
NEW IRELAND FUND INC
Common Stock |
74.594 | ||||||||
2021-03-24 | 3 | IRL |
NEW IRELAND FUND INC
Common Stock |
419.462 | ||||||||
2021-02-04 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
M - Exercise | 39.000 | 51.745 | 306,00 | 8,24 | 321.360 | 426.379 | |
2021-01-22 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -9.355 | 12.745 | -42,33 | 8,59 | -80.359 | 109.480 | |
2021-01-22 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -1.900 | 22.100 | -7,92 | 8,72 | -16.568 | 192.712 | |
2020-12-18 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -1.299 | 24.000 | -5,13 | 8,96 | -11.639 | 215.040 | |
2020-12-18 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -5.000 | 25.299 | -16,50 | 8,83 | -44.150 | 223.390 | |
2020-10-15 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -5.000 | 30.299 | -14,16 | 8,40 | -42.001 | 254.518 | |
2020-10-15 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -2.819 | 35.299 | -7,40 | 8,35 | -23.539 | 294.747 | |
2020-09-30 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -2.892 | 38.118 | -7,05 | 8,33 | -24.094 | 317.576 | |
2020-09-30 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -2.497 | 41.010 | -5,74 | 8,33 | -20.800 | 341.613 | |
2020-09-30 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -10.000 | 43.507 | -18,69 | 8,33 | -83.311 | 362.461 | |
2020-09-21 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -5.303 | 53.507 | -9,02 | 8,45 | -44.810 | 452.134 | |
2020-09-21 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -1.190 | 58.810 | -1,98 | 8,54 | -10.160 | 502.108 | |
2020-09-21 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -10.000 | 60.000 | -14,29 | 8,61 | -86.140 | 516.840 | |
2020-07-09 | 3 | PEO |
ADAMS NATURAL RESOURCES FUND, INC.
Common Stock |
62.492 | ||||||||
2020-07-09 | 3 | PEO |
ADAMS NATURAL RESOURCES FUND, INC.
Common Stock |
62.492 | ||||||||
2020-07-09 | 3 | PEO |
ADAMS NATURAL RESOURCES FUND, INC.
Common Stock |
62.492 | ||||||||
2020-07-09 | 3 | PEO |
ADAMS NATURAL RESOURCES FUND, INC.
Common Stock |
62.492 | ||||||||
2020-07-09 | 3 | PEO |
ADAMS NATURAL RESOURCES FUND, INC.
Common Stock |
62.492 | ||||||||
2020-06-10 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock Series B |
P - Purchase | 1.000 | 3.200 | 45,45 | 25,25 | 25.250 | 80.800 | |
2020-03-06 |
|
4 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
P - Purchase | 586 | 19.889 | 3,04 | 9,79 | 5.734 | 194.626 | |
2020-03-03 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.000 | 1.064 | 1.562,50 | 7,75 | 7.750 | 8.246 | |
2020-03-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND
3.50% Convertible Preferred Stock Series B |
P - Purchase | 1.000 | 2.200 | 83,33 | 25,60 | 25.600 | 56.320 | |
2020-03-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND
Common Stock |
P - Purchase | 1.000 | 5.921 | 20,32 | 13,25 | 13.250 | 78.453 | |
2020-03-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock Series B |
P - Purchase | 1.000 | 2.200 | 83,33 | 25,60 | 25.600 | 56.320 | |
2020-03-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
P - Purchase | 1.000 | 5.921 | 20,32 | 13,25 | 13.250 | 78.453 | |
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-12-06 | 3 | TLI |
WESTERN ASSET CORPORATE LOAN FUND INC.
Common Stock |
15.606 | ||||||||
2019-10-18 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -107 | 0 | -100,00 | 8,46 | -906 | ||
2019-04-22 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
S - Sale | -457.400 | 1.086 | -99,76 | 14,68 | -6.712.436 | 15.937 | |
2019-04-22 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
S - Sale | -39.782 | 458.486 | -7,98 | 14,68 | -584.095 | 6.731.675 | |
2019-04-22 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
S - Sale | -39.111 | 498.268 | -7,28 | 14,68 | -574.149 | 7.314.574 | |
2019-04-22 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
J - Other | -96.742 | 537.379 | -15,26 | ||||
2019-03-27 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
S - Sale | -220.000 | 106 | -99,95 | 9,25 | -2.035.000 | 980 | |
2019-03-27 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 70.000 | 70.000 | 9,25 | 647.500 | 647.500 | ||
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -1.247.106 | 220.106 | -85,00 | 9,25 | -11.535.730 | 2.035.980 | |
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -933 | 0 | -100,00 | 9,25 | -8.630 | ||
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -933 | 0 | -100,00 | 9,25 | -8.630 | ||
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -3.123 | 0 | -100,00 | 9,25 | -28.888 | ||
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -6.241 | 0 | -100,00 | 9,25 | -57.729 | ||
2019-03-20 |
|
4 | PCF |
HIGH INCOME SECURITIES FUND
Common Stock |
D - Sale to Issuer | -1.247.106 | 220.106 | -85,00 | 9,25 | -11.535.730 | 2.035.980 | |
2019-01-04 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
J - Other | -104.660 | 0 | -100,00 | ||||
2019-01-04 |
|
4 | DTLA PR |
Brookfield DTLA Fund Office Trust Investor Inc.
7.625% Series A Cumulative Redeemable Preferred Stock |
J - Other | -200.936 | 0 | -100,00 | ||||
2018-11-23 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
D - Sale to Issuer | -1.095 | 64 | -94,48 | 7,86 | -8.607 | 503 | |
2018-11-23 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
D - Sale to Issuer | -1.782.348 | 104.660 | -94,45 | 7,86 | -14.009.255 | 822.628 | |
2018-10-23 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
J - Other | 367 | 1.159 | 46,34 | ||||
2018-10-23 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
J - Other | 598.378 | 1.887.008 | 46,44 | ||||
2018-10-09 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 600 | 634.121 | 0,09 | 13,35 | 8.010 | 8.465.515 | |
2018-10-09 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 13.348 | 633.521 | 2,15 | 13,41 | 179.051 | 8.498.114 | |
2018-10-05 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 17.720 | 620.173 | 2,94 | 13,36 | 236.775 | 8.286.752 | |
2018-10-05 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.000 | 602.453 | 1,52 | 13,59 | 122.348 | 8.189.867 | |
2018-10-03 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 8.353 | 593.453 | 1,43 | 13,62 | 113.759 | 8.082.177 | |
2018-10-03 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 1.110 | 585.100 | 0,19 | 13,61 | 15.107 | 7.963.152 | |
2018-10-03 |
|
4 | DTLA PR |
Brookfield DTLA Fund Office Trust Investor Inc.
7.625% Series A Cumulative Redeemable Preferred Stock |
J - Other | -46.050 | 200.936 | -18,64 | ||||
2018-10-03 |
|
4 | DTLA PR |
Brookfield DTLA Fund Office Trust Investor Inc.
7.625% Series A Cumulative Redeemable Preferred Stock |
P - Purchase | 1.155 | 246.986 | 0,47 | 24,79 | 28.635 | 6.123.425 | |
2018-10-01 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
J - Other | -149.565 | 583.990 | -20,39 | ||||
2018-10-01 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 100 | 733.555 | 0,01 | 13,50 | 1.350 | 9.902.992 | |
2018-09-26 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 2.200 | 733.455 | 0,30 | 13,44 | 29.579 | 9.861.302 | |
2018-09-26 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 300 | 731.255 | 0,04 | 13,45 | 4.034 | 9.833.917 | |
2018-08-31 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 12.200 | 730.955 | 1,70 | 13,80 | 168.348 | 10.086.448 | |
2018-08-31 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 6.408 | 718.755 | 0,90 | 13,80 | 88.418 | 9.917.381 | |
2018-08-29 |
|
4 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 8.200 | 712.347 | 1,16 | 13,76 | 112.832 | 9.801.895 | |
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
1.415.169 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
717.397 | ||||||||
2018-08-27 | 3 | AKP |
ALLIANCE CALIFORNIA MUNICIPAL INCOME FUND
Common Stock |
711.522 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
2.935.355 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.469.077 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
2.935.355 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.469.077 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
2.935.355 | ||||||||
2018-06-29 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.469.077 | ||||||||
2018-06-08 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
J - Other | -54.549 | 1.288.630 | -4,06 | ||||
2018-06-07 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
J - Other | -90.422 | 1.467.199 | -5,81 | ||||
2018-02-21 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 5.700 | 1.343.179 | 0,43 | 12,74 | 72.608 | 17.109.683 | |
2018-02-21 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 500 | 792 | 171,23 | 12,84 | 6.422 | 10.173 | |
2018-02-14 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 7.400 | 1.337.479 | 0,56 | 12,35 | 91.390 | 16.517.866 | |
2018-02-14 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 3.800 | 1.330.079 | 0,29 | 12,35 | 46.943 | 16.430.865 | |
2018-02-07 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 6.442 | 1.326.279 | 0,49 | 12,88 | 82.970 | 17.081.943 | |
2018-02-06 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 100 | 1.557.621 | 0,01 | 9,00 | 900 | 14.018.589 | |
2018-02-05 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.353 | 1.319.837 | 0,10 | 13,40 | 18.129 | 17.684.232 | |
2018-02-02 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 8.700 | 1.557.521 | 0,56 | 9,18 | 79.881 | 14.300.691 | |
2018-02-02 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 15.248 | 1.548.821 | 0,99 | 9,12 | 139.025 | 14.121.530 | |
2018-02-01 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 5.042 | 1.318.484 | 0,38 | 13,45 | 67.820 | 17.734.928 | |
2018-01-31 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 428 | 933 | 84,75 | 9,12 | 3.904 | 8.511 | |
2018-01-31 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.123 | 3.123 | 56,15 | 9,12 | 10.244 | 28.489 | |
2018-01-31 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.241 | 17.013 | 15,17 | 9,12 | 20.443 | 155.196 | |
2018-01-31 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 505 | 505 | 9,17 | 4.629 | 4.629 | ||
2018-01-29 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.358 | 1.533.573 | 0,22 | 9,19 | 30.844 | 14.086.175 | |
2018-01-23 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 4.000 | 1.530.215 | 0,26 | 9,09 | 36.355 | 13.907.665 | |
2018-01-23 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 16.103 | 1.313.442 | 1,24 | 13,15 | 211.790 | 17.274.652 | |
2018-01-19 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 41.643 | 1.526.215 | 2,81 | 9,10 | 378.947 | 13.888.404 | |
2018-01-19 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 218.600 | 1.484.572 | 17,27 | 9,10 | 1.989.129 | 13.508.714 | |
2018-01-17 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 10.500 | 1.265.972 | 0,84 | 9,11 | 95.686 | 11.536.803 | |
2018-01-17 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.250 | 1.255.472 | 0,26 | 9,08 | 29.505 | 11.397.803 | |
2018-01-12 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 292 | 292 | 12,92 | 3.773 | 3.773 | ||
2018-01-12 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 4.920 | 1.252.222 | 0,39 | 9,10 | 44.772 | 11.395.220 | |
2018-01-12 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.417 | 1.247.302 | 0,11 | 9,12 | 12.923 | 11.375.394 | |
2018-01-10 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 8.230 | 1.297.339 | 0,64 | 12,92 | 106.373 | 16.768.107 | |
2018-01-10 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.752 | 1.289.109 | 0,14 | 12,94 | 22.662 | 16.674.754 | |
2018-01-05 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 200 | 1.245.885 | 0,02 | 9,06 | 1.812 | 11.287.718 | |
2018-01-05 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 5.533 | 1.287.357 | 0,43 | 12,87 | 71.235 | 16.574.078 | |
2018-01-05 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 3.950 | 1.281.824 | 0,31 | 12,79 | 50.532 | 16.398.118 | |
2018-01-03 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.332 | 1.277.874 | 0,10 | 12,74 | 16.968 | 16.278.581 | |
2017-12-29 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 14.036 | 1.276.542 | 1,11 | 12,66 | 177.672 | 16.158.852 | |
2017-12-29 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 19.600 | 1.262.506 | 1,58 | 12,63 | 247.548 | 15.945.451 | |
2017-12-26 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.189 | 1.245.685 | 0,18 | 8,97 | 19.635 | 11.173.545 | |
2017-12-26 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 7.235 | 1.242.906 | 0,59 | 12,57 | 90.935 | 15.621.837 | |
2017-12-21 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 3.163 | 1.235.671 | 0,26 | 12,41 | 39.253 | 15.334.677 | |
2017-12-21 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 3.300 | 1.232.508 | 0,27 | 12,55 | 41.428 | 15.472.659 | |
2017-12-20 | 3 | NONE |
Brookfield DTLA Fund Office Trust Investor Inc.
7.625% Series A Cumulative Redeemable Preferred Stock |
491.662 | ||||||||
2017-12-20 | 3 | NONE |
Brookfield DTLA Fund Office Trust Investor Inc.
7.625% Series A Cumulative Redeemable Preferred Stock |
491.662 | ||||||||
2017-12-07 |
|
4 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
S - Sale | -1.713 | 21.107 | -7,51 | 7,85 | -13.447 | 165.690 | |
2017-12-07 |
|
4 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
S - Sale | -877 | 1.875 | -31,87 | 7,85 | -6.884 | 14.719 | |
2017-12-01 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 2.873 | 1.229.208 | 0,23 | 12,70 | 36.485 | 15.609.835 | |
2017-12-01 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 2.283 | 1.226.335 | 0,19 | 12,66 | 28.896 | 15.521.599 | |
2017-11-24 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 13.060 | 1.224.052 | 1,08 | 12,60 | 164.492 | 15.417.057 | |
2017-11-21 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.164 | 1.243.496 | 0,26 | 8,94 | 28.284 | 11.115.859 | |
2017-11-17 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.150 | 1.240.332 | 0,09 | 8,86 | 10.192 | 10.992.566 | |
2017-11-17 |
|
4 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
P - Purchase | 1.394 | 1.210.992 | 0,12 | 12,34 | 17.206 | 14.947.032 | |
2017-11-15 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 11.600 | 1.239.182 | 0,94 | 8,89 | 103.118 | 11.015.708 | |
2017-11-15 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 7.000 | 1.227.582 | 0,57 | 8,92 | 62.451 | 10.951.996 | |
2017-11-13 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 8.400 | 1.220.582 | 0,69 | 8,92 | 74.912 | 10.885.272 | |
2017-11-13 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 13.208 | 1.212.182 | 1,10 | 8,94 | 118.057 | 10.834.846 | |
2017-11-13 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 4.299 | 1.198.974 | 0,36 | 8,97 | 38.562 | 10.754.797 | |
2017-11-13 |
|
4 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
S - Sale | -1.521 | 22.820 | -6,25 | 8,86 | -13.471 | 202.117 | |
2017-11-13 |
|
4 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
S - Sale | -779 | 2.752 | -22,06 | 8,86 | -6.900 | 24.374 | |
2017-11-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.527 | 1.194.675 | 0,30 | 9,00 | 31.743 | 10.752.075 | |
2017-11-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.033 | 1.191.148 | 0,26 | 8,99 | 27.267 | 10.708.421 | |
2017-11-01 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 7.609 | 1.188.115 | 0,64 | 8,95 | 68.094 | 10.632.560 | |
2017-10-30 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.788 | 1.180.506 | 0,24 | 8,92 | 24.869 | 10.530.114 | |
2017-10-30 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 16.645 | 1.177.718 | 1,43 | 8,92 | 148.442 | 10.503.007 | |
2017-10-26 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 6.505 | 1.161.073 | 0,56 | 8,90 | 57.894 | 10.333.550 | |
2017-10-26 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.996 | 1.154.568 | 0,26 | 8,95 | 26.814 | 10.333.384 | |
2017-10-24 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.100 | 1.151.572 | 0,10 | 8,92 | 9.817 | 10.277.204 | |
2017-10-24 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.700 | 1.150.472 | 0,15 | 8,98 | 15.266 | 10.331.239 | |
2017-10-20 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 300 | 1.148.772 | 0,03 | 8,97 | 2.691 | 10.304.485 | |
2017-10-20 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 400 | 1.148.472 | 0,03 | 8,95 | 3.580 | 10.278.824 | |
2017-10-13 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 28.546 | 1.148.072 | 2,55 | 8,91 | 254.416 | 10.232.192 | |
2017-10-13 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 7.339 | 1.119.526 | 0,66 | 8,92 | 65.464 | 9.986.172 | |
2017-10-10 |
|
4 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
S - Sale | -27.181 | 917.955 | -2,88 | 8,99 | -244.333 | 8.251.589 | |
2017-09-19 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 22.517 | 845.368 | 2,74 | 4,86 | 109.484 | 4.110.433 | |
2017-09-14 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 8.108 | 1.112.187 | 0,73 | 8,75 | 70.976 | 9.735.863 | |
2017-09-14 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 800 | 1.104.079 | 0,07 | 8,75 | 7.000 | 9.660.691 | |
2017-09-12 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.000 | 2.000 | 100,00 | 8,75 | 8.750 | 17.500 | |
2017-09-12 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.000 | 14.772 | 15,66 | 8,75 | 17.500 | 129.255 | |
2017-09-12 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 18.200 | 1.103.279 | 1,68 | 8,71 | 158.518 | 9.609.339 | |
2017-09-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 2.504 | 1.085.079 | 0,23 | 8,69 | 21.760 | 9.429.337 | |
2017-09-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.400 | 1.082.575 | 0,13 | 8,69 | 12.168 | 9.409.092 | |
2017-09-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.000 | 1.000 | 8,69 | 8.689 | 8.689 | ||
2017-09-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Sock |
P - Purchase | 2.000 | 12.772 | 18,57 | 8,69 | 17.378 | 110.976 | |
2017-09-08 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 32.371 | 1.081.175 | 3,09 | 8,68 | 281.142 | 9.390.005 | |
2017-09-01 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
J - Other | -32.371 | 1.059.576 | -2,96 | ||||
2017-09-01 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
J - Other | -22.517 | 822.851 | -2,66 | ||||
2017-08-24 | 3 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
2.419.196 | ||||||||
2017-08-24 | 3 | SWZ |
SWISS HELVETIA FUND, INC.
