A detailed history of Envestnet Asset Management Inc transactions in First Trust High Income Long/Short Fund stock. As of the latest transaction made, Envestnet Asset Management Inc holds 11,034 shares of FSD stock, worth $0. This represents 0.0% of its overall portfolio holdings.

Number of Shares
11,034
Holding current value
$0
% of portfolio
0.0%

Shares

20 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q2 2024

Aug 08, 2024

BUY
$11.33 - $12.34 $125,015 - $136,159
11,034 New
11,034 $136,000
Q1 2023

May 11, 2023

BUY
$10.89 - $12.13 $121,913 - $135,795
11,195 New
11,195 $127,000
Q3 2021

Oct 07, 2021

SELL
$15.5 - $16.12 $233,662 - $243,009
-15,075 Closed
0 $0
Q2 2021

Aug 04, 2021

SELL
$14.98 - $15.78 $638,297 - $672,385
-42,610 Reduced 73.87%
15,075 $237,000
Q1 2021

May 04, 2021

BUY
$14.57 - $15.15 $131,843 - $137,092
9,049 Added 18.61%
57,685 $872,000
Q4 2020

Feb 02, 2021

BUY
$13.42 - $14.77 $122,484 - $134,805
9,127 Added 23.1%
48,636 $718,000
Q3 2020

Oct 09, 2020

BUY
$13.17 - $14.3 $167,667 - $182,053
12,731 Added 47.54%
39,509 $550,000
Q2 2020

Jul 08, 2020

BUY
$11.48 - $14.16 $154,440 - $190,494
13,453 Added 100.96%
26,778 $355,000
Q1 2020

Apr 23, 2020

SELL
$9.68 - $15.97 $13,658 - $22,533
-1,411 Reduced 9.58%
13,325 $162,000
Q4 2019

Feb 11, 2020

BUY
$14.91 - $15.75 $18,309 - $19,341
1,228 Added 9.09%
14,736 $232,000
Q3 2019

Oct 17, 2019

SELL
$14.6 - $15.22 $19,403 - $20,227
-1,329 Reduced 8.96%
13,508 $205,000
Q2 2019

Aug 02, 2019

BUY
$14.18 - $15.02 $19,143 - $20,277
1,350 Added 10.01%
14,837 $223,000
Q1 2019

May 10, 2019

SELL
$13.25 - $14.62 $36,371 - $40,131
-2,745 Reduced 16.91%
13,487 $197,000
Q4 2018

Feb 13, 2019

SELL
$12.78 - $14.73 $59,605 - $68,700
-4,664 Reduced 22.32%
16,232 $216,000
Q3 2018

Nov 14, 2018

BUY
$14.46 - $14.98 $41,529 - $43,022
2,872 Added 15.93%
20,896 $308,000
Q2 2018

Aug 10, 2018

SELL
$14.66 - $15.2 $32,325 - $33,516
-2,205 Reduced 10.9%
18,024 $266,000
Q1 2018

May 09, 2018

BUY
$14.98 - $16.81 $165,379 - $185,582
11,040 Added 120.14%
20,229 $305,000
Q4 2017

Feb 20, 2018

BUY
$16.07 - $17.13 $147,667 - $157,407
9,189 New
9,189 $152,000
Q3 2017

Nov 13, 2017

SELL
$16.75 - $17.17 $150,297 - $154,066
-8,973 Closed
0 $0
Q2 2017

Aug 14, 2017

BUY
N/A
8,973
8,973 $156,000

Others Institutions Holding FSD

About FIRST TRUST HIGH INCOME LONG/SHORT FUND


  • Ticker FSD
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • First Trust High Income Long/Short Fund is a closed-ended fixed-income mutual fund launched and managed by First Trust Advisors, L.P. It is co-managed by MacKay Shields LLC. The fund invests in fixed-income markets across the globe. It primarily invests in high-yield corporate fixed-income securities of varying maturities that are rated below-in...
More about FSD
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