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NCV'A NOW TRADING POST CALL DATE

Virtus Convertible & Income Fund · Series A · Closed-End Fund
Also quoted as: NCV-A, NCVprA, NCV.PRA, NCV-PA, NCVpA
$20.49
último precio

Sobre este valor

NCV'A is a 5.625% cumulative perpetual preferred stock issued by Virtus Convertible & Income Fund, a Closed-End Fund issuer. $25 liquidation preference, current yield 6.86%, callable from 2023-09-20.

Issuer page — all Virtus Convertible & Income Fund securities & profile →

Datos clave ✓ terms from SEC filing — verify via link below ✓ verified against SEC filing

live page · rendered 12:31:53 UTC · refreshes from the market feed on each visit · last SEC-verified 2026-06-16
Rendimiento actual
6.86%
Dividendo anual
$1.4062
Precio de mercado reciente
$20.49
as of 2026-07-31
Desc./Prima sobre par (→ screen)
Revalorización hasta par
+$4.51 (+22.0%)
Fecha ex-div. reciente
2026-06-23
Frecuencia de pago
quarterly
Acumulativo
Yes
Cupón original
5.625%
Fecha de amortización
2023-09-20 ⚑ callable now
Rendimiento a amortización
n/a — callable now
Rendimiento al peor caso
6.86%
Pref. de liquidación
$25.00
Vencimiento
Perpetual
Amortizable
Yes
Convertible
No
Fechas de pago
March 31, June 30, September 30, December 31
Acciones ofrecidas (original)
4,000,000
Emitido
2018-09-20
Serie
A
Símbolos alternativos
NCV-A, NCVprA, NCV.PRA, NCV-PA, NCVpA

vs. Closed-End Fund category (25 issues): yield 6.86% vs avg 6.26% · discount -18.0% vs avg -16.5%

Cotización

 NCV'A (preferente)NCV (ordinaria)
Último $20.49 $17.20
Variación
Apertura$20.45$17.02
Máx. / Mín. $20.51 / $20.33 $17.33 / $16.99
Cierre ant.
Volumen3,13651,758
Máx. / Mín. 52 sem. $22.35 / $20.33 $17.60 / $13.31

52-week range based on available history. Shares outstanding / market cap require a fundamentals feed (not in current data plan).

Precio

NCV'A NCV (ordinaria)

Historial de dividendos

Fecha exImporte / acción
2026-06-23$0.351562
2026-03-24$0.351562
2025-12-11$0.351562
2025-09-12$0.351562
2025-06-12$0.351562
2025-03-17$0.351562
2024-12-12$0.351562
2024-09-13$0.351562
2024-06-13$0.351562
2024-03-08$0.351562
2023-12-08$0.351562
2023-09-08$0.351562

Rentabilidad — Calculadora de 10.000 $

See what an investment in NCV'A would be worth today, dividends reinvested.

Dividends reinvested (DRIP) at the close on each ex-date. Full performance page →

🔔 Get dividend & filing alerts for NCV'A →

Folleto (SEC 424B5)

AllianzGI Convertible & Income Fund (the "Fund") is offering for sale 4,000,000 shares of 5.625% Series A Cumulative Preferred Shares, par value $0.00001 per share, liquidation preference $25.00 per share (the "Series A Preferred Shares").

Use of proceeds: Net proceeds will be used to refinance outstanding indebtedness or other forms of leverage (including the SSB liquidity facility and/or existing ARPS) and/or to purchase additional portfolio securities consistent with the Fund's investment objective.

Full Prospectus (SEC filing) →

Noticias — Virtus Convertible & Income Fund

Issuer news via Tiingo — filtered to stories about NCV.

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