Common Stock |
2.419.196 | ||||||||
2017-08-21 |
|
4 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
J - Other | -400 | 0 | -100,00 | 22.437,50 | -8.975.000 | ||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
1.918.144 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
976.539 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
997.349 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
1.918.144 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
976.539 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
997.349 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
1.918.144 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
976.539 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
997.349 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
1.918.144 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
976.539 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
997.349 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
1.918.144 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
976.539 | ||||||||
2017-08-21 | 3 | CH |
ABERDEEN CHILE FUND, INC.
Common Stock |
997.349 | ||||||||
2017-08-11 |
|
4/A | EMGC |
EMERGENT CAPITAL, INC.
Warrants (right to buy) purchase Common Stock |
A - Award | 640.000 | 640.000 | |||||
2017-08-11 |
|
4/A | EMGC |
EMERGENT CAPITAL, INC.
Warrants (right to buy) purchase Common Stock |
A - Award | 960.000 | 960.000 | |||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
8.50% Senior Unsecured Convertible Notes due 2019 |
J - Other | 980.078 | ||||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
5.00% Senior Unsecured Convertible Notes due 2023 |
J - Other | 3.435.885 | ||||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
8.50% Senior Unsecured Convertible Notes due 2019 |
J - Other | 0 | ||||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
Warrants (right to buy) purchase Common Stock |
A - Award | 730.093 | 730.093 | |||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
Warrants (right to buy) purchase Common Stock |
A - Award | 869.907 | 869.907 | |||||
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
Common Stock |
A - Award | 1.693.671 | 3.501.179 | 93,70 | 0,20 | 338.734 | 700.236 | |
2017-08-01 |
|
4 | EMGC |
EMERGENT CAPITAL, INC.
Common Stock |
A - Award | 3.629.201 | 5.854.070 | 163,12 | 0,20 | 725.840 | 1.170.814 | |
2017-07-11 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 15.500 | 1.408.152 | 1,11 | 7,96 | 123.380 | 11.208.890 | |
2017-06-29 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 15.500 | 1.392.652 | 1,13 | 7,94 | 123.067 | 11.057.378 | |
2017-06-29 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 59.500 | 1.377.152 | 4,52 | 7,93 | 471.835 | 10.920.815 | |
2017-06-27 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 7.775 | 1.317.652 | 0,59 | 7,94 | 61.734 | 10.462.157 | |
2017-06-27 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.825 | 1.309.877 | 0,52 | 7,94 | 54.190 | 10.400.423 | |
2017-06-23 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 20.000 | 1.303.052 | 1,56 | 7,95 | 158.924 | 10.354.312 | |
2017-06-22 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 20.200 | 1.726.574 | 1,18 | 9,53 | 192.494 | 16.453.214 | |
2017-06-22 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 25.000 | 1.706.374 | 1,49 | 9,54 | 238.492 | 16.278.296 | |
2017-06-21 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 19.100 | 1.283.052 | 1,51 | 7,95 | 151.767 | 10.195.003 | |
2017-06-21 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 9.100 | 1.263.952 | 0,73 | 7,95 | 72.345 | 10.048.418 | |
2017-06-19 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 3.700 | 1.681.374 | 0,22 | 9,51 | 35.196 | 15.993.902 | |
2017-06-15 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.800 | 1.254.852 | 0,22 | 7,95 | 22.260 | 9.976.073 | |
2017-06-14 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 50.000 | 1.677.674 | 3,07 | 9,53 | 476.500 | 15.988.233 | |
2017-06-13 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 7.500 | 845.368 | 0,90 | 19,82 | 148.650 | 16.755.194 | |
2017-06-12 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 500 | 1.252.052 | 0,04 | 7,95 | 3.975 | 9.953.813 | |
2017-06-09 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 250.000 | 1.627.674 | 18,15 | 9,53 | 2.382.500 | 15.511.733 | |
2017-06-08 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 11.525 | 1.251.552 | 0,93 | 7,95 | 91.624 | 9.949.838 | |
2017-06-08 |
|
4 | XRDC |
CROSSROADS CAPITAL, INC.
Common Stock |
P - Purchase | 28.479 | 826.327 | 3,57 | 2,17 | 61.799 | 1.793.130 | |
2017-06-08 |
|
4 | XRDC |
CROSSROADS CAPITAL, INC.
Common Stock |
S - Sale | -28.479 | 797.848 | -3,45 | 2,17 | -61.799 | 1.731.330 | |
2017-06-07 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 500 | 1.377.674 | 0,04 | 9,52 | 4.760 | 13.115.456 | |
2017-06-07 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 100.000 | 1.377.174 | 7,83 | 9,54 | 954.000 | 13.138.240 | |
2017-06-05 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 25.000 | 837.868 | 3,08 | 19,69 | 492.250 | 16.497.621 | |
2017-06-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.912 | 1.240.027 | 0,32 | 7,95 | 31.098 | 9.857.595 | |
2017-05-31 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 50.000 | 812.868 | 6,55 | 19,67 | 983.500 | 15.989.114 | |
2017-05-30 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 13 | 1.236.115 | 0,00 | 7,94 | 103 | 9.814.753 | |
2017-05-30 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 8.334 | 1.236.102 | 0,68 | 7,94 | 66.172 | 9.814.650 | |
2017-05-26 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 762.868 | 1,33 | 19,60 | 195.982 | 14.950.840 | |
2017-05-25 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.238 | 1.227.768 | 0,10 | 7,94 | 9.830 | 9.748.478 | |
2017-05-25 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 5.400 | 1.226.530 | 0,44 | 7,96 | 42.984 | 9.763.179 | |
2017-05-24 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 20.000 | 752.868 | 2,73 | 19,62 | 392.398 | 14.771.195 | |
2017-05-24 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 732.868 | 1,38 | 19,74 | 197.412 | 14.467.694 | |
2017-05-24 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 722.868 | 1,40 | 19,74 | 197.400 | 14.269.414 | |
2017-05-23 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.700 | 1.221.130 | 0,55 | 7,96 | 53.332 | 9.720.195 | |
2017-05-23 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.964 | 1.214.430 | 0,33 | 7,95 | 31.513 | 9.654.597 | |
2017-05-19 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 15.661 | 1.210.466 | 1,31 | 7,95 | 124.505 | 9.623.205 | |
2017-05-19 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 12.248 | 1.194.805 | 1,04 | 7,96 | 97.493 | 9.510.528 | |
2017-05-19 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 2.100 | 712.868 | 0,30 | 19,66 | 41.286 | 14.014.985 | |
2017-05-18 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -15.510 | 927.037 | -1,65 | 8,69 | -134.773 | 8.055.395 | |
2017-05-18 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -65.998 | 942.547 | -6,54 | 8,75 | -577.482 | 8.247.286 | |
2017-05-17 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 7.700 | 1.182.557 | 0,66 | 7,91 | 60.886 | 9.350.833 | |
2017-05-17 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 400 | 1.174.857 | 0,03 | 7,95 | 3.180 | 9.340.113 | |
2017-05-17 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 710.768 | 1,43 | 19,66 | 196.556 | 13.970.572 | |
2017-05-17 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -18.464 | 1.008.545 | -1,80 | 8,77 | -161.903 | 8.843.528 | |
2017-05-17 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -51.701 | 1.027.009 | -4,79 | 8,74 | -451.748 | 8.973.697 | |
2017-05-15 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 21.572 | 700.768 | 3,18 | 19,42 | 418.833 | 13.605.831 | |
2017-05-11 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.821 | 1.174.457 | 0,58 | 7,90 | 53.885 | 9.277.975 | |
2017-05-11 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 7.381 | 1.167.636 | 0,64 | 7,90 | 58.303 | 9.223.157 | |
2017-05-10 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 12.500 | 679.196 | 1,87 | 19,01 | 237.625 | 12.911.516 | |
2017-05-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 13.970 | 1.160.255 | 1,22 | 7,90 | 110.350 | 9.164.970 | |
2017-05-05 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 900 | 1.146.285 | 0,08 | 7,90 | 7.110 | 9.055.652 | |
2017-05-05 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 600 | 1.277.174 | 0,05 | 9,06 | 5.436 | 11.571.196 | |
2017-05-05 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 25.000 | 1.276.574 | 2,00 | 9,08 | 227.000 | 11.591.292 | |
2017-05-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.341 | 1.145.385 | 0,12 | 7,87 | 10.554 | 9.014.180 | |
2017-05-02 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 6.396 | 1.251.574 | 0,51 | 8,96 | 57.308 | 11.214.103 | |
2017-05-01 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 666.696 | 1,52 | 19,05 | 190.500 | 12.700.559 | |
2017-04-26 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 656.696 | 1,55 | 18,63 | 186.300 | 12.234.246 | |
2017-04-26 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 10.000 | 1.245.178 | 0,81 | 8,78 | 87.800 | 10.932.663 | |
2017-04-21 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.300 | 1.144.044 | 0,20 | 7,85 | 18.055 | 8.980.745 | |
2017-04-21 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.300 | 1.141.744 | 0,55 | 7,84 | 49.392 | 8.951.273 | |
2017-04-20 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 10.000 | 1.235.178 | 0,82 | 8,61 | 86.101 | 10.635.006 | |
2017-04-19 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 5.203 | 1.135.444 | 0,46 | 7,84 | 40.792 | 8.901.881 | |
2017-04-19 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.496 | 1.130.241 | 0,22 | 7,84 | 19.569 | 8.861.089 | |
2017-04-19 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 20.000 | 646.696 | 3,19 | 18,24 | 364.720 | 11.793.148 | |
2017-04-19 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 9.880 | 626.696 | 1,60 | 18,46 | 182.385 | 11.568.808 | |
2017-04-17 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.523 | 1.127.745 | 0,14 | 7,84 | 11.940 | 8.841.521 | |
2017-04-14 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 10.500 | 1.225.178 | 0,86 | 8,63 | 90.604 | 10.572.061 | |
2017-04-14 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 10.000 | 1.214.678 | 0,83 | 8,52 | 85.200 | 10.349.057 | |
2017-04-13 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 616.816 | 1,65 | 18,45 | 184.500 | 11.380.255 | |
2017-04-13 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 606.816 | 1,68 | 18,41 | 184.100 | 11.171.483 | |
2017-04-13 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 895 | 1.126.222 | 0,08 | 7,84 | 7.017 | 8.829.580 | |
2017-04-13 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.616 | 1.125.327 | 0,32 | 7,84 | 28.349 | 8.822.564 | |
2017-04-12 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 432 | 1.204.678 | 0,04 | 8,47 | 3.659 | 10.203.623 | |
2017-04-12 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 7.000 | 1.204.246 | 0,58 | 8,51 | 59.570 | 10.248.133 | |
2017-04-06 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 11.361 | 596.816 | 1,94 | 18,40 | 209.042 | 10.981.414 | |
2017-04-04 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 4.559 | 1.197.246 | 0,38 | 8,79 | 40.093 | 10.528.940 | |
2017-04-04 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 5.803 | 1.192.687 | 0,49 | 8,78 | 50.931 | 10.467.856 | |
2017-04-04 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 81.599 | 585.455 | 16,19 | 18,40 | 1.501.413 | 10.772.313 | |
2017-04-04 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 2.000 | 503.856 | 0,40 | 18,26 | 36.528 | 9.202.426 | |
2017-03-30 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 200 | 1.186.884 | 0,02 | 8,67 | 1.734 | 10.290.284 | |
2017-03-30 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 22.500 | 1.186.684 | 1,93 | 8,66 | 194.850 | 10.276.683 | |
2017-03-30 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 15.000 | 501.856 | 3,08 | 18,43 | 276.450 | 9.249.206 | |
2017-03-28 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 25.500 | 1.164.184 | 2,24 | 8,70 | 221.845 | 10.128.168 | |
2017-03-28 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 2.000 | 486.856 | 0,41 | 18,27 | 36.535 | 8.893.642 | |
2017-03-28 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 484.856 | 2,11 | 18,37 | 183.700 | 8.906.805 | |
2017-03-24 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.300 | 1.121.711 | 0,21 | 7,71 | 17.742 | 8.652.766 | |
2017-03-24 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 4.300 | 1.138.684 | 0,38 | 8,62 | 37.072 | 9.816.936 | |
2017-03-24 | 3 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
800 | ||||||||
2017-03-24 | 3 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
800 | ||||||||
2017-03-24 | 3 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
800 | ||||||||
2017-03-24 | 3 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
800 | ||||||||
2017-03-24 | 3 | PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST
Auction Rate Preferred Series B and C |
800 | ||||||||
2017-03-23 |
|
4 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
P - Purchase | 10.000 | 474.856 | 2,15 | 18,24 | 182.410 | 8.661.848 | |
2017-03-23 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
S - Sale | -2.636.634 | 1.553.860 | -62,92 | 4,87 | -12.842.253 | 7.568.386 | |
2017-03-23 | 3 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
929.712 | ||||||||
2017-03-23 | 3 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
929.712 | ||||||||
2017-03-23 | 3 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
929.712 | ||||||||
2017-03-23 | 3 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
929.712 | ||||||||
2017-03-23 | 3 | JFC |
JPMORGAN CHINA REGION FUND, INC.
