PIMCO Income Strategy Fund II (NYSE:PFN) Shares Cross Above Fifty Day Moving Average – What’s Next?

PIMCO Income Strategy Fund II (NYSE:PFNGet Free Report)’s share price crossed above its fifty day moving average during trading on Thursday . The stock has a fifty day moving average of $6.94 and traded as high as $6.94. PIMCO Income Strategy Fund II shares last traded at $6.9260, with a volume of 484,005 shares.

PIMCO Income Strategy Fund II Price Performance

The firm has a fifty day moving average of $6.93 and a 200 day moving average of $7.14.

PIMCO Income Strategy Fund II Announces Dividend

The business also recently announced a monthly dividend, which will be paid on Wednesday, July 1st. Shareholders of record on Thursday, June 11th will be issued a $0.0718 dividend. This represents a c) annualized dividend and a yield of 12.3%. The ex-dividend date is Thursday, June 11th.

Institutional Inflows and Outflows

Institutional investors have recently modified their holdings of the stock. Concurrent Investment Advisors LLC acquired a new position in PIMCO Income Strategy Fund II in the fourth quarter valued at approximately $2,340,000. Keudell Morrison Wealth Management acquired a new stake in PIMCO Income Strategy Fund II during the fourth quarter worth $703,000. Simplicity Wealth LLC purchased a new stake in PIMCO Income Strategy Fund II in the fourth quarter valued at $603,000. Shaker Financial Services LLC purchased a new stake in PIMCO Income Strategy Fund II in the fourth quarter valued at $794,000. Finally, Highline Wealth Partners LLC lifted its stake in shares of PIMCO Income Strategy Fund II by 1,030.3% in the 4th quarter. Highline Wealth Partners LLC now owns 3,730 shares of the financial services provider’s stock valued at $28,000 after purchasing an additional 3,400 shares during the last quarter.

About PIMCO Income Strategy Fund II

(Get Free Report)

PIMCO Income Strategy Fund II (NYSE: PFN) is a closed-end management investment company that seeks to provide high current income by investing principally in a diversified portfolio of credit instruments. The fund’s assets are allocated across a range of fixed income sectors, including corporate debt, asset- and mortgage-backed securities, emerging market debt, and other income-producing instruments, both in the U.S. and international markets.

The fund employs a flexible investment approach designed by PIMCO’s portfolio management team, incorporating the use of leverage and derivatives to enhance yield and manage duration risk.

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