ACV

568516

22.51

Top Statistics
Market Cap 233 M Forward PE 0.0000 Revenue Growth 0.00 %
Current Ratio 0.00 Trailing PE 12.51 Earnings Growth 0.00 %
Profit Margins 0.00 % Peg Ratio Dividend Yield 12.33 %
Enterprice / EBITA Enterprise / Revenue Price To Sales Trailing12 Months
Profitability
Profit Margins 0.00 % Operating Margins
Balance Sheet
Total Cash Total Cash Per Share Total Debt
Total Debt To Equity Current Ratio 0.00 Book Value Per Share
All Measures
Short Ratio 75.00 % Message Board Id finmb_291650593 Fax 212 739 3948
Shares Short Prior Month 2838 City New York Uuid 9ff67f82-f9da-3165-a7f6-63606d182e89
Previous Close 22.43 First Trade Date Epoch Utc 1 B Volume 31372
Fifty Two Week Low 19.40 Shares Short Previous Month Date 1 B Max Age 86400
Sand P52 Week Change 0.3133 Last Dividend Value 0.1800 Ask 22.53
Implied Shares Outstanding 10 M Trailing Peg Ratio None Average Daily Volume10 Day 29000
Average Volume10days 29000 Held Percent Insiders 0.0004 Dividend Rate 2.16
Trailing PE 12.51 Date Short Interest 1 B Regular Market Previous Close 22.43
Target Low Price 0.0000 Gmt Off Set Milliseconds -18000000 Fifty Day Average 21.50
Open 22.54 Dividend Yield 12.33 % State NY
Time Zone Short Name EST Trailing Eps 1.80 Day Low 22.34
Address1 1633 Broadway Shares Outstanding 10 M Price Hint 2
Target High Price 0.0000 52 Week Change 0.1374 Average Volume 32967
Recommendation Key none Forward Eps 0.0000 Is_sp_500 False
Regular Market Day High 22.54 Profit Margins 0.00 % Fifty Two Week High 24.50
Day High 22.54 Shares Short 24787 Regular Market Open 22.54
Industry Key asset-management Bid 21.95 Earnings Growth 0.00 %
Revenue Growth 0.00 % Shares Percent Shares Out 0.0024 Five Year Avg Dividend Yield 1364.00 %
Currency USD Market Cap 233 M Time Zone Full Name America/New_York
Is_nasdaq_100 False Zip 10019 Quote Type EQUITY
Industry Asset Management Ex Dividend Date 1 B Regular Market Day Low 22.34
Held Percent Institutions 0.2163 Long Name Virtus Diversified Income & Convertible Fund Current Price 22.51
Address2 43rd Floor Current Ratio 0.00 Industry Disp Asset Management
Country United States Two Hundred Day Average 21.76 Forward PE 0.0000
Regular Market Volume 31372 Last Dividend Date 1 B Exchange NYQ
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Virtus Diversified Income & Convertible Fund is a closed-ended balanced mutual fund launched and managed by Allianz Global Investors Fund Management LLC.

The fund is co-managed by Allianz Global Investors U.

S.

LLC.

It invests in the public equity and fixed income markets.

The fund primarily invests in diversified portfolio of convertible securities, income-producing equity securities, and income-producing debt and other instruments of varying maturities.

It employs fundamental analysis along with bottom-up stock picking approach.

Virtus Diversified Income & Convertible Fund was formed In May 27, 2015 and is domiciled in United States.