Common Stock |
929.712 | ||||||||
2017-03-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 7.557 | 1.119.411 | 0,68 | 7,73 | 58.407 | 8.651.704 | |
2017-03-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.900 | 1.111.854 | 0,35 | 7,74 | 30.186 | 8.605.750 | |
2017-03-22 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 403 | 1.134.384 | 0,04 | 8,64 | 3.482 | 9.801.078 | |
2017-03-22 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 503 | 1.133.981 | 0,04 | 8,65 | 4.353 | 9.813.472 | |
2017-03-14 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 12.500 | 1.133.478 | 1,12 | 8,19 | 102.375 | 9.283.185 | |
2017-03-10 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 1.400 | 1.120.978 | 0,13 | 8,06 | 11.284 | 9.035.083 | |
2017-03-10 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.000 | 1.107.954 | 0,54 | 7,85 | 47.100 | 8.697.439 | |
2017-03-08 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 4.201 | 1.101.954 | 0,38 | 7,87 | 33.062 | 8.672.378 | |
2017-03-08 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.100 | 1.097.753 | 0,28 | 7,87 | 24.397 | 8.639.316 | |
2017-03-08 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 25.402 | 1.119.578 | 2,32 | 8,17 | 207.527 | 9.146.616 | |
2017-03-08 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 25.000 | 1.094.176 | 2,34 | 8,09 | 202.250 | 8.851.884 | |
2017-03-02 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 50.000 | 1.069.176 | 4,91 | 8,24 | 412.000 | 8.810.010 | |
2017-03-02 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 5.300 | 1.019.176 | 0,52 | 8,23 | 43.603 | 8.384.761 | |
2017-02-23 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 50.000 | 1.013.872 | 5,19 | 8,30 | 415.000 | 8.415.138 | |
2017-02-23 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 7.500 | 963.872 | 0,78 | 8,25 | 61.862 | 7.950.305 | |
2017-02-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.000 | 1.094.653 | 0,18 | 7,83 | 15.652 | 8.566.754 | |
2017-02-21 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 23.600 | 956.372 | 2,53 | 8,16 | 192.576 | 7.803.996 | |
2017-02-21 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 37.446 | 932.772 | 4,18 | 8,21 | 307.432 | 7.658.058 | |
2017-02-21 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 1.200 | 895.326 | 0,13 | 8,21 | 9.851 | 7.349.910 | |
2017-02-16 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 7.400 | 894.126 | 0,83 | 8,20 | 60.675 | 7.331.207 | |
2017-02-14 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 48.900 | 886.726 | 5,84 | 8,18 | 400.002 | 7.253.419 | |
2017-02-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 9.600 | 1.092.653 | 0,89 | 7,78 | 74.683 | 8.500.294 | |
2017-02-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.574 | 1.083.053 | 0,24 | 7,78 | 20.037 | 8.430.809 | |
2017-02-09 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 3.500 | 1.091.947 | 0,32 | 8,50 | 29.750 | 9.281.550 | |
2017-02-09 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 4.084 | 1.088.447 | 0,38 | 8,50 | 34.730 | 9.256.044 | |
2017-02-09 |
|
4 | KEF |
KOREA EQUITY FUND INC
Common Stock |
P - Purchase | 50.000 | 837.826 | 6,35 | 8,14 | 407.000 | 6.819.904 | |
2017-02-09 | 3 | KEF |
KOREA EQUITY FUND INC
Common Stock |
1.575.652 | ||||||||
2017-02-09 | 3 | KEF |
KOREA EQUITY FUND INC
Common Stock |
1.575.652 | ||||||||
2017-02-09 | 3 | KEF |
KOREA EQUITY FUND INC
Common Stock |
1.575.652 | ||||||||
2017-02-09 | 3 | KEF |
KOREA EQUITY FUND INC
Common Stock |
1.575.652 | ||||||||
2017-02-09 | 3 | KEF |
KOREA EQUITY FUND INC
Common Stock |
1.575.652 | ||||||||
2017-02-07 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 1.790 | 1.084.363 | 0,17 | 8,48 | 15.186 | 9.199.519 | |
2017-02-07 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 57.736 | 1.082.573 | 5,63 | 8,44 | 487.384 | 9.138.648 | |
2017-02-06 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 154 | 1.080.479 | 0,01 | 7,76 | 1.195 | 8.380.735 | |
2017-02-06 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.774 | 1.080.325 | 0,63 | 7,75 | 52.498 | 8.372.411 | |
2017-02-03 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 9.658 | 1.024.837 | 0,95 | 8,43 | 81.424 | 8.640.093 | |
2017-02-03 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 8.511 | 1.015.179 | 0,85 | 8,41 | 71.569 | 8.536.640 | |
2017-02-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 8.811 | 1.073.551 | 0,83 | 7,77 | 68.479 | 8.343.638 | |
2017-02-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 10.810 | 1.064.740 | 1,03 | 7,76 | 83.833 | 8.257.165 | |
2017-02-01 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 21.744 | 1.006.668 | 2,21 | 8,38 | 182.208 | 8.435.576 | |
2017-02-01 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 10.068 | 984.924 | 1,03 | 8,38 | 84.374 | 8.254.057 | |
2017-01-31 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 5.300 | 1.053.930 | 0,51 | 7,78 | 41.231 | 8.198.943 | |
2017-01-30 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 10.508 | 974.856 | 1,09 | 8,47 | 89.042 | 8.260.637 | |
2017-01-30 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 8.410 | 964.348 | 0,88 | 8,42 | 70.805 | 8.119.039 | |
2017-01-30 |
|
4 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
P - Purchase | 24.900 | 955.938 | 2,67 | 8,42 | 209.658 | 8.048.998 | |
2017-01-30 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.862.076 | ||||||||
2017-01-30 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.862.076 | ||||||||
2017-01-30 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.862.076 | ||||||||
2017-01-30 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.862.076 | ||||||||
2017-01-30 | 3 | PCF |
PUTNAM HIGH INCOME SECURITIES FUND
Common Stock |
1.862.076 | ||||||||
2017-01-27 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.100 | 1.048.630 | 0,20 | 7,75 | 16.279 | 8.128.875 | |
2017-01-27 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 973 | 1.046.530 | 0,09 | 7,72 | 7.511 | 8.078.374 | |
2017-01-27 | 3 | SCZ |
Cushing Renaissance Fund
Common Stock |
915.100 | ||||||||
2017-01-27 | 3 | SCZ |
Cushing Renaissance Fund
Common Stock |
915.100 | ||||||||
2017-01-27 | 3 | SCZ |
Cushing Renaissance Fund
Common Stock |
915.100 | ||||||||
2017-01-27 | 3 | SCZ |
Cushing Renaissance Fund
Common Stock |
915.100 | ||||||||
2017-01-27 | 3 | SCZ |
Cushing Renaissance Fund
Common Stock |
915.100 | ||||||||
2016-12-16 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.780 | 1.045.557 | 0,17 | 7,20 | 12.815 | 7.527.279 | |
2016-12-16 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
S - Sale | -45.096 | 4.295.140 | -1,04 | 5,30 | -238.806 | 22.744.914 | |
2016-12-15 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
S - Sale | -73.483 | 4.340.236 | -1,66 | 5,32 | -390.790 | 23.081.809 | |
2016-12-15 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
S - Sale | -17.651 | 4.413.719 | -0,40 | 5,35 | -94.419 | 23.609.866 | |
2016-12-14 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 4.349 | 1.043.777 | 0,42 | 7,19 | 31.281 | 7.507.470 | |
2016-12-14 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.167 | 1.039.428 | 0,60 | 7,20 | 44.399 | 7.483.362 | |
2016-12-12 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.267 | 1.179.781 | 0,11 | 13,13 | 16.635 | 15.489.935 | |
2016-12-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 4.895 | 1.033.261 | 0,48 | 7,12 | 34.860 | 7.358.368 | |
2016-12-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 6.574 | 1.028.366 | 0,64 | 7,13 | 46.892 | 7.335.335 | |
2016-12-08 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.327 | 1.178.514 | 0,11 | 13,13 | 17.423 | 15.473.182 | |
2016-12-07 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 10.616 | 1.021.792 | 1,05 | 7,10 | 75.336 | 7.251.147 | |
2016-12-07 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 4.959 | 1.011.176 | 0,49 | 7,11 | 35.258 | 7.189.461 | |
2016-12-07 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 5.761 | 1.006.217 | 0,58 | 7,09 | 40.849 | 7.134.682 | |
2016-12-06 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.940 | 1.177.187 | 0,17 | 13,28 | 25.763 | 15.632.690 | |
2016-12-06 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 8.890 | 1.175.247 | 0,76 | 13,18 | 117.161 | 15.488.580 | |
2016-12-05 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.668 | 1.000.456 | 0,37 | 7,08 | 25.965 | 7.081.928 | |
2016-12-05 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.650 | 996.788 | 0,17 | 7,08 | 11.685 | 7.058.854 | |
2016-12-02 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 6.377 | 1.166.357 | 0,55 | 13,08 | 83.439 | 15.260.965 | |
2016-12-02 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.802 | 1.159.980 | 0,16 | 13,06 | 23.538 | 15.152.007 | |
2016-12-01 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 40 | 995.138 | 0,00 | 7,05 | 282 | 7.015.723 | |
2016-12-01 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 500 | 995.098 | 0,05 | 7,00 | 3.500 | 6.965.686 | |
2016-11-30 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 4.230 | 1.158.178 | 0,37 | 12,88 | 54.474 | 14.914.900 | |
2016-11-30 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 7.848 | 1.153.948 | 0,68 | 12,99 | 101.951 | 14.990.592 | |
2016-11-29 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.295 | 994.598 | 0,23 | 7,03 | 16.124 | 6.987.648 | |
2016-11-29 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 9.154 | 992.303 | 0,93 | 6,97 | 63.763 | 6.911.986 | |
2016-11-28 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 7.635 | 1.146.100 | 0,67 | 13,05 | 99.630 | 14.955.574 | |
2016-11-25 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 3.342 | 983.149 | 0,34 | 7,00 | 23.380 | 6.877.815 | |
2016-11-25 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 501 | 979.807 | 0,05 | 7,05 | 3.532 | 6.907.639 | |
2016-11-23 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 3.478 | 1.138.465 | 0,31 | 13,05 | 45.392 | 14.858.448 | |
2016-11-23 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.877 | 1.134.987 | 0,17 | 13,00 | 24.401 | 14.754.831 | |
2016-11-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 2.734 | 979.306 | 0,28 | 6,96 | 19.022 | 6.813.717 | |
2016-11-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 1.707 | 976.572 | 0,18 | 6,92 | 11.812 | 6.757.878 | |
2016-11-21 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.704 | 1.133.110 | 0,15 | 12,90 | 21.975 | 14.612.473 | |
2016-11-16 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.950 | 1.131.406 | 0,17 | 12,86 | 25.071 | 14.546.148 | |
2016-11-16 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 7.434 | 1.129.456 | 0,66 | 12,88 | 95.778 | 14.551.685 | |
2016-11-15 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 8.035 | 974.865 | 0,83 | 6,71 | 53.952 | 6.545.829 | |
2016-11-15 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 300 | 966.830 | 0,03 | 6,72 | 2.017 | 6.500.288 | |
2016-11-15 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
1.933.060 | ||||||||
2016-11-15 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
1.933.060 | ||||||||
2016-11-15 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
1.933.060 | ||||||||
2016-11-15 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
1.933.060 | ||||||||
2016-11-15 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
1.933.060 | ||||||||
2016-11-14 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 10.274 | 1.122.022 | 0,92 | 13,06 | 134.178 | 14.653.607 | |
2016-11-14 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 14.082 | 1.111.748 | 1,28 | 13,05 | 183.832 | 14.513.203 | |
2016-11-09 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 2.255 | 1.097.666 | 0,21 | 13,01 | 29.327 | 14.275.476 | |
2016-11-09 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 3.314 | 1.095.411 | 0,30 | 13,05 | 43.244 | 14.294.018 | |
2016-11-07 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 3.083 | 1.092.097 | 0,28 | 12,98 | 40.018 | 14.175.637 | |
2016-11-07 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 4.692 | 1.089.014 | 0,43 | 13,07 | 61.339 | 14.236.898 | |
2016-11-03 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 6.580 | 1.084.322 | 0,61 | 12,99 | 85.469 | 14.084.475 | |
2016-11-03 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 1.362 | 1.077.742 | 0,13 | 13,19 | 17.965 | 14.215.956 | |
2016-11-01 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -10.436 | 964.292 | -1,07 | 7,01 | -73.156 | 6.759.687 | |
2016-11-01 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 3.508 | 1.076.380 | 0,33 | 13,26 | 46.520 | 14.273.875 | |
2016-11-01 |
|
4 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
P - Purchase | 4.184 | 1.072.872 | 0,39 | 13,40 | 56.048 | 14.372.086 | |
2016-11-01 | 3 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
2.137.376 | ||||||||
2016-11-01 | 3 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
2.137.376 | ||||||||
2016-11-01 | 3 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
2.137.376 | ||||||||
2016-11-01 | 3 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
2.137.376 | ||||||||
2016-11-01 | 3 | CTF |
Nuveen Long/Short Commodity Total Return Fund
Common Stock |
2.137.376 | ||||||||
2016-10-31 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -139 | 633 | -18,01 | 15,61 | -2.170 | 9.881 | |
