Wednesday, May 28th, 2025
Stock Profile: NCZ

Virtus Convertible & Income Fund II (NCZ)

Market: NYSE | Currency: USD

Address: 1633 Broadway

Virtus Convertible & Income Fund II is a closed ended fixed income 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 fixed income markets of the United States. The fund primarily invests in convertible securities and non-convertible high-yield bonds rated below investment grade. It invests in securities across a broad range of maturities, with the weighted average maturity ranging between five to ten years. The fund typically employs fundamental analysis with a bottom up stock picking approach to create its portfolio. It conducts in-house Show more




📈 Virtus Convertible & Income Fund II Historical Chart






📊 Statistics





💰 Dividend History


Year Annual Yield (%) Total Amount Current Yield (%) Ex Date Pay Date Particulars
2025 - $0.120000 - 2025-05-12 - Dividend payout
$0.120000 - 2025-04-11 - Dividend payout
$0.120000 - 2025-03-13 - Dividend payout
$0.120000 - 2025-02-13 - Dividend payout
$0.250000 - 2025-02-10 - Stock split
$0.120000 - 2025-01-13 - Dividend payout
Total Amount for 2025: $0.850000
2024 - $0.120000 - 2024-12-12 - Dividend payout
$0.030000 - 2024-11-12 - Dividend payout
$0.120000 - 2024-10-11 - Dividend payout
$0.030000 - 2024-09-13 - Dividend payout
$0.030000 - 2024-08-12 - Dividend payout
$0.120000 - 2024-07-11 - Dividend payout
$0.030000 - 2024-06-13 - Dividend payout
$0.030000 - 2024-05-10 - Dividend payout
$0.120000 - 2024-04-10 - Dividend payout
$0.030000 - 2024-03-08 - Dividend payout
$0.030000 - 2024-02-09 - Dividend payout
$0.120000 - 2024-01-11 - Dividend payout
Total Amount for 2024: $0.810000
2023 - $0.120000 - 2023-12-08 - Dividend payout
$0.030000 - 2023-11-10 - Dividend payout
$0.120000 - 2023-10-11 - Dividend payout
$0.030000 - 2023-09-08 - Dividend payout
$0.030000 - 2023-08-10 - Dividend payout
$0.120000 - 2023-07-12 - Dividend payout
$0.030000 - 2023-06-09 - Dividend payout
$0.120000 - 2023-05-10 - Dividend payout
$0.120000 - 2023-04-12 - Dividend payout
$0.152000 - 2023-03-10 - Dividend payout
$0.152000 - 2023-02-10 - Dividend payout
$0.038000 - 2023-01-19 - Dividend payout
Total Amount for 2023: $1.062000
2022 - $0.038000 - 2022-12-09 - Dividend payout
$0.152000 - 2022-11-14 - Dividend payout
$0.152000 - 2022-10-12 - Dividend payout
$0.038000 - 2022-09-09 - Dividend payout
$0.152000 - 2022-08-10 - Dividend payout
$0.152000 - 2022-07-08 - Dividend payout
$0.152000 - 2022-06-10 - Dividend payout
$0.152000 - 2022-05-11 - Dividend payout
$0.152000 - 2022-04-08 - Dividend payout
$0.152000 - 2022-03-10 - Dividend payout
$0.152000 - 2022-02-10 - Dividend payout
$0.038000 - 2022-01-12 - Dividend payout
Total Amount for 2022: $1.482000
2021 - $0.152000 - 2021-12-10 - Dividend payout
$0.152000 - 2021-11-10 - Dividend payout
$0.038000 - 2021-10-08 - Dividend payout
$0.038000 - 2021-09-10 - Dividend payout
$0.152000 - 2021-08-11 - Dividend payout
$0.152000 - 2021-07-09 - Dividend payout
$0.152000 - 2021-06-10 - Dividend payout
$0.038000 - 2021-05-12 - Dividend payout
$0.038000 - 2021-04-09 - Dividend payout
$0.152000 - 2021-03-10 - Dividend payout
$0.038000 - 2021-02-10 - Dividend payout
$0.038000 - 2021-01-13 - Dividend payout
Total Amount for 2021: $1.140000


📅 Earnings & EPS History for Virtus Convertible & Income Fund II


No earnings history available for this symbol.





📰 Related News & Research


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