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Advent Convertible and Income Fund T.AVK


Primary Symbol: AVK

Advent Convertible and Income Fund (the Fund) is a diversified closed-end management investment company. The Fund’s investment objective is to provide total return through a combination of capital appreciation and current income. The Fund will invest at least 80% of its managed assets in a diversified portfolio of convertible securities and non-convertible income securities. The Fund will invest at least 30% of its managed assets in convertible securities and up to 70% of its managed assets in non-convertible income securities. The Fund may invest without limitation in securities of foreign issuers. Fund invests in various sectors, such as technology, financial, communications, energy, basic materials and other. The investment advisor of the Fund is Advent Capital Management, LLC.


NYSE:AVK - Post by User

Comment by gold_diggers1on Sep 29, 2016 4:19pm
139 Views
Post# 25292334

RE:need catalyst

RE:need catalystHouse position for today when Fidelity, selling 237K shares, drove AVK down touching $0.255...
.

/www.stockwatch.com/Quote/Trades.aspx?what=brok&brokerid=80&symbol=AVK&region=C&d1=20160929&d2=20160929" style="color: rgb(17, 34, 204);" rel="noindex nofollow" target="_blank">80 National Bank 84,500 22,305 0.264 600 158 0.263 83,900 -22,147 143 Pershing 83,200 21,731 0.261 16,000 4,160 0.26 67,200 -17,571 15 UBS 67,000 17,233 0.257 0 67,000 -17,233 25 Odlum 33,000 8,695 0.263 0 33,000 -8,695 85 Scotia 23,000 6,015 0.262 0 23,000 -6,015 79 CIBC 22,000 5,719 0.26 2,500 650 0.26 19,500 -5,069 7 TD Sec 34,400 8,825 0.257 21,000 5,410 0.258 13,400 -3,415 9 BMO Nesbitt 6,000 1,620 0.27 0 6,000 -1,620 124 Questrade 5,000 1,274 0.255 0 5,000 -1,274 39 Merrill Lynch 3,000 770 0.257 3,000 780 0.26 0 10 13 Instinet 1,000 260 0.26 1,000 255 0.255 0 -5 2 RBC 5,120 1,356 0.265 6,120 1,621 0.265 -1,000 265 33 Canaccord 0 5,000 1,350 0.27 -5,000 1,350 1 Anonymous 31,500 8,236 0.261 109,000 29,188 0.268 -77,500 20,952 22 Fidelity 3,000 765 0.255 237,500 61,232 0.258 -234,500 60,467 TOTAL 401,720 104,804 0.261 401,720 104,804 0.261 0 0 .


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