2016-10-31 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -951 | 4.336 | -17,99 | 15,61 | -14.845 | 67.685 | |
2016-10-31 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
D - Sale to Issuer | -1.079 | 4.921 | -17,98 | 15,61 | -16.843 | 76.817 | |
2016-10-21 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 300 | 1.951.679 | 0,02 | 8,86 | 2.658 | 17.291.876 | |
2016-10-21 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 10.900 | 1.951.379 | 0,56 | 8,89 | 96.901 | 17.347.759 | |
2016-10-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.500 | 1.940.479 | 0,08 | 9,11 | 13.670 | 17.684.167 | |
2016-10-04 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 15.004 | 1.938.979 | 0,78 | 9,10 | 136.595 | 17.652.271 | |
2016-09-30 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 18.049 | 2.194.974 | 0,83 | 11,89 | 214.570 | 26.094.290 | |
2016-09-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.524 | 1.923.975 | 0,24 | 9,05 | 40.955 | 17.417.361 | |
2016-09-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 20.700 | 1.919.451 | 1,09 | 9,02 | 186.714 | 17.313.448 | |
2016-09-26 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 39.426 | 1.898.751 | 2,12 | 9,07 | 357.550 | 17.219.583 | |
2016-09-26 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 65.780 | 1.859.325 | 3,67 | 9,08 | 597.210 | 16.880.626 | |
2016-09-23 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 1.043 | 2.176.925 | 0,05 | 11,97 | 12.485 | 26.057.792 | |
2016-09-23 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 50.100 | 2.175.882 | 2,36 | 11,85 | 593.820 | 25.790.077 | |
2016-09-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 55.000 | 1.793.545 | 3,16 | 9,00 | 495.038 | 16.143.160 | |
2016-09-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 34.240 | 1.738.545 | 2,01 | 9,00 | 308.033 | 15.640.472 | |
2016-09-21 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 1.000 | 2.125.782 | 0,05 | 11,78 | 11.781 | 25.043.838 | |
2016-09-20 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 9.795 | 1.704.305 | 0,58 | 8,96 | 87.798 | 15.276.708 | |
2016-09-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 11.200 | 2.124.782 | 0,53 | 11,65 | 130.492 | 24.756.048 | |
2016-09-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 14.300 | 2.113.582 | 0,68 | 11,74 | 167.875 | 24.812.396 | |
2016-09-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 32.453 | 4.190.476 | 0,78 | 4,51 | 146.516 | 18.918.742 | |
2016-09-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 41.954 | 4.158.023 | 1,02 | 4,54 | 190.467 | 18.877.009 | |
2016-09-14 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 640 | 1.694.510 | 0,04 | 9,07 | 5.805 | 15.370.731 | |
2016-09-14 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 1.004 | 2.099.282 | 0,05 | 11,71 | 11.756 | 24.580.493 | |
2016-09-14 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.017 | 2.098.278 | 0,34 | 12,04 | 84.480 | 25.261.798 | |
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock, Series B |
X - Other | 156 | 156 | 25,00 | 3.900 | 3.900 | ||
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock, Series B |
X - Other | 966 | 966 | 25,00 | 24.150 | 24.150 | ||
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.50% Convertible Preferred Stock, Series B |
X - Other | 1.200 | 1.200 | 25,00 | 30.000 | 30.000 | ||
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
X - Other | -156 | 0 | -100,00 | ||||
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
X - Other | -966 | 0 | -100,00 | ||||
2016-09-13 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
X - Other | -1.200 | 0 | -100,00 | ||||
2016-09-12 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -12.866 | 974.728 | -1,30 | 7,22 | -92.894 | 7.037.634 | |
2016-09-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 36.369 | 4.116.069 | 0,89 | 4,59 | 167.112 | 18.912.925 | |
2016-09-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 101.268 | 4.079.069 | 2,55 | 4,66 | 471.635 | 18.997.448 | |
2016-09-09 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.300 | 2.091.261 | 0,35 | 12,29 | 89.690 | 25.693.860 | |
2016-09-09 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 14.200 | 2.083.961 | 0,69 | 12,26 | 174.058 | 25.544.360 | |
2016-09-08 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 56.478 | 3.978.432 | 1,44 | 4,67 | 263.950 | 18.593.202 | |
2016-09-07 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -1.017 | 987.594 | -0,10 | 7,24 | -7.363 | 7.150.181 | |
2016-09-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.546 | 1.693.870 | 0,15 | 9,19 | 23.397 | 15.565.988 | |
2016-09-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.000 | 1.691.324 | 0,06 | 9,16 | 9.160 | 15.492.528 | |
2016-09-07 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 37.634 | 2.069.761 | 1,85 | 12,22 | 459.737 | 25.284.200 | |
2016-09-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -2.849 | 988.611 | -0,29 | 7,22 | -20.574 | 7.139.155 | |
2016-09-02 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -2.385 | 991.460 | -0,24 | 7,22 | -17.220 | 7.158.341 | |
2016-09-02 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 30.149 | 2.032.127 | 1,51 | 12,13 | 365.777 | 24.654.374 | |
2016-08-31 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -1.121 | 993.845 | -0,11 | 7,22 | -8.094 | 7.175.561 | |
2016-08-31 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -2.532 | 994.966 | -0,25 | 7,22 | -18.286 | 7.185.744 | |
2016-08-31 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 28.253 | 2.001.978 | 1,43 | 12,17 | 343.960 | 24.372.681 | |
2016-08-31 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 17.204 | 1.973.725 | 0,88 | 12,16 | 209.135 | 23.992.996 | |
2016-08-31 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.400 | 1.690.324 | 0,08 | 9,11 | 12.754 | 15.398.852 | |
2016-08-31 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 14.240 | 1.688.924 | 0,85 | 9,13 | 129.981 | 15.416.329 | |
2016-08-29 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 700 | 1.956.521 | 0,04 | 12,13 | 8.489 | 23.726.926 | |
2016-08-29 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.400 | 1.955.821 | 0,38 | 12,13 | 89.743 | 23.719.024 | |
2016-08-29 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 4.800 | 459.250 | 1,06 | 16,59 | 79.615 | 7.617.304 | |
2016-08-29 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 3.632 | 454.450 | 0,81 | 16,53 | 60.019 | 7.509.832 | |
2016-08-25 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 3.440 | 450.818 | 0,77 | 16,50 | 56.743 | 7.436.288 | |
2016-08-25 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 4.849 | 1.948.421 | 0,25 | 12,15 | 58.933 | 23.680.524 | |
2016-08-25 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 15.320 | 1.943.572 | 0,79 | 12,18 | 186.533 | 23.664.544 | |
2016-08-24 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 40.000 | 1.674.684 | 2,45 | 9,13 | 365.208 | 15.290.200 | |
2016-08-24 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 18.688 | 1.634.688 | 1,16 | 9,10 | 169.984 | 14.868.959 | |
2016-08-23 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.381 | 1.928.252 | 0,12 | 12,08 | 28.763 | 23.293.670 | |
2016-08-23 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.710 | 1.925.871 | 0,14 | 12,05 | 32.668 | 23.215.412 | |
2016-08-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 8.353 | 1.615.996 | 0,52 | 9,10 | 76.012 | 14.705.564 | |
2016-08-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.393 | 1.607.643 | 0,15 | 9,11 | 21.800 | 14.645.628 | |
2016-08-22 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 1.700 | 447.378 | 0,38 | 16,35 | 27.790 | 7.313.243 | |
2016-08-22 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 1.216 | 445.678 | 0,27 | 16,41 | 19.957 | 7.314.467 | |
2016-08-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.202 | 1.923.161 | 0,43 | 12,12 | 99.416 | 23.310.634 | |
2016-08-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 6.899 | 1.914.959 | 0,36 | 12,10 | 83.453 | 23.164.110 | |
2016-08-18 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 6.000 | 444.462 | 1,37 | 16,14 | 96.848 | 7.174.239 | |
2016-08-18 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 1.028 | 438.462 | 0,24 | 16,20 | 16.655 | 7.103.742 | |
2016-08-17 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 300 | 1.605.250 | 0,02 | 9,13 | 2.739 | 14.655.932 | |
2016-08-16 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 18.200 | 3.921.954 | 0,47 | 4,61 | 83.949 | 18.090.405 | |
2016-08-16 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 15.061 | 3.903.754 | 0,39 | 4,61 | 69.412 | 17.991.231 | |
2016-08-16 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 16.300 | 1.908.060 | 0,86 | 12,18 | 198.492 | 23.235.210 | |
2016-08-16 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 6.635 | 1.891.760 | 0,35 | 12,14 | 80.540 | 22.963.318 | |
2016-08-16 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 4.350 | 437.434 | 1,00 | 16,13 | 70.185 | 7.057.735 | |
2016-08-16 |
|
4 | SZC |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 110 | 433.084 | 0,03 | 15,97 | 1.757 | 6.916.351 | |
2016-08-15 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.345 | 1.604.950 | 0,27 | 9,09 | 39.475 | 14.581.131 | |
2016-08-12 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 3.000 | 1.885.125 | 0,16 | 12,11 | 36.330 | 22.828.864 | |
2016-08-12 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 107 | 1.882.125 | 0,01 | 12,09 | 1.294 | 22.754.891 | |
2016-08-12 |
|
4 | DCA |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 1.880 | 432.974 | 0,44 | 15,84 | 29.774 | 6.857.009 | |
2016-08-12 |
|
4 | DCA |
Cushing Renaissance Fund
Common Stock |
P - Purchase | 1.000 | 431.094 | 0,23 | 15,63 | 15.634 | 6.739.939 | |
2016-08-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 4.216 | 3.888.693 | 0,11 | 4,60 | 19.383 | 17.878.655 | |
2016-08-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 12.600 | 3.884.477 | 0,33 | 4,57 | 57.597 | 17.756.721 | |
2016-08-12 | 3 | SZC |
Cushing Renaissance Fund
Common Stock |
860.188 | ||||||||
2016-08-12 | 3 | SZC |
Cushing Renaissance Fund
Common Stock |
860.188 | ||||||||
2016-08-12 | 3 | SZC |
Cushing Renaissance Fund
Common Stock |
860.188 | ||||||||
2016-08-12 | 3 | SZC |
Cushing Renaissance Fund
Common Stock |
860.188 | ||||||||
2016-08-12 | 3 | SZC |
Cushing Renaissance Fund
Common Stock |
860.188 | ||||||||
2016-08-11 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.110 | 1.600.605 | 0,07 | 9,07 | 10.068 | 14.517.487 | |
2016-08-11 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.700 | 1.599.495 | 0,11 | 9,09 | 15.460 | 14.545.808 | |
2016-08-10 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 32.369 | 3.871.877 | 0,84 | 4,57 | 147.871 | 17.687.896 | |
2016-08-10 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 31.565 | 3.893.508 | 0,82 | 4,56 | 143.829 | 17.741.159 | |
2016-08-10 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 17.452 | 1.882.018 | 0,94 | 12,06 | 210.536 | 22.704.101 | |
2016-08-10 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 17.952 | 1.864.566 | 0,97 | 12,03 | 215.884 | 22.422.525 | |
2016-08-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -6.351 | 997.498 | -0,63 | 7,15 | -45.410 | 7.132.111 | |
2016-08-09 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 73.274 | 1.597.795 | 4,81 | 9,07 | 664.251 | 14.484.491 | |
2016-08-09 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 300 | 1.524.521 | 0,02 | 9,05 | 2.715 | 13.796.915 | |
2016-08-08 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 43.200 | 3.807.943 | 1,15 | 4,55 | 196.720 | 17.340.230 | |
2016-08-08 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 32.300 | 3.764.743 | 0,87 | 4,57 | 147.611 | 17.204.876 | |
2016-08-08 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 16.300 | 1.846.614 | 0,89 | 11,96 | 195.016 | 22.093.259 | |
2016-08-08 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 14.600 | 1.830.314 | 0,80 | 11,88 | 173.435 | 21.742.483 | |
2016-08-05 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -6.792 | 1.003.849 | -0,67 | 7,12 | -48.359 | 7.147.405 | |
2016-08-05 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -6.785 | 1.010.641 | -0,67 | 7,12 | -48.309 | 7.195.764 | |
2016-08-05 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 3.000 | 1.524.221 | 0,20 | 9,00 | 27.001 | 13.718.446 | |
2016-08-05 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 6.045 | 1.521.221 | 0,40 | 9,00 | 54.403 | 13.690.533 | |
2016-08-04 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 21.994 | 1.815.714 | 1,23 | 11,87 | 261.159 | 21.559.970 | |
2016-08-04 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 13.396 | 1.793.720 | 0,75 | 11,87 | 159.033 | 21.294.506 | |
2016-08-03 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 17.636 | 3.732.443 | 0,47 | 4,60 | 81.044 | 17.152.069 | |
2016-08-03 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.659 | 1.515.176 | 0,18 | 8,96 | 23.826 | 13.576.583 | |
2016-08-03 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.901 | 1.512.517 | 0,19 | 9,04 | 26.236 | 13.678.901 | |
2016-08-02 |
|
4 | HIL |
Hill International, Inc.
Common Stock |
P - Purchase | 946 | 29.212 | 3,35 | 4,23 | 4.002 | 123.567 | |
2016-08-02 |
|
4 | HIL |
Hill International, Inc.
