November 17, 2016 - By kentuckypostne · 0 Comments
Ing Global Advantage & Premium Opportunity Fund (NYSE:IGA) institutional sentiment decreased to 1 in 2016 Q2. Its down -0.70, from 1.7 in 2016Q1. The ratio fall, as 14 active investment managers started new or increased holdings, while 14 cut down and sold stakes in Ing Global Advantage & Premium Opportunity Fund. The active investment managers in our partner’s database now own: 4.53 million shares, down from 4.70 million shares in 2016Q1. Also, the number of active investment managers holding Ing Global Advantage & Premium Opportunity Fund in their top 10 holdings was flat from 0 to 0 for the same number . Sold All: 5 Reduced: 9 Increased: 12 New Position: 2.
Voya Global Advantage and Premium Opportunity Fund is a diversified, closed-end management investment company. The company has a market cap of $176.57 million. The Fund’s primary investment objective is to provide a high level of income, with a secondary objective of capital appreciation. It currently has negative earnings. The Fund invests approximately 80% of its managed assets in a portfolio of common stocks of companies located in a number of different countries throughout the world, including the United States, and utilizes an integrated derivatives strategy.
It is down 3.14% since April 15, 2016 and is downtrending. It has underperformed by 7.77% the S&P500.
Shaker Financial Services Llc holds 1.36% of its portfolio in Voya Global Advantage and Prem Oppty Fd for 198,532 shares. Doliver Capital Advisors Inc. owns 104,577 shares or 0.86% of their US portfolio. Moreover, Jacobus Wealth Management Inc. has 0.75% invested in the company for 249,577 shares. The Colorado-based Advisors Asset Management Inc. has invested 0.16% in the stock. Landscape Capital Management L.L.C., a New Jersey-based fund reported 107,470 shares.#img1#
ING Global Advantage and Premium Opportunity Fund (the Fund) is a diversified closed-end management investment company. The Fund invests in a portfolio of global common stocks and utilizes an integrated options writing strategy. Under normal market conditions, the Fund invests in a diversified portfolio of common stocks of companies located in a number of different countries throughout the world.
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