Voya Global Equity Div & Prm Oppty Fund (IGD) : Roble Belko Company Inc reduced its stake in Voya Global Equity Div & Prm Oppty Fund by 27.6% during the most recent quarter end. The investment management company now holds a total of 24,858 shares of Voya Global Equity Div & Prm Oppty Fund which is valued at $176,243 after selling 9,475 shares in Voya Global Equity Div & Prm Oppty Fund , the firm said in a disclosure report filed with the SEC on Aug 11, 2016.Voya Global Equity Div & Prm Oppty Fund makes up approximately 0.09% of Roble Belko Company Inc’s portfolio.
Other Hedge Funds, Including , Tfs Capital sold out all of its stake in IGD during the most recent quarter. The investment firm sold 10,962 shares of IGD which is valued $77,721. Massmutual Trust Co Fsbadv added IGD to its portfolio by purchasing 124 company shares during the most recent quarter which is valued at $879.Advisors Asset Management boosted its stake in IGD in the latest quarter, The investment management firm added 212,145 additional shares and now holds a total of 3,179,488 shares of Voya Global Equity Div & Prm Oppty Fund which is valued at $22,637,955. Voya Global Equity Div & Prm Oppty Fund makes up approx 0.36% of Advisors Asset Management’s portfolio.Pointe Capital Management reduced its stake in IGD by selling 6,179 shares or 4.41% in the most recent quarter. The Hedge Fund company now holds 133,898 shares of IGD which is valued at $965,405. Voya Global Equity Div & Prm Oppty Fund makes up approx 0.70% of Pointe Capital Management’s portfolio.
Voya Global Equity Div & Prm Oppty Fund opened for trading at $7.29 and hit $7.32 on the upside on Tuesday, eventually ending the session at $7.3, with a gain of 0.69% or 0.05 points. The heightened volatility saw the trading volume jump to 4,23,744 shares. Company has a market cap of $200 M.
Voya Global Equity Dividend and Premium Opportunity Fund is a diversified closed-end management investment company. The primary objective of the Fund is to provide a high level of income with a secondary objective of capital appreciation. The Fund seeks to achieve its objectives by investing in a portfolio of global common stocks that have a history of attractive dividend yields and employing an option strategy of writing call options on a portion of the equity portfolio. The Fund sells call options on selected indexes and on individual securities and exchange traded fund (ETFs) to seek gains and lower volatility of total returns over a market cycle. The Fund invests in different sectors such as financials health care industrials information technology consumer discretionary energy consumer staples telecommunication services materials and utilities. Voya Investments LLC is the investment adviser for the Fund and NNIP Advisors B.V. is the sub-adviser.