Common Stock |
P - Purchase | 4.054 | 28.266 | 16,74 | 4,23 | 17.148 | 119.565 | |
2016-08-01 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 900 | 1.780.324 | 0,05 | 12,11 | 10.903 | 21.567.557 | |
2016-08-01 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 10.100 | 1.779.424 | 0,57 | 12,10 | 122.259 | 21.539.750 | |
2016-07-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.442 | 1.509.616 | 0,16 | 9,06 | 22.136 | 13.684.518 | |
2016-07-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 7.833 | 1.507.174 | 0,52 | 9,07 | 71.038 | 13.668.712 | |
2016-07-28 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -9.710 | 1.017.426 | -0,95 | 7,18 | -69.765 | 7.310.104 | |
2016-07-28 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -7.617 | 1.027.136 | -0,74 | 7,20 | -54.842 | 7.395.379 | |
2016-07-27 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.100 | 1.769.324 | 0,12 | 12,12 | 25.449 | 21.442.084 | |
2016-07-27 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.376 | 1.767.224 | 0,13 | 12,09 | 28.726 | 21.365.738 | |
2016-07-26 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -10.150 | 1.034.753 | -0,97 | 7,20 | -73.082 | 7.450.429 | |
2016-07-26 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -9.029 | 1.044.903 | -0,86 | 7,28 | -65.731 | 7.606.894 | |
2016-07-26 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 11.700 | 1.499.341 | 0,79 | 9,05 | 105.865 | 13.566.487 | |
2016-07-25 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 12.231 | 1.764.848 | 0,70 | 12,11 | 148.071 | 21.365.603 | |
2016-07-25 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 12.239 | 1.752.617 | 0,70 | 12,07 | 147.695 | 21.149.881 | |
2016-07-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -3.205 | 1.053.932 | -0,30 | 7,28 | -23.332 | 7.672.625 | |
2016-07-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -900 | 1.057.137 | -0,09 | 7,25 | -6.525 | 7.664.243 | |
2016-07-22 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 17.600 | 3.714.807 | 0,48 | 4,60 | 81.036 | 17.104.086 | |
2016-07-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.500 | 1.487.641 | 0,10 | 9,20 | 13.795 | 13.681.388 | |
2016-07-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 7.800 | 1.486.141 | 0,53 | 9,24 | 72.056 | 13.728.971 | |
2016-07-21 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 25.751 | 1.740.378 | 1,50 | 12,09 | 311.255 | 21.036.123 | |
2016-07-21 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.873 | 1.714.627 | 0,52 | 12,03 | 106.703 | 20.619.418 | |
2016-07-20 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -4.918 | 1.058.037 | -0,46 | 7,23 | -35.558 | 7.649.819 | |
2016-07-20 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -3.057 | 1.062.955 | -0,29 | 7,22 | -22.072 | 7.674.535 | |
2016-07-20 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 600 | 1.478.341 | 0,04 | 9,22 | 5.532 | 13.630.304 | |
2016-07-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.359 | 1.705.754 | 0,43 | 12,09 | 88.998 | 20.628.877 | |
2016-07-19 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.800 | 1.698.395 | 0,46 | 12,06 | 94.098 | 20.489.267 | |
2016-07-19 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 18.448 | 3.697.207 | 0,50 | 4,56 | 84.123 | 16.859.264 | |
2016-07-18 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 3.800 | 1.477.741 | 0,26 | 9,19 | 34.919 | 13.579.258 | |
2016-07-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 19.600 | 3.678.759 | 0,54 | 4,56 | 89.382 | 16.776.245 | |
2016-07-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 35.100 | 3.659.159 | 0,97 | 4,55 | 159.775 | 16.656.492 | |
2016-07-15 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 10.075 | 1.690.595 | 0,60 | 12,09 | 121.760 | 20.431.517 | |
2016-07-15 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 14.994 | 1.680.520 | 0,90 | 12,00 | 180.001 | 20.174.475 | |
2016-07-14 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 10.000 | 1.473.941 | 0,68 | 9,13 | 91.294 | 13.456.197 | |
2016-07-14 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 3.163 | 1.463.941 | 0,22 | 9,16 | 28.962 | 13.404.576 | |
2016-07-13 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -4.424 | 1.066.012 | -0,41 | 7,21 | -31.894 | 7.685.200 | |
2016-07-13 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 19.194 | 3.624.059 | 0,53 | 4,56 | 87.525 | 16.525.709 | |
2016-07-13 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 38.358 | 3.604.865 | 1,08 | 4,54 | 174.264 | 16.377.262 | |
2016-07-13 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 15.192 | 1.665.526 | 0,92 | 12,00 | 182.269 | 19.982.481 | |
2016-07-13 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 23.724 | 1.650.334 | 1,46 | 11,88 | 281.791 | 19.602.502 | |
2016-07-12 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 20.500 | 1.460.778 | 1,42 | 9,07 | 185.935 | 13.249.256 | |
2016-07-11 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -8.813 | 1.070.436 | -0,82 | 7,18 | -63.277 | 7.685.730 | |
2016-07-11 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -13.120 | 1.079.120 | -1,20 | 7,15 | -93.808 | 7.715.708 | |
2016-07-11 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 10.900 | 1.626.610 | 0,67 | 11,76 | 128.135 | 19.121.614 | |
2016-07-11 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.900 | 1.615.710 | 0,49 | 11,59 | 91.555 | 18.724.786 | |
2016-07-06 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -1.654 | 1.092.369 | -0,15 | 7,08 | -11.712 | 7.734.956 | |
2016-07-06 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -300 | 1.094.023 | -0,03 | 7,15 | -2.145 | 7.822.264 | |
2016-07-05 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.800 | 1.440.278 | 0,19 | 8,97 | 25.106 | 12.914.109 | |
2016-07-05 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 1.700 | 1.607.810 | 0,11 | 11,51 | 19.575 | 18.513.450 | |
2016-07-01 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -700 | 1.094.323 | -0,06 | 7,14 | -4.998 | 7.813.466 | |
2016-07-01 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -409 | 1.095.023 | -0,04 | 7,13 | -2.918 | 7.812.880 | |
2016-06-30 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 10.100 | 1.606.110 | 0,63 | 11,43 | 115.440 | 18.357.355 | |
2016-06-30 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 5.500 | 1.596.010 | 0,35 | 11,22 | 61.701 | 17.904.519 | |
2016-06-28 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -100 | 1.095.432 | -0,01 | 7,11 | -711 | 7.788.522 | |
2016-06-28 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.100 | 1.590.510 | 0,51 | 11,38 | 92.167 | 18.097.777 | |
2016-06-27 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 17.248 | 1.437.478 | 1,21 | 8,98 | 154.830 | 12.903.809 | |
2016-06-24 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -2.608 | 1.095.532 | -0,24 | 7,18 | -18.714 | 7.861.209 | |
2016-06-24 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -6.933 | 1.098.140 | -0,63 | 7,17 | -49.708 | 7.873.334 | |
2016-06-24 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -3.951 | 1.105.073 | -0,36 | 7,18 | -28.368 | 7.934.424 | |
2016-06-23 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 5.270 | 1.420.230 | 0,37 | 8,91 | 46.951 | 12.652.971 | |
2016-06-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -2.766 | 1.109.024 | -0,25 | 7,16 | -19.807 | 7.941.610 | |
2016-06-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -12.470 | 1.111.790 | -1,11 | 7,16 | -89.257 | 7.957.859 | |
2016-06-22 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
S - Sale | -3.802 | 1.124.260 | -0,34 | 7,21 | -27.416 | 8.107.039 | |
2016-06-21 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 25.000 | 1.582.410 | 1,61 | 11,61 | 290.185 | 18.367.666 | |
2016-06-21 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 15.361 | 1.557.410 | 1,00 | 11,41 | 175.237 | 17.766.778 | |
2016-06-15 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 19.573 | 1.542.049 | 1,29 | 11,30 | 221.271 | 17.432.710 | |
2016-06-15 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 18.378 | 1.522.476 | 1,22 | 11,41 | 209.610 | 17.364.600 | |
2016-06-14 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 100 | 1.414.960 | 0,01 | 8,85 | 885 | 12.522.396 | |
2016-06-14 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.198 | 1.414.860 | 0,08 | 8,89 | 10.650 | 12.578.105 | |
2016-06-13 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.398 | 1.504.098 | 0,16 | 11,82 | 28.336 | 17.773.475 | |
2016-06-13 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 22.368 | 1.501.700 | 1,51 | 11,98 | 267.971 | 17.990.516 | |
2016-06-10 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 20.300 | 1.413.662 | 1,46 | 8,98 | 182.288 | 12.694.261 | |
2016-06-09 |
|
4 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
P - Purchase | 5.000 | 1.128.062 | 0,45 | 6,95 | 34.750 | 7.840.031 | |
2016-06-09 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 24.600 | 1.479.332 | 1,69 | 12,07 | 296.991 | 17.859.679 | |
2016-06-09 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.099 | 1.454.732 | 0,14 | 11,98 | 25.146 | 17.427.398 | |
2016-06-09 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
2.246.124 | ||||||||
2016-06-09 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
2.246.124 | ||||||||
2016-06-09 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
2.246.124 | ||||||||
2016-06-09 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
2.246.124 | ||||||||
2016-06-09 | 3 | PHF |
PACHOLDER HIGH YIELD FUND INC
Common Stock |
2.246.124 | ||||||||
2016-06-07 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 54.952 | 2.378.630 | 2,36 | 13,90 | 763.954 | 33.068.190 | |
2016-06-07 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 25.000 | 2.323.678 | 1,09 | 13,96 | 348.980 | 32.436.686 | |
2016-06-07 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 1.700 | 1.452.633 | 0,12 | 11,89 | 20.213 | 17.271.806 | |
2016-06-03 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 21.580 | 2.298.678 | 0,95 | 13,83 | 298.531 | 31.799.222 | |
2016-06-03 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 10.306 | 2.277.098 | 0,45 | 13,80 | 142.210 | 31.421.220 | |
2016-06-03 |
|
4 | EMG |
EMERGENT CAPITAL, INC.
Common Stock |
A - Award | 11.508 | 42.720 | 36,87 | ||||
2016-05-31 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.600 | 1.450.933 | 0,60 | 11,79 | 101.390 | 17.105.775 | |
2016-05-27 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 100 | 3.566.507 | 0,00 | 4,28 | 428 | 15.264.650 | |
2016-05-26 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 31.100 | 1.442.333 | 2,20 | 11,74 | 365.263 | 16.939.913 | |
2016-05-26 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 7.848 | 1.411.233 | 0,56 | 11,63 | 91.297 | 16.417.156 | |
2016-05-24 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 9.756 | 1.403.385 | 0,70 | 11,50 | 112.179 | 16.136.822 | |
2016-05-24 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 22.000 | 1.393.629 | 1,60 | 11,47 | 252.296 | 15.982.137 | |
2016-05-23 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 17.000 | 3.566.407 | 0,48 | 4,25 | 72.292 | 15.166.146 | |
2016-05-23 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 34.500 | 3.549.407 | 0,98 | 4,23 | 146.032 | 15.023.930 | |
2016-05-20 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.932 | 1.371.629 | 0,66 | 11,34 | 101.248 | 15.547.963 | |
2016-05-20 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 17.500 | 1.362.697 | 1,30 | 11,39 | 199.364 | 15.524.117 | |
2016-05-19 |
|
4 | HIL |
Hill International, Inc.
Common Stock |
P - Purchase | 6.300 | 24.212 | 35,17 | 3,83 | 24.129 | 92.732 | |
2016-05-19 | 3/A | HIL |
Hill International, Inc.
Common Stock |
2.793.921 | ||||||||
2016-05-19 | 3/A | HIL |
Hill International, Inc.
Common Stock |
17.912 | ||||||||
2016-05-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 700 | 2.266.792 | 0,03 | 14,08 | 9.852 | 31.905.097 | |
2016-05-18 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 81.097 | 3.514.907 | 2,36 | 4,29 | 348.060 | 15.085.629 | |
2016-05-18 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 57.799 | 3.433.810 | 1,71 | 4,30 | 248.478 | 14.761.949 | |
2016-05-16 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 10.700 | 3.376.011 | 0,32 | 4,28 | 45.839 | 14.462.831 | |
2016-05-16 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 83.267 | 3.365.311 | 2,54 | 4,31 | 358.614 | 14.493.721 | |
2016-05-12 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -3.767 | 1.078.710 | -0,35 | 8,21 | -30.945 | 8.861.387 | |
2016-05-12 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -130 | 1.082.477 | -0,01 | 8,43 | -1.096 | 9.125.281 | |
2016-05-11 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 18.267 | 3.282.044 | 0,56 | 4,30 | 78.466 | 14.098.020 | |
2016-05-11 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 6.200 | 3.263.777 | 0,19 | 4,26 | 26.412 | 13.903.690 | |
2016-05-11 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
P - Purchase | 15.387 | 4.431.370 | 0,35 | 5,35 | 82.314 | 23.706.057 | |
2016-05-11 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
P - Purchase | 33.580 | 4.415.983 | 0,77 | 5,35 | 179.549 | 23.611.820 | |
2016-05-10 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 19.545 | 2.266.092 | 0,87 | 13,98 | 273.147 | 31.669.316 | |
2016-05-09 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
P - Purchase | 18.552 | 4.382.403 | 0,43 | 5,31 | 98.515 | 23.271.436 | |
2016-05-09 |
|
4 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
P - Purchase | 11.043 | 4.363.851 | 0,25 | 5,27 | 58.194 | 22.996.622 | |
2016-05-06 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 23.191 | 3.257.577 | 0,72 | 4,28 | 99.190 | 13.932.983 | |
2016-05-06 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 21.561 | 3.234.386 | 0,67 | 4,26 | 91.912 | 13.787.864 | |
2016-05-05 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
S - Sale | -14.799 | 480.946 | -2,99 | 8,05 | -119.133 | 3.871.663 | |
2016-05-05 | 3 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
8.705.616 | ||||||||
2016-05-05 | 3 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
8.705.616 | ||||||||
2016-05-05 | 3 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
8.705.616 | ||||||||
2016-05-05 | 3 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
8.705.616 | ||||||||
2016-05-05 | 3 | NRO |
NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC
Common Stock |
8.705.616 | ||||||||
2016-05-04 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 49.889 | 3.212.825 | 1,58 | 4,28 | 213.380 | 13.741.574 | |
2016-05-04 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 17.103 | 3.162.936 | 0,54 | 4,28 | 73.249 | 13.546.222 | |
2016-04-29 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
S - Sale | -43.965 | 495.745 | -8,15 | 8,00 | -351.720 | 3.965.960 | |
2016-04-29 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 25.033 | 3.145.833 | 0,80 | 4,27 | 106.916 | 13.435.853 | |
2016-04-29 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 38.197 | 3.120.800 | 1,24 | 4,25 | 162.280 | 13.258.719 | |
2016-04-27 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
S - Sale | -6.323 | 539.710 | -1,16 | 8,01 | -50.619 | 4.320.702 | |
2016-04-27 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
S - Sale | -36.125 | 546.033 | -6,21 | 8,01 | -289.361 | 4.373.724 | |
2016-04-27 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
S - Sale | -7.665 | 582.158 | -1,30 | 7,98 | -61.138 | 4.643.409 | |
2016-04-27 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 4.900 | 3.082.603 | 0,16 | 4,23 | 20.734 | 13.043.726 | |
2016-04-27 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 5.702 | 3.077.703 | 0,19 | 4,21 | 23.994 | 12.950.974 | |
2016-04-27 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 65.857 | 2.246.547 | 3,02 | 13,44 | 885.118 | 30.193.592 | |
2016-04-25 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.900 | 2.180.690 | 0,23 | 13,50 | 66.129 | 29.429.938 | |
2016-04-22 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 19.734 | 1.393.362 | 1,44 | 8,86 | 174.863 | 12.346.581 | |
2016-04-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.447 | 2.175.790 | 0,39 | 13,62 | 115.033 | 29.630.343 | |
2016-04-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 10.688 | 2.167.343 | 0,50 | 13,76 | 147.094 | 29.828.058 | |
2016-04-21 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 29.990 | 3.073.001 | 0,99 | 4,28 | 128.435 | 13.160.434 | |
2016-04-21 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 7.150 | 3.043.011 | 0,24 | 4,27 | 30.550 | 13.001.873 | |
2016-04-20 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 200 | 1.345.197 | 0,01 | 11,01 | 2.202 | 14.810.619 | |
2016-04-20 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 2.700 | 1.344.997 | 0,20 | 10,92 | 29.484 | 14.687.367 | |
2016-04-19 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 1.200 | 3.035.861 | 0,04 | 4,19 | 5.022 | 12.706.293 | |
2016-04-18 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 48.058 | 1.373.628 | 3,63 | 8,72 | 419.075 | 11.978.311 | |
2016-04-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 898 | 3.034.661 | 0,03 | 4,16 | 3.736 | 12.624.190 | |
2016-04-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 19.100 | 3.033.763 | 0,63 | 4,15 | 79.292 | 12.594.364 | |
2016-04-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 45.848 | 3.014.663 | 1,54 | 4,13 | 189.302 | 12.447.242 | |
2016-04-12 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 7.800 | 2.968.815 | 0,26 | 4,10 | 31.991 | 12.176.298 | |
2016-04-08 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 7.200 | 2.961.015 | 0,24 | 4,08 | 29.341 | 12.066.432 | |
2016-04-08 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 14.000 | 2.953.815 | 0,48 | 4,18 | 58.547 | 12.352.559 | |
2016-04-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 200 | 1.325.570 | 0,02 | 8,60 | 1.720 | 11.399.902 | |
2016-04-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 11.129 | 1.325.370 | 0,85 | 8,55 | 95.108 | 11.326.612 | |
2016-04-06 |
|
4 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
P - Purchase | 8.135 | 1.342.297 | 0,61 | 10,81 | 87.931 | 14.508.888 | |
2016-04-06 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 21.000 | 2.939.815 | 0,72 | 4,16 | 87.463 | 12.244.035 | |
2016-04-06 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 78.757 | 2.918.815 | 2,77 | 4,20 | 330.567 | 12.251.142 | |
2016-04-04 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 39.300 | 2.840.058 | 1,40 | 4,19 | 164.557 | 11.891.891 | |
2016-04-04 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 20.286 | 2.800.758 | 0,73 | 4,22 | 85.686 | 11.830.122 | |
2016-04-04 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.321 | 1.314.241 | 0,33 | 8,62 | 37.241 | 11.326.917 | |
2016-04-04 | 3 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
2.668.324 | ||||||||
2016-04-04 | 3 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
2.668.324 | ||||||||
2016-04-04 | 3 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
2.668.324 | ||||||||
2016-04-04 | 3 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
2.668.324 | ||||||||
2016-04-04 | 3 | JGV |
Nuveen Global Equity Income Fund
Common Stock |
2.668.324 | ||||||||
2016-03-31 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 600 | 1.561.109 | 0,04 | 8,63 | 5.178 | 13.472.371 | |
2016-03-30 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 300 | 1.309.320 | 0,02 | 8,52 | 2.556 | 11.155.406 | |
2016-03-30 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 7.392 | 1.309.020 | 0,57 | 8,52 | 62.966 | 11.150.363 | |
2016-03-30 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 20.000 | 2.780.472 | 0,72 | 4,13 | 82.530 | 11.473.618 | |
2016-03-30 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 100.000 | 2.760.472 | 3,76 | 4,08 | 408.430 | 11.274.596 | |
2016-03-25 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 55.700 | 2.660.472 | 2,14 | 4,10 | 228.370 | 10.907.935 | |
2016-03-25 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 32.600 | 2.604.772 | 1,27 | 4,11 | 133.846 | 10.694.412 | |
2016-03-23 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 84.500 | 2.572.172 | 3,40 | 4,11 | 347.210 | 10.569.055 | |
2016-03-23 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 23.146 | 2.487.672 | 0,94 | 4,10 | 94.873 | 10.196.719 | |
2016-03-21 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 100.000 | 2.464.526 | 4,23 | 4,12 | 412.230 | 10.159.516 | |
2016-03-21 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 89.128 | 2.364.526 | 3,92 | 4,11 | 366.628 | 9.726.478 | |
2016-03-17 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 67.000 | 2.275.398 | 3,03 | 4,04 | 270.874 | 9.199.207 | |
2016-03-17 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 52.474 | 2.208.398 | 2,43 | 4,03 | 211.586 | 8.904.702 | |
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
6.340.612 | ||||||||
2016-03-16 | 3 | HIL |
Hill International, Inc.
