A detailed history of Advisors Asset Management, Inc. transactions in Pimco California Municipal Income Fund Ii stock. As of the latest transaction made, Advisors Asset Management, Inc. holds 640,677 shares of PCK stock, worth $3.7 Million. This represents 0.08% of its overall portfolio holdings.

Number of Shares
640,677
Previous 652,146 1.76%
Holding current value
$3.7 Million
Previous $3.82 Million 5.45%
% of portfolio
0.08%
Previous 0.08%

Shares

26 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2024

Nov 08, 2024

SELL
$5.82 - $6.28 $66,749 - $72,025
-11,469 Reduced 1.76%
640,677 $4.02 Million
Q2 2024

Aug 14, 2024

SELL
$5.54 - $5.89 $1.19 Million - $1.26 Million
-214,652 Reduced 24.76%
652,146 $3.82 Million
Q1 2024

May 14, 2024

BUY
$5.64 - $5.94 $517,306 - $544,822
91,721 Added 11.83%
866,798 $5 Million
Q4 2023

Feb 14, 2024

BUY
$4.92 - $5.81 $521,239 - $615,528
105,943 Added 15.83%
775,077 $4.5 Million
Q2 2023

Aug 14, 2023

SELL
$5.77 - $6.33 $38,064 - $41,759
-6,597 Reduced 0.98%
669,134 $3.98 Million
Q1 2023

May 12, 2023

BUY
$5.95 - $6.93 $338,685 - $394,469
56,922 Added 9.2%
675,731 $4.19 Million
Q4 2022

Feb 13, 2023

BUY
$6.14 - $7.18 $852,103 - $996,433
138,779 Added 28.91%
618,809 $4.2 Million
Q3 2022

Nov 08, 2022

BUY
$6.3 - $7.59 $634,536 - $764,464
100,720 Added 26.55%
480,030 $3.07 Million
Q2 2022

Aug 08, 2022

BUY
$6.38 - $7.73 $828,226 - $1 Million
129,816 Added 52.03%
379,310 $2.6 Million
Q1 2022

May 17, 2022

BUY
$7.4 - $9.5 $351,115 - $450,756
47,448 Added 23.48%
249,494 $1.89 Million
Q4 2021

Feb 15, 2022

BUY
$9.33 - $9.8 $577,237 - $606,316
61,869 Added 44.14%
202,046 $1.89 Million
Q3 2021

Nov 12, 2021

BUY
$9.44 - $9.83 $425,290 - $442,861
45,052 Added 47.36%
140,177 $1.35 Million
Q2 2021

Jul 30, 2021

BUY
$9.04 - $9.71 $155,216 - $166,720
17,170 Added 22.03%
95,125 $915,000
Q1 2021

May 07, 2021

SELL
$8.82 - $9.15 $198,009 - $205,417
-22,450 Reduced 22.36%
77,955 $706,000
Q4 2020

Feb 12, 2021

SELL
$8.88 - $9.33 $75,781 - $79,622
-8,534 Reduced 7.83%
100,405 $907,000
Q3 2020

Nov 16, 2020

BUY
$8.79 - $9.55 $166,526 - $180,924
18,945 Added 21.05%
108,939 $1.02 Million
Q2 2020

Aug 12, 2020

SELL
$8.0 - $8.92 $170,000 - $189,550
-21,250 Reduced 19.1%
89,994 $795,000
Q1 2020

May 15, 2020

SELL
$6.75 - $10.09 $241,717 - $361,322
-35,810 Reduced 24.35%
111,244 $940,000
Q4 2019

Feb 14, 2020

SELL
$9.72 - $10.19 $72,608 - $76,119
-7,470 Reduced 4.83%
147,054 $1.47 Million
Q3 2019

Nov 14, 2019

SELL
$9.3 - $10.27 $5,347 - $5,905
-575 Reduced 0.37%
154,524 $1.51 Million
Q2 2019

Aug 14, 2019

BUY
$8.74 - $9.65 $105,107 - $116,050
12,026 Added 8.41%
155,099 $1.5 Million
Q1 2019

May 15, 2019

BUY
$7.99 - $9.04 $214,978 - $243,230
26,906 Added 23.16%
143,073 $1.29 Million
Q4 2018

Jan 31, 2019

BUY
$7.6 - $8.47 $219,738 - $244,893
28,913 Added 33.14%
116,167 $910,000
Q3 2018

Nov 15, 2018

BUY
$8.21 - $8.85 $269,994 - $291,041
32,886 Added 60.49%
87,254 $730,000
Q2 2018

Aug 22, 2018

BUY
$8.07 - $8.32 $183,923 - $189,621
22,791 Added 72.18%
54,368 $451,000
Q2 2018

Aug 15, 2018

BUY
$8.07 - $8.32 $254,826 - $262,720
31,577 New
31,577 $451,000

Others Institutions Holding PCK

About PIMCO CALIFORNIA MUNICIPAL INCOME FUND II


  • Ticker PCK
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • PIMCO California Municipal Income Fund II is a closed ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. It is co-managed by Pacific Investment Management Company LLC. The fund invests in fixed income markets of United States. It seeks to invest in stocks of companies operating across diversifie...
More about PCK
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