A detailed history of Verus Capital Partners, LLC transactions in Pimco Corporate & Income Opportunity Fund stock. As of the latest transaction made, Verus Capital Partners, LLC holds 21,620 shares of PTY stock, worth $314,138. This represents 0.03% of its overall portfolio holdings.

Number of Shares
21,620
Previous 30,791 29.78%
Holding current value
$314,138
Previous $440,000 29.32%
% of portfolio
0.03%
Previous 0.04%

Shares

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

Nov 04, 2024

SELL
$14.16 - $14.47 $129,861 - $132,704
-9,171 Reduced 29.78%
21,620 $311,000
Q2 2024

Aug 01, 2024

BUY
$13.49 - $15.05 $4,235 - $4,725
314 Added 1.03%
30,791 $440,000
Q1 2024

May 07, 2024

SELL
$13.36 - $14.87 $28,483 - $31,702
-2,132 Reduced 6.54%
30,477 $453,000
Q4 2023

Feb 09, 2024

SELL
$12.13 - $14.1 $147,767 - $171,766
-12,182 Reduced 27.2%
32,609 $431,000
Q3 2023

Nov 01, 2023

BUY
$13.03 - $14.83 $2,671 - $3,040
205 Added 0.46%
44,791 $585,000
Q2 2023

Jul 31, 2023

SELL
$12.4 - $14.0 $5,666 - $6,398
-457 Reduced 1.01%
44,586 $624,000
Q1 2023

May 09, 2023

SELL
$12.21 - $14.37 $17,814 - $20,965
-1,459 Reduced 3.14%
45,043 $561,000
Q4 2022

Feb 14, 2023

SELL
$11.73 - $13.34 $18,791 - $21,370
-1,602 Reduced 3.33%
46,502 $558,000
Q3 2022

Nov 14, 2022

BUY
$11.5 - $14.42 $288,627 - $361,913
25,098 Added 109.09%
48,104 $565,000
Q2 2022

Aug 09, 2022

SELL
$12.51 - $15.84 $344,075 - $435,663
-27,504 Reduced 54.45%
23,006 $632,000
Q1 2022

Aug 09, 2022

SELL
$13.48 - $16.79 $279,278 - $347,855
-20,718 Reduced 29.09%
50,510 $736,000
Q1 2020

May 26, 2020

BUY
$10.44 - $19.68 $510,171 - $961,702
48,867 Added 218.54%
71,228 $920,000
Q4 2019

Feb 27, 2020

BUY
$18.1 - $19.0 $404,734 - $424,859
22,361 New
22,361 $425,000

Others Institutions Holding PTY

About PIMCO CORPORATE & INCOME OPPORTUNITY FUND


  • Ticker PTY
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • PIMCO Corporate & Income Opportunity Fund 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 across the globe. It invests in corporate debt obligations rated in the lowest inves...
More about PTY
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