Common Stock |
4.245.725 | ||||||||
2016-03-15 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 33.160 | 1.301.628 | 2,61 | 8,33 | 276.326 | 10.846.596 | |
2016-03-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 43.655 | 2.155.924 | 2,07 | 4,04 | 176.314 | 8.707.346 | |
2016-03-15 |
|
4 | DCA |
Virtus Total Return Fund
Common Stock |
P - Purchase | 10.316 | 2.112.269 | 0,49 | 4,05 | 41.731 | 8.544.762 | |
2016-03-11 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.302 | 1.268.468 | 0,18 | 8,22 | 18.922 | 10.426.553 | |
2016-03-11 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 8.700 | 1.266.166 | 0,69 | 8,20 | 71.310 | 10.378.256 | |
2016-03-11 | 3 | DCA |
Virtus Total Return Fund
Common Stock |
4.203.906 | ||||||||
2016-03-11 | 3 | DCA |
Virtus Total Return Fund
Common Stock |
4.203.906 | ||||||||
2016-03-11 | 3 | DCA |
Virtus Total Return Fund
Common Stock |
4.203.906 | ||||||||
2016-03-11 | 3 | DCA |
Virtus Total Return Fund
Common Stock |
4.203.906 | ||||||||
2016-03-11 | 3 | DCA |
Virtus Total Return Fund
Common Stock |
4.203.906 | ||||||||
2016-03-09 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.002 | 1.257.466 | 0,32 | 8,19 | 32.764 | 10.294.874 | |
2016-03-09 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 3.600 | 1.253.464 | 0,29 | 8,23 | 29.634 | 10.318.140 | |
2016-03-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 6.810 | 2.156.655 | 0,32 | 13,01 | 88.596 | 28.057.435 | |
2016-03-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 9.200 | 1.249.864 | 0,74 | 8,21 | 75.498 | 10.256.759 | |
2016-03-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.295 | 1.240.664 | 0,35 | 8,11 | 34.840 | 10.063.894 | |
2016-03-03 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 20.104 | 1.236.369 | 1,65 | 8,05 | 161.889 | 9.955.985 | |
2016-03-03 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 64.000 | 1.216.265 | 5,55 | 8,00 | 512.026 | 9.730.607 | |
2016-03-01 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 900 | 1.152.265 | 0,08 | 7,88 | 7.090 | 9.077.313 | |
2016-02-29 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 200 | 2.149.845 | 0,01 | 12,54 | 2.508 | 26.959.056 | |
2016-02-25 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 28.475 | 1.151.365 | 2,54 | 7,72 | 219.853 | 8.889.574 | |
2016-02-25 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.700 | 1.122.890 | 0,42 | 7,78 | 36.571 | 8.737.319 | |
2016-02-23 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 36.499 | 1.118.190 | 3,37 | 7,83 | 285.886 | 8.758.447 | |
2016-02-23 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 600 | 1.081.691 | 0,06 | 7,76 | 4.656 | 8.393.922 | |
2016-02-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.400 | 2.149.645 | 0,07 | 12,43 | 17.407 | 26.727.826 | |
2016-02-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 6.288 | 2.148.245 | 0,29 | 12,29 | 77.287 | 26.404.509 | |
2016-02-17 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 35.460 | 1.081.091 | 3,39 | 7,33 | 259.869 | 7.922.775 | |
2016-02-12 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 48.759 | 1.045.631 | 4,89 | 7,26 | 354.054 | 7.592.640 | |
2016-02-12 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 5.450 | 996.872 | 0,55 | 7,46 | 40.650 | 7.435.469 | |
2016-02-10 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 2.340 | 2.141.957 | 0,11 | 11,94 | 27.935 | 25.571.111 | |
2016-02-10 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 25.180 | 2.139.617 | 1,19 | 12,07 | 303.875 | 25.821.112 | |
2016-02-10 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 17.902 | 991.422 | 1,84 | 7,41 | 132.659 | 7.346.734 | |
2016-02-10 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 21.400 | 973.520 | 2,25 | 7,44 | 159.299 | 7.246.786 | |
2016-02-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 10.628 | 2.114.437 | 0,51 | 12,44 | 132.208 | 26.302.751 | |
2016-02-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 25.000 | 2.103.809 | 1,20 | 12,64 | 315.958 | 26.588.569 | |
2016-02-08 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.525 | 952.120 | 0,16 | 7,65 | 11.666 | 7.283.337 | |
2016-02-08 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 6.943 | 950.595 | 0,74 | 7,72 | 53.577 | 7.335.456 | |
2016-02-04 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
P - Purchase | 2.000 | 6.000 | 50,00 | 12,46 | 24.920 | 74.760 | |
2016-02-04 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 17.596 | 943.652 | 1,90 | 7,67 | 134.949 | 7.237.150 | |
2016-02-04 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 16.089 | 926.056 | 1,77 | 7,61 | 122.392 | 7.044.693 | |
2016-02-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 28.900 | 2.078.809 | 1,41 | 12,57 | 363.209 | 26.126.056 | |
2016-02-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 39.257 | 2.049.909 | 1,95 | 12,52 | 491.474 | 25.663.631 | |
2016-02-02 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.037 | 2.010.652 | 0,20 | 12,59 | 50.835 | 25.318.532 | |
2016-02-02 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.073 | 2.006.615 | 0,35 | 12,53 | 88.625 | 25.142.886 | |
2016-02-02 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.060 | 909.967 | 0,45 | 7,72 | 31.352 | 7.026.856 | |
2016-02-02 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 54.282 | 905.907 | 6,37 | 7,69 | 417.401 | 6.965.972 | |
2016-01-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 450 | 851.625 | 0,05 | 7,57 | 3.406 | 6.446.801 | |
2016-01-29 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 20.812 | 851.175 | 2,51 | 7,52 | 156.490 | 6.400.155 | |
2016-01-28 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.900 | 1.999.542 | 0,25 | 12,39 | 60.691 | 24.766.327 | |
2016-01-28 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 3.600 | 1.994.642 | 0,18 | 12,47 | 44.906 | 24.881.164 | |
2016-01-27 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 40.538 | 830.363 | 5,13 | 7,52 | 304.777 | 6.242.918 | |
2016-01-27 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 6.705 | 789.825 | 0,86 | 7,49 | 50.231 | 5.917.053 | |
2016-01-25 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.483 | 783.120 | 0,19 | 7,66 | 11.360 | 5.998.699 | |
2016-01-21 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 3.929 | 781.637 | 0,51 | 7,49 | 29.446 | 5.857.978 | |
2016-01-21 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.050 | 777.708 | 0,14 | 7,72 | 8.106 | 6.003.906 | |
2016-01-20 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -5.317 | 1.082.607 | -0,49 | 7,70 | -40.941 | 8.336.074 | |
2016-01-19 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 16.762 | 776.658 | 2,21 | 7,74 | 129.793 | 6.013.896 | |
2016-01-19 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.392 | 759.896 | 0,18 | 7,91 | 11.014 | 6.012.677 | |
2016-01-19 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.761 | 758.504 | 0,23 | 7,87 | 13.868 | 5.973.067 | |
2016-01-15 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -18.466 | 1.087.924 | -1,67 | 7,92 | -146.169 | 8.611.571 | |
2016-01-15 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -13.443 | 1.106.390 | -1,20 | 7,86 | -105.655 | 8.695.672 | |
2016-01-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.900 | 1.991.042 | 0,10 | 12,55 | 23.845 | 24.987.577 | |
2016-01-13 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 4.380 | 756.743 | 0,58 | 8,05 | 35.248 | 6.089.814 | |
2016-01-12 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.069 | 1.989.142 | 0,20 | 12,70 | 51.678 | 25.262.700 | |
2016-01-12 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 400 | 1.985.073 | 0,02 | 12,78 | 5.112 | 25.369.233 | |
2016-01-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 146 | 1.984.673 | 0,01 | 12,89 | 1.882 | 25.582.435 | |
2016-01-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.300 | 1.984.527 | 0,42 | 12,98 | 107.756 | 25.764.320 | |
2016-01-07 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 1.615 | 752.363 | 0,22 | 8,41 | 13.585 | 6.328.802 | |
2016-01-06 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.478 | 1.976.227 | 0,43 | 13,00 | 110.220 | 25.692.334 | |
2016-01-06 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 85 | 1.967.749 | 0,00 | 12,78 | 1.086 | 25.147.832 | |
2016-01-05 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 8.930 | 750.748 | 1,20 | 8,30 | 74.089 | 6.228.656 | |
2016-01-05 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 2.666 | 741.818 | 0,36 | 8,44 | 22.504 | 6.261.686 | |
2016-01-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.620 | 1.967.664 | 0,24 | 13,02 | 60.173 | 25.627.643 | |
2015-12-30 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.148 | 1.963.044 | 0,37 | 12,92 | 92.364 | 25.365.866 | |
2015-12-30 |
|
4 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
P - Purchase | 13.615 | 739.152 | 1,88 | 8,41 | 114.482 | 6.215.160 | |
2015-12-24 | 3 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
1.451.074 | ||||||||
2015-12-24 | 3 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
1.451.074 | ||||||||
2015-12-24 | 3 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
1.451.074 | ||||||||
2015-12-24 | 3 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
1.451.074 | ||||||||
2015-12-24 | 3 | FAV |
FIRST TRUST DIVIDEND & INCOME FUND
Common Stock |
1.451.074 | ||||||||
2015-12-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 20.062 | 1.955.896 | 1,04 | 12,75 | 255.760 | 24.934.740 | |
2015-12-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.200 | 1.935.834 | 0,06 | 12,67 | 15.204 | 24.527.017 | |
2015-12-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 2.500 | 1.934.634 | 0,13 | 12,66 | 31.650 | 24.492.466 | |
2015-12-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.483 | 1.932.134 | 0,23 | 12,70 | 56.939 | 24.540.420 | |
2015-12-17 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.701 | 1.927.651 | 0,40 | 12,68 | 97.621 | 24.435.675 | |
2015-12-17 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.008 | 1.919.950 | 0,21 | 12,60 | 50.484 | 24.183.114 | |
2015-12-10 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.000 | 1.915.942 | 0,05 | 12,67 | 12.670 | 24.274.985 | |
2015-12-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 264 | 1.914.942 | 0,01 | 12,69 | 3.350 | 24.300.614 | |
2015-12-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 100 | 1.914.678 | 0,01 | 12,76 | 1.276 | 24.431.291 | |
2015-12-08 |
|
4 | EMG |
EMERGENT CAPITAL, INC.
Common Stock |
J - Other | -44.385 | 1.807.508 | -2,40 | ||||
2015-12-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.196 | 1.914.578 | 0,06 | 12,59 | 15.058 | 24.104.537 | |
2015-12-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 9.921 | 1.913.382 | 0,52 | 12,92 | 128.150 | 24.715.155 | |
2015-12-02 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 2.082 | 1.903.461 | 0,11 | 12,94 | 26.940 | 24.629.834 | |
2015-11-24 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 191.098 | 1.901.379 | 11,17 | 12,73 | 2.432.678 | 24.204.555 | |
2015-11-24 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 27.897 | 1.710.281 | 1,66 | 12,73 | 355.266 | 21.780.258 | |
2015-11-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.598 | 1.682.384 | 0,51 | 12,59 | 108.232 | 21.178.018 | |
2015-11-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.212 | 1.673.786 | 0,49 | 12,48 | 102.450 | 20.881.652 | |
2015-11-05 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 300 | 1.665.571 | 0,02 | 13,07 | 3.921 | 21.769.013 | |
2015-11-05 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 100 | 1.665.271 | 0,01 | 13,02 | 1.302 | 21.681.828 | |
2015-11-02 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.300 | 1.665.171 | 0,50 | 12,99 | 107.802 | 21.627.574 | |
2015-10-29 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 15.716 | 1.656.871 | 0,96 | 13,02 | 204.572 | 21.567.158 | |
2015-10-29 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 5.079 | 1.641.155 | 0,31 | 13,00 | 66.041 | 21.339.446 | |
2015-10-28 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -17.766 | 1.119.833 | -1,56 | 8,77 | -155.817 | 9.821.495 | |
2015-10-28 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
S - Sale | -2.958 | 1.137.599 | -0,26 | 8,79 | -25.996 | 9.997.675 | |
2015-10-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.200 | 1.636.076 | 0,26 | 13,16 | 55.272 | 21.530.760 | |
2015-10-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.300 | 1.631.876 | 0,08 | 13,19 | 17.147 | 21.524.444 | |
2015-10-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 11.070 | 1.630.576 | 0,68 | 13,17 | 145.748 | 21.468.164 | |
2015-10-19 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 3.097 | 1.619.506 | 0,19 | 13,05 | 40.416 | 21.134.553 | |
2015-10-19 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 19.533 | 1.616.409 | 1,22 | 13,00 | 253.972 | 21.016.873 | |
2015-10-14 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 145 | 1.596.876 | 0,01 | 13,00 | 1.885 | 20.762.741 | |
2015-10-09 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 16.700 | 1.596.731 | 1,06 | 12,84 | 214.466 | 20.505.699 | |
2015-10-09 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.860 | 1.580.031 | 0,31 | 12,67 | 61.579 | 20.019.783 | |
2015-10-07 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 900 | 1.575.171 | 0,06 | 12,58 | 11.321 | 19.814.391 | |
2015-10-07 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 9.363 | 1.574.271 | 0,60 | 12,54 | 117.374 | 19.734.904 | |
2015-10-05 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 9.200 | 1.564.908 | 0,59 | 12,32 | 113.325 | 19.276.380 | |
2015-10-01 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
P - Purchase | 700 | 1.140.557 | 0,06 | 8,19 | 5.730 | 9.336.257 | |
2015-10-01 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
P - Purchase | 25.000 | 1.139.857 | 2,24 | 8,13 | 203.340 | 9.271.141 | |
2015-09-28 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
P - Purchase | 17.548 | 1.114.857 | 1,60 | 8,26 | 144.873 | 9.204.036 | |
2015-09-28 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 14.460 | 1.555.708 | 0,94 | 11,85 | 171.386 | 18.438.873 | |
2015-09-24 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
P - Purchase | 6.853 | 1.097.309 | 0,63 | 8,40 | 57.554 | 9.215.640 | |
2015-09-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.900 | 1.541.248 | 0,52 | 11,83 | 93.441 | 18.229.881 | |
2015-09-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 5.691 | 1.533.348 | 0,37 | 11,93 | 67.903 | 18.295.448 | |
2015-09-22 |
|
4 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
P - Purchase | 100 | 1.090.456 | 0,01 | 8,51 | 851 | 9.279.781 | |
2015-09-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 36.712 | 1.527.657 | 2,46 | 11,87 | 435.834 | 18.135.886 | |
2015-09-21 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 36.959 | 1.490.945 | 2,54 | 11,74 | 434.010 | 17.508.167 | |
2015-09-18 | 3 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
2.180.712 | ||||||||
2015-09-18 | 3 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
2.180.712 | ||||||||
2015-09-18 | 3 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
2.180.712 | ||||||||
2015-09-18 | 3 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
2.180.712 | ||||||||
2015-09-18 | 3 | LCM |
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FUND
Common Stock |
2.180.712 | ||||||||
2015-09-17 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 700 | 1.453.986 | 0,05 | 11,70 | 8.192 | 17.015.853 | |
