Who owns Newfleet Multi-sector Income E?

Top Holders and Investors of Newfleet Multi-sector Income E Stock

Find out what company owns Newfleet Multi-sector Income E, who bought Newfleet Multi-sector Income E this quarter, and who sold shares of Newfleet Multi-sector Income E stock?

Fund or Company Name Number of Shares Valued At As Of
Aviance Capital Management 1.86M $90.56M Jun 2017
Name Advocacy Wealth Management Services 769612 $37.52M Jun 2017
AE Wealth Management 104671 $5.10M Jun 2017
Envestnet Asset Management 39067 $1.90M Jun 2017
Harwood Advisory 24022 $1.17M Jun 2017
Cognios Capital 19528 $951990 Jun 2017
Eqis Capital Management 19220 $936975 Jun 2017
Commonwealth Equity Services 18737 $913054 Jun 2017
Sawtooth Asset Management 15259 $744028 Jun 2017
Cambridge Investment Research Advisors 11218 $546989 Jun 2017
Burt Wealth Advisors 8780 $428025 Jun 2017
Argent Trust 8015 $390811 Jun 2017
Private Advisor 7223 $351976 Jun 2017
Susquehanna International 5851 $285002 Jun 2017
FormulaFolio Investments 5534 $269007 Mar 2017
Stratos Wealth Partners 4772 $233016 Jun 2017
Two Sigma Securities 4429 $214983 Mar 2017
Morgan Stanley 3832 $186005 Mar 2017
Advisor 3483 $170249 Jun 2017
WFG Advisors 2765 $134987 Jun 2017
Gradient Investments 2575 $125994 Jun 2017
Signature Estate and Investment Advisors 2360 $115002 Jun 2017
UBS Group AG 2289 $112000 Jun 2017
Creative Planning 1363 $65996 Jun 2017
Wells Fargo & Company 488 $23999 Jun 2017
Metlife Securities 439 $21001 Dec 2016
Ladenburg Thalmann Financial Services 269 $13450 Jun 2017
Citi 241 $11999 Jun 2017
Bank of America Corporation 34 $1999 Mar 2017
Parallax Volatility Advisers 1 $0 Jun 2017

Who sold Newfleet Multi-sector Income E?

Fund Name Date Sold Shares Held Valued At
Yorktown Management & Research Company March 31, 2017 25000 $1.22M
Global Financial Private Capital March 31, 2017 11051 $536968
Citadel Advisors March 31, 2017 10132 $493023
KCG Holdings March 31, 2017 6754 $327974
Jane Street March 31, 2017 4755 $230997
Royal Bank of Canada Dec. 31, 2016 1845 $89999
13F Holdings Report March 31, 2017 420 $20000