2015-09-17 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 29.142 | 1.453.286 | 2,05 | 11,67 | 340.003 | 16.955.633 | |
2015-09-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 15.133 | 1.424.144 | 1,07 | 11,52 | 174.309 | 16.404.003 | |
2015-09-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.885 | 1.409.011 | 0,56 | 11,37 | 89.630 | 16.016.369 | |
2015-09-10 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 6.714 | 14.089 | 91,04 | 8,62 | 57.875 | 121.447 | |
2015-09-08 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 1.975 | 7.375 | 36,57 | 8,59 | 16.965 | 63.351 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 1.000 | 1.587.717 | 0,06 | 8,53 | 8.530 | 13.543.226 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 50.000 | 1.586.717 | 3,25 | 8,52 | 426.000 | 13.518.829 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 700 | 1.536.717 | 0,05 | 8,60 | 6.020 | 13.215.766 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 25.400 | 1.536.017 | 1,68 | 8,65 | 219.677 | 13.284.550 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 100.000 | 915.317 | 12,27 | 8,52 | 852.000 | 7.798.501 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 500.300 | 1.510.617 | 49,52 | 8,64 | 4.322.592 | 13.051.731 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 33.300 | 1.010.317 | 3,41 | 8,65 | 288.015 | 8.738.333 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 61.700 | 977.017 | 6,74 | 8,67 | 534.939 | 8.470.737 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 22.062 | 811.617 | 2,79 | 8,51 | 187.814 | 6.909.296 | |
2015-09-08 | 3/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
779.108 | ||||||||
2015-09-08 | 3/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
5.400 | ||||||||
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 3.700 | 815.317 | 0,46 | 8,52 | 31.508 | 6.942.995 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 6.730 | 789.555 | 0,86 | 8,49 | 57.141 | 6.703.717 | |
2015-09-08 |
|
4/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 3.717 | 782.825 | 0,48 | 8,45 | 31.409 | 6.614.871 | |
2015-08-26 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 1.000 | 1.593.117 | 0,06 | 8,53 | 8.530 | 13.589.288 | |
2015-08-26 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 50.000 | 1.592.117 | 3,24 | 8,52 | 426.000 | 13.564.837 | |
2015-08-19 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 700 | 1.542.117 | 0,05 | 8,60 | 6.020 | 13.262.206 | |
2015-08-19 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 25.400 | 1.541.417 | 1,68 | 8,65 | 219.677 | 13.331.253 | |
2015-08-13 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 5.800 | 1.401.126 | 0,42 | 12,38 | 71.794 | 17.343.558 | |
2015-08-12 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.852 | 1.395.326 | 0,64 | 12,40 | 109.759 | 17.301.066 | |
2015-07-29 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock, par value $0.001 per share |
1.652.654 | ||||||||
2015-07-29 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock, par value $0.001 per share |
1.652.654 | ||||||||
2015-07-24 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 500.300 | 1.516.017 | 49,26 | 8,64 | 4.322.592 | 13.098.387 | |
2015-07-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.321 | 1.386.474 | 0,31 | 12,30 | 53.159 | 17.057.096 | |
2015-07-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 97.726 | 1.382.153 | 7,61 | 12,36 | 1.207.893 | 17.083.411 | |
2015-07-23 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 6.953 | 1.284.427 | 0,54 | 12,38 | 86.110 | 15.907.115 | |
2015-07-22 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.500 | 559.507 | 0,63 | 14,05 | 49.192 | 7.863.759 | |
2015-07-21 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 33.300 | 1.015.717 | 3,39 | 8,65 | 288.015 | 8.785.038 | |
2015-07-21 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 61.700 | 982.417 | 6,70 | 8,67 | 534.939 | 8.517.555 | |
2015-07-20 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 10.951 | 556.007 | 2,01 | 14,06 | 153.960 | 7.816.902 | |
2015-07-20 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 109.734 | 545.056 | 25,21 | 14,03 | 1.539.568 | 7.647.136 | |
2015-07-17 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.445 | 1.277.474 | 0,59 | 12,24 | 91.139 | 15.638.453 | |
2015-07-16 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 10.622 | 435.322 | 2,50 | 13,98 | 148.516 | 6.086.629 | |
2015-07-16 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 100.000 | 920.717 | 12,18 | 8,52 | 852.000 | 7.844.509 | |
2015-07-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 11.200 | 1.270.029 | 0,89 | 12,20 | 136.603 | 15.490.163 | |
2015-07-13 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 1.000 | 826.327 | 0,12 | 4,60 | 4.600 | 3.801.104 | |
2015-07-13 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 10.000 | 825.327 | 1,23 | 4,78 | 47.820 | 3.946.714 | |
2015-07-13 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 3.700 | 820.717 | 0,45 | 8,52 | 31.508 | 6.988.980 | |
2015-07-09 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.027 | 424.700 | 2,17 | 14,16 | 127.777 | 6.011.628 | |
2015-07-09 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 22.062 | 817.017 | 2,78 | 8,51 | 187.814 | 6.955.266 | |
2015-07-09 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 400 | 815.327 | 0,05 | 4,62 | 1.848 | 3.766.811 | |
2015-07-09 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 178 | 814.927 | 0,02 | 4,69 | 836 | 3.825.593 | |
2015-07-09 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 18.834 | 1.258.829 | 1,52 | 12,04 | 226.784 | 15.157.812 | |
2015-07-07 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 6.730 | 794.955 | 0,85 | 8,49 | 57.141 | 6.749.565 | |
2015-07-07 |
|
4 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
P - Purchase | 3.717 | 788.225 | 0,47 | 8,45 | 31.409 | 6.660.501 | |
2015-07-07 | 3/A | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
784.508 | ||||||||
2015-07-02 | 3 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
1.565.470 | ||||||||
2015-07-02 | 3 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
1.565.470 | ||||||||
2015-07-02 | 3 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
1.565.470 | ||||||||
2015-07-02 | 3 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
1.565.470 | ||||||||
2015-07-02 | 3 | CMK |
MFS INTERMARKET INCOME TRUST I
Common Stock |
1.565.470 | ||||||||
2015-07-01 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 862 | 814.749 | 0,11 | 4,50 | 3.879 | 3.666.370 | |
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Subscription Rights (Rights to Buy) |
X - Other | -971.288 | 0 | -100,00 | ||||
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Subscription Rights (Rights to Buy) |
X - Other | -808.577 | 0 | -100,00 | ||||
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Subscription Rights (Rights to Buy) |
M - Exercise | -11.964 | 0 | -100,00 | ||||
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Common Stock |
X - Other | 971.288 | 2.224.869 | 77,48 | 5,75 | 5.584.906 | 12.792.997 | |
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Common Stock |
X - Other | 808.577 | 1.871.893 | 76,04 | 5,75 | 4.649.318 | 10.763.385 | |
2015-06-26 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Common Stock |
M - Exercise | 11.964 | 31.212 | 62,16 | 5,75 | 68.793 | 179.469 | |
2015-06-23 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 21.176 | 813.887 | 2,67 | 4,75 | 100.520 | 3.863.440 | |
2015-06-19 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 5.294 | 792.711 | 0,67 | 4,75 | 25.146 | 3.765.377 | |
2015-06-19 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 4.600 | 787.417 | 0,59 | 4,80 | 22.080 | 3.779.602 | |
2015-06-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 8.739 | 1.239.995 | 0,71 | 12,19 | 106.568 | 15.121.119 | |
2015-06-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 5.500 | 1.231.256 | 0,45 | 12,22 | 67.238 | 15.052.105 | |
2015-06-15 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 16.912 | 1.225.756 | 1,40 | 12,22 | 206.636 | 14.976.655 | |
2015-06-11 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 1.028 | 589.823 | 0,17 | 8,18 | 8.409 | 4.824.752 | |
2015-06-04 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 25.300 | 588.795 | 4,49 | 8,33 | 210.746 | 4.904.603 | |
2015-06-04 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 18.655 | 563.495 | 3,42 | 8,33 | 155.394 | 4.693.857 | |
2015-06-04 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 5.431 | 1.208.844 | 0,45 | 12,42 | 67.473 | 15.018.194 | |
2015-06-02 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 547 | 1.203.413 | 0,05 | 12,48 | 6.829 | 15.023.288 | |
2015-06-01 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 288 | 544.840 | 0,05 | 8,30 | 2.390 | 4.522.172 | |
2015-06-01 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 68.732 | 544.552 | 14,44 | 8,33 | 572.270 | 4.533.994 | |
2015-06-01 |
|
4 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
P - Purchase | 553 | 475.820 | 0,12 | 8,28 | 4.579 | 3.939.790 | |
2015-05-29 |
|
4 | IFT |
IMPERIAL HOLDINGS, INC.
Common Stock |
A - Award | 7.281 | 19.248 | 60,84 | ||||
2015-05-28 | 3 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
950.534 | ||||||||
2015-05-28 | 3 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
950.534 | ||||||||
2015-05-28 | 3 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
950.534 | ||||||||
2015-05-28 | 3 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
950.534 | ||||||||
2015-05-28 | 3 | LBF |
DEUTSCHE GLOBAL HIGH INCOME FUND, INC.
Common Stock |
950.534 | ||||||||
2015-05-20 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.800 | 1.202.866 | 0,15 | 12,69 | 22.834 | 15.259.077 | |
2015-05-20 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 11.333 | 1.201.066 | 0,95 | 12,68 | 143.722 | 15.231.559 | |
2015-05-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 6.948 | 1.189.733 | 0,59 | 12,69 | 88.171 | 15.097.831 | |
2015-05-18 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 12.874 | 1.182.785 | 1,10 | 12,57 | 161.821 | 14.867.134 | |
2015-05-14 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.831 | 1.169.911 | 0,41 | 12,51 | 60.432 | 14.634.651 | |
2015-05-14 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 100 | 782.817 | 0,01 | 5,10 | 510 | 3.992.367 | |
2015-05-14 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 2.351 | 782.717 | 0,30 | 5,10 | 11.990 | 3.991.857 | |
2015-05-12 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 13.804 | 1.165.080 | 1,20 | 12,58 | 173.671 | 14.658.104 | |
2015-05-12 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 12.500 | 1.151.276 | 1,10 | 12,67 | 158.321 | 14.581.716 | |
2015-05-12 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 3.158 | 780.366 | 0,41 | 5,10 | 16.102 | 3.979.008 | |
2015-05-12 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 800 | 777.208 | 0,10 | 5,10 | 4.080 | 3.963.761 | |
2015-05-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 7.435 | 1.138.776 | 0,66 | 13,38 | 99.517 | 15.242.517 | |
2015-05-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 4.300 | 1.131.341 | 0,38 | 12,28 | 52.795 | 13.890.379 | |
2015-05-07 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.397 | 415.673 | 0,82 | 13,82 | 46.947 | 5.744.601 | |
2015-05-04 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 20.419 | 776.408 | 2,70 | 5,10 | 104.133 | 3.959.526 | |
2015-04-27 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 8.538 | 755.989 | 1,14 | 5,02 | 42.839 | 3.793.099 | |
2015-04-24 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -7.918 | 580.825 | -1,34 | 15,29 | -121.061 | 8.880.408 | |
2015-04-24 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -6.693 | 588.743 | -1,12 | 15,26 | -102.146 | 8.985.160 | |
2015-04-23 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 4.389 | 747.451 | 0,59 | 5,00 | 21.945 | 3.737.255 | |
2015-04-23 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 16.122 | 743.062 | 2,22 | 5,02 | 80.874 | 3.727.496 | |
2015-04-22 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -5.273 | 595.436 | -0,88 | 15,16 | -79.916 | 9.024.249 | |
2015-04-22 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -3.478 | 600.709 | -0,58 | 15,11 | -52.547 | 9.075.692 | |
2015-04-21 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 2.697 | 726.940 | 0,37 | 5,00 | 13.485 | 3.634.700 | |
2015-04-21 |
|
4 | BDCV |
BDCA VENTURE, INC.
Common Stock |
P - Purchase | 4.100 | 724.243 | 0,57 | 5,00 | 20.500 | 3.621.143 | |
2015-04-14 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 9.500 | 1.127.041 | 0,85 | 12,95 | 122.982 | 14.590.109 | |
2015-04-13 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock |
1.440.286 | ||||||||
2015-04-13 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock |
1.440.286 | ||||||||
2015-04-13 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock |
1.440.286 | ||||||||
2015-04-13 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock |
1.440.286 | ||||||||
2015-04-13 | 3 | BDCV |
BDCA VENTURE, INC.
Common Stock |
1.440.286 | ||||||||
2015-04-08 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 31.839 | 1.117.541 | 2,93 | 13,24 | 421.650 | 14.799.819 | |
2015-04-06 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.058 | 412.276 | 0,75 | 13,93 | 42.608 | 5.744.324 | |
2015-04-03 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 19.800 | 1.085.702 | 1,86 | 13,10 | 259.455 | 14.226.822 | |
2015-04-03 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 3.700 | 1.065.902 | 0,35 | 13,04 | 48.253 | 13.900.854 | |
2015-04-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 400 | 409.218 | 0,10 | 13,94 | 5.576 | 5.704.499 | |
2015-04-01 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 1.541 | 1.062.202 | 0,15 | 13,02 | 20.066 | 13.831.038 | |
2015-04-01 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 100.000 | 1.060.661 | 10,41 | 13,04 | 1.303.720 | 13.828.050 | |
2015-03-31 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 732 | 408.818 | 0,18 | 13,90 | 10.175 | 5.682.570 | |
2015-03-31 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 2.621 | 408.086 | 0,65 | 13,90 | 36.428 | 5.671.742 | |
2015-03-30 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 25.000 | 960.661 | 2,67 | 12,94 | 323.482 | 12.430.281 | |
2015-03-30 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 6.300 | 935.661 | 0,68 | 12,94 | 81.543 | 12.110.541 | |
2015-03-27 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 2.017 | 405.465 | 0,50 | 13,90 | 28.031 | 5.634.990 | |
2015-03-27 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.506 | 403.448 | 1,13 | 13,89 | 62.603 | 5.605.224 | |
2015-03-26 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 9.682 | 929.361 | 1,05 | 13,22 | 127.996 | 12.286.152 | |
2015-03-26 |
|
4 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
P - Purchase | 50.050 | 919.679 | 5,76 | 13,23 | 662.111 | 12.166.433 | |
2015-03-24 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.304 | 398.942 | 1,09 | 13,82 | 59.489 | 5.514.136 | |
2015-03-20 | 3 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
1.739.258 | ||||||||
2015-03-20 | 3 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
1.739.258 | ||||||||
2015-03-20 | 3 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
1.739.258 | ||||||||
2015-03-20 | 3 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
1.739.258 | ||||||||
2015-03-20 | 3 | RIT |
LMP REAL ESTATE INCOME FUND INC.
Common Stock |
1.739.258 | ||||||||
2015-03-18 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.403 | 394.638 | 0,87 | 13,72 | 46.689 | 5.414.433 | |
2015-03-18 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.448 | 391.235 | 0,89 | 13,71 | 47.264 | 5.362.971 | |
2015-03-16 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.550 | 387.787 | 1,19 | 13,69 | 62.269 | 5.307.059 | |
2015-03-16 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.516 | 383.237 | 1,19 | 13,70 | 61.864 | 5.249.925 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 800 | 378.721 | 0,21 | 13,77 | 11.016 | 5.214.988 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 400 | 377.921 | 0,11 | 13,78 | 5.512 | 5.207.751 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.886 | 377.521 | 1,04 | 13,85 | 53.809 | 5.227.458 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 1.454 | 373.635 | 0,39 | 13,78 | 20.036 | 5.148.690 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 351 | 372.181 | 0,09 | 13,77 | 4.833 | 5.124.932 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 1.637 | 371.830 | 0,44 | 13,82 | 22.623 | 5.138.691 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 400 | 370.193 | 0,11 | 13,80 | 5.520 | 5.108.663 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 100 | 369.793 | 0,03 | 13,70 | 1.370 | 5.066.164 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.998 | 369.693 | 2,78 | 13,68 | 136.735 | 5.055.995 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 5.516 | 359.695 | 1,56 | 13,78 | 76.010 | 4.956.597 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 500 | 354.179 | 0,14 | 13,80 | 6.900 | 4.887.670 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.085 | 353.679 | 0,88 | 13,86 | 42.766 | 4.902.875 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 681 | 350.594 | 0,19 | 13,95 | 9.500 | 4.890.786 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 2.283 | 349.913 | 0,66 | 13,88 | 31.681 | 4.855.673 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 2.045 | 347.630 | 0,59 | 13,90 | 28.426 | 4.832.057 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.321 | 345.585 | 0,97 | 13,74 | 45.631 | 4.748.338 | |
2015-03-03 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 6.634 | 342.264 | 1,98 | 13,76 | 91.290 | 4.709.895 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 19.705 | 335.630 | 6,24 | 13,70 | 269.905 | 4.597.225 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 300 | 315.925 | 0,10 | 13,25 | 3.975 | 4.186.006 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 7.527 | 315.625 | 2,44 | 13,20 | 99.376 | 4.167.071 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 8.524 | 308.098 | 2,85 | 13,16 | 112.137 | 4.053.152 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.663 | 299.574 | 3,33 | 13,15 | 127.079 | 3.939.728 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 22.176 | 289.911 | 8,28 | 13,14 | 291.375 | 3.809.199 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 18.220 | 267.735 | 7,30 | 13,06 | 237.878 | 3.495.521 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 1.726 | 249.515 | 0,70 | 13,00 | 22.438 | 3.243.695 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 33.869 | 247.289 | 15,87 | 12,98 | 439.596 | 3.209.638 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 55.159 | 213.920 | 34,74 | 12,93 | 713.443 | 2.766.905 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 25.033 | 158.761 | 18,72 | 12,91 | 323.103 | 2.049.144 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 11.092 | 133.728 | 9,04 | 12,89 | 142.946 | 1.723.393 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 22.109 | 122.636 | 21,99 | 12,86 | 284.384 | 1.577.442 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 5.088 | 100.527 | 5,33 | 12,86 | 65.452 | 1.293.179 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.180 | 95.439 | 10,64 | 12,86 | 118.074 | 1.227.546 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 8.016 | 86.259 | 10,25 | 12,78 | 102.448 | 1.102.425 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.910 | 78.243 | 6,70 | 12,76 | 62.657 | 998.475 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 5.414 | 73.333 | 7,97 | 12,75 | 69.054 | 935.348 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 3.326 | 67.919 | 5,15 | 12,77 | 42.466 | 867.183 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 400 | 64.593 | 0,62 | 12,76 | 5.102 | 823.884 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 5.364 | 64.193 | 9,12 | 12,80 | 68.655 | 821.625 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 885 | 58.829 | 1,53 | 12,77 | 11.301 | 751.246 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 502 | 57.944 | 0,87 | 12,77 | 6.410 | 739.939 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 200 | 57.442 | 0,35 | 12,77 | 2.554 | 733.534 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 4.365 | 57.242 | 8,26 | 12,77 | 55.729 | 730.820 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 1.937 | 52.877 | 3,80 | 12,75 | 24.697 | 674.182 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 9.173 | 50.940 | 21,96 | 12,69 | 116.448 | 646.668 | |
2015-03-02 |
|
4 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Common Stock |
P - Purchase | 210 | 41.767 | 0,51 | 12,70 | 2.667 | 530.441 | |
2015-02-10 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -945 | 604.187 | -0,16 | 15,00 | -14.175 | 9.062.805 | |
2015-02-10 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -91 | 605.132 | -0,02 | 15,00 | -1.365 | 9.076.980 | |
2015-02-04 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
J - Other | -852 | 4.148 | -17,04 | 23,27 | -19.826 | 96.525 | |
2015-02-04 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
J - Other | -127.314 | 605.223 | -17,38 | 23,27 | -2.962.622 | 14.083.660 | |
2015-02-04 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -1.376 | 732.537 | -0,19 | 15,95 | -21.947 | 11.683.965 | |
2015-02-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
P - Purchase | 200 | 4.000 | 5,26 | 14,94 | 2.988 | 59.760 | |
2015-02-03 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
P - Purchase | 3.800 | 3.800 | 14,95 | 56.810 | 56.810 | ||
2015-01-30 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -13.000 | 733.913 | -1,74 | 16,15 | -209.986 | 11.854.750 | |
2015-01-28 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -200 | 746.913 | -0,03 | 17,10 | -3.420 | 12.772.212 | |
2015-01-26 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -2.667 | 747.113 | -0,36 | 18,40 | -49.073 | 13.746.879 | |
2015-01-22 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -34.422 | 749.780 | -4,39 | 18,41 | -633.626 | 13.801.650 | |
2015-01-22 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -18.423 | 784.202 | -2,30 | 18,52 | -341.185 | 14.523.029 | |
2015-01-20 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -5.242 | 802.625 | -0,65 | 18,50 | -96.977 | 14.848.562 | |
2015-01-20 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -14.984 | 807.867 | -1,82 | 18,60 | -278.740 | 15.028.346 | |
2015-01-07 |
|
4/A | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.00% Convertible Preferred Stock, Series A |
C - Conversion | -1.154 | 0 | -100,00 | ||||
2015-01-07 |
|
4/A | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
C - Conversion | 4.287 | 5.287 | 428,70 | ||||
2014-12-18 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -3.100 | 822.851 | -0,38 | 19,10 | -59.210 | 15.716.454 | |
2014-12-16 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -1.987 | 825.951 | -0,24 | 19,15 | -38.051 | 15.816.962 | |
2014-12-15 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -9.264 | 827.938 | -1,11 | 19,16 | -177.519 | 15.865.114 | |
2014-12-05 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -147.044 | 837.202 | -14,94 | 19,60 | -2.882.062 | 16.409.159 | |
2014-12-03 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -7.949 | 984.246 | -0,80 | 22,66 | -180.131 | 22.303.900 | |
2014-12-02 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -1.590 | 992.195 | -0,16 | 22,53 | -35.824 | 22.355.146 | |
2014-12-02 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -13.512 | 993.785 | -1,34 | 22,54 | -304.578 | 22.401.206 | |
2014-12-02 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -2.419 | 1.007.297 | -0,24 | 22,60 | -54.664 | 22.762.495 | |
2014-11-17 | 3 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Auction Rate Preferred |
1.410 | ||||||||
2014-11-17 | 3 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Auction Rate Preferred |
1.410 | ||||||||
2014-11-17 | 3 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Auction Rate Preferred |
1.410 | ||||||||
2014-11-17 | 3 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Auction Rate Preferred |
1.410 | ||||||||
2014-11-17 | 3 | AYN |
ALLIANCE NEW YORK MUNICIPAL INCOME FUND
Auction Rate Preferred |
1.410 | ||||||||
2014-11-14 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -19.870 | 1.009.716 | -1,93 | 22,66 | -450.254 | 22.880.165 | |
2014-11-14 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -16.356 | 1.029.586 | -1,56 | 22,71 | -371.386 | 23.378.192 | |
2014-11-14 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -7.521 | 1.045.942 | -0,71 | 22,65 | -170.354 | 23.691.005 | |
2014-11-14 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
S - Sale | -1.200 | 1.053.463 | -0,11 | 22,71 | -27.250 | 23.922.354 | |
2014-06-09 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
A - Award | 7.246 | 11.967 | 153,48 | ||||
2014-04-01 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
P - Purchase | 5.000 | 1.063.316 | 0,47 | 5,75 | 28.750 | 6.114.067 | |
2014-04-01 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
P - Purchase | 5.000 | 1.058.316 | 0,47 | 5,75 | 28.749 | 6.085.105 | |
2014-04-01 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
P - Purchase | 5.000 | 1.053.316 | 0,48 | 5,89 | 29.450 | 6.204.031 | |
2014-04-01 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
P - Purchase | 5.000 | 1.048.316 | 0,48 | 5,73 | 28.650 | 6.006.851 | |
2014-03-10 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
P - Purchase | 500 | 1.054.633 | 0,05 | 23,64 | 11.820 | 24.931.524 | |
2014-03-06 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
P - Purchase | 43.328 | 1.054.163 | 4,29 | 23,31 | 1.009.924 | 24.571.275 | |
2014-03-06 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
P - Purchase | 12.146 | 1.010.835 | 1,22 | 23,70 | 287.806 | 23.952.241 | |
2014-03-06 |
|
4 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
P - Purchase | 277 | 998.689 | 0,03 | 23,69 | 6.562 | 23.657.844 | |
2014-02-28 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.00% Convertible Preferred Stock, Series A |
C - Conversion | -208 | 0 | -100,00 | ||||
2014-02-28 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.00% Convertible Preferred Stock, Series A |
C - Conversion | -1.154 | 0 | -100,00 | ||||
2014-02-28 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
C - Conversion | 772 | 772 | |||||
2014-02-28 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Common Stock |
C - Conversion | 3.827 | 4.827 | 382,70 | ||||
2014-02-24 |
|
4 | IFT |
Imperial Holdings, Inc.
Senior Convertible Notes |
P - Purchase | 6.302 | 6.302 | 1.000,00 | 6.302.000 | 6.302.000 | ||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.003.648 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.003.648 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.003.648 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.003.648 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.997.060 | ||||||||
2014-02-19 | 3 | SVVC |
Firsthand Technology Value Fund, Inc.
Common Stock |
4.003.648 | ||||||||
2014-01-02 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
J - Other | -106.596 | 1.043.316 | -9,27 | ||||
2013-09-03 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
J - Other | -25.000 | 1.149.912 | -2,13 | ||||
2013-06-07 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
A - Award | 2.881 | 4.721 | 156,58 | ||||
2013-04-30 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.137 | 0 | -100,00 | 17,16 | -19.511 | ||
2013-04-30 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -4.752 | 0 | -100,00 | 17,16 | -81.544 | ||
2013-04-30 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.530 | 0 | -100,00 | 17,16 | -26.255 | ||
2013-04-30 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -3.870 | 0 | -100,00 | 17,16 | -66.409 | ||
2013-04-26 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -108 | 1.137 | -8,67 | 17,16 | -1.853 | 19.511 | |
2013-04-26 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -450 | 4.752 | -8,65 | 17,16 | -7.722 | 81.544 | |
2013-04-26 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -145 | 1.530 | -8,66 | 17,16 | -2.488 | 26.255 | |
2013-04-26 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -366 | 3.870 | -8,64 | 17,16 | -6.281 | 66.409 | |
2013-04-23 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -2.386 | 1.245 | -65,71 | 17,00 | -40.565 | 21.167 | |
2013-04-23 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -9.974 | 5.202 | -65,72 | 17,00 | -169.571 | 88.441 | |
2013-04-23 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -3.211 | 1.675 | -65,72 | 17,00 | -54.591 | 28.477 | |
2013-04-23 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -8.121 | 4.236 | -65,72 | 17,00 | -138.068 | 72.018 | |
2013-04-17 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -2.629 | 3.631 | -42,00 | 17,22 | -45.280 | 62.538 | |
2013-04-17 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -10.988 | 15.176 | -42,00 | 17,22 | -189.251 | 261.382 | |
2013-04-17 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -3.537 | 4.886 | -41,99 | 17,22 | -60.919 | 84.154 | |
2013-04-17 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -8.946 | 12.357 | -41,99 | 17,22 | -154.081 | 212.830 | |
2013-04-16 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -967 | 6.260 | -13,38 | 17,42 | -16.846 | 109.058 | |
2013-04-16 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -4.041 | 26.164 | -13,38 | 17,42 | -70.400 | 455.814 | |
2013-04-16 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.301 | 8.423 | -13,38 | 17,42 | -22.665 | 146.740 | |
2013-04-16 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -3.291 | 21.303 | -13,38 | 17,42 | -57.334 | 371.128 | |
2013-04-15 |
|
4/A | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.600 | 24.594 | -6,11 | 15,74 | -25.178 | 387.021 | |
2013-04-03 |
|
4 | IFT |
Imperial Holdings, Inc.
Common Stock |
A - Award | 1.840 | 1.840 | 4,17 | 7.673 | 7.673 | ||
2013-03-27 | 3/A | IFT |
Imperial Holdings, Inc.
Common Stock |
1.253.581 | ||||||||
2013-03-27 | 3/A | IFT |
Imperial Holdings, Inc.
Common Stock |
1.174.912 | ||||||||
2013-02-11 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -470 | 7.227 | -6,11 | 15,74 | -7.396 | 113.727 | |
2013-02-11 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.965 | 30.205 | -6,11 | 15,74 | -30.922 | 475.318 | |
2013-02-11 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -632 | 9.724 | -6,10 | 15,74 | -9.945 | 153.021 | |
2013-02-11 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.600 | 29.184 | -5,20 | 15,74 | -25.178 | 459.251 | |
2013-02-07 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -4.590 | 26.194 | -14,91 | 15,79 | -72.459 | 413.506 | |
2013-02-07 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.489 | 7.697 | -16,21 | 15,79 | -23.506 | 121.507 | |
2013-02-07 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -6.224 | 32.170 | -16,21 | 15,79 | -98.254 | 507.845 | |
2013-02-07 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -2.003 | 10.356 | -16,21 | 15,79 | -31.620 | 163.483 | |
2013-02-07 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -400 | 30.784 | -1,28 | 15,87 | -6.347 | 488.465 | |
2013-02-05 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.137 | 9.186 | -11,01 | 15,83 | -17.995 | 145.381 | |
2013-02-05 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -3.858 | 31.184 | -11,01 | 15,83 | -61.058 | 493.530 | |
2013-02-05 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -4.751 | 38.394 | -11,01 | 15,83 | -75.191 | 607.639 | |
2013-02-05 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -1.529 | 12.359 | -11,01 | 15,83 | -24.199 | 195.598 | |
2013-01-09 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
S - Sale | -8.021 | 0 | -100,00 | 15,00 | -120.348 | ||
2012-10-19 |
|
4 | MXE |
MEXICO EQUITY & INCOME FUND INC
Common Stock |
J - Other | 13.888 | 13.888 | |||||
2012-08-13 | 3 | IFT |
Imperial Holdings, Inc.
Common Stock |
1.360.177 | ||||||||
2012-08-13 | 3 | IFT |
Imperial Holdings, Inc.
Common Stock |
1.063.316 | ||||||||
2012-08-01 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.00% Convertible Preferred Stock, Series A |
X - Other | 208 | 208 | 50,00 | 10.400 | 10.400 | ||
2012-08-01 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
X - Other | -100 | 0 | -100,00 | ||||
2012-08-01 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
3.00% Convertible Preferred Stock, Series |
X - Other | 1.154 | 1.154 | 50,00 | 57.700 | 57.700 | ||
2012-08-01 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
X - Other | -560 | 0 | -100,00 | ||||
2012-07-06 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
J - Other | 100 | 100 | 0,85 | 85 | 85 | ||
2012-07-06 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
J - Other | 60 | 60 | 0,89 | 53 | 53 | ||
2012-07-06 |
|
4 | SPE |
SPECIAL OPPORTUNITIES FUND, INC.
Subscription Rights (right to buy) |
J - Other | 400 | 500 | 400,00 | 0,84 | 336 | 420 |