A detailed history of Horizon Kinetics Asset Management LLC transactions in Pimco Income Strategy Fund Ii stock. As of the latest transaction made, Horizon Kinetics Asset Management LLC holds 325,827 shares of PFN stock, worth $2.42 Million. This represents 0.04% of its overall portfolio holdings.

Number of Shares
325,827
Previous 276,534 17.83%
Holding current value
$2.42 Million
Previous $1.98 Million 25.23%
% of portfolio
0.04%
Previous 0.04%

Shares

19 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2024

Nov 13, 2024

BUY
$7.02 - $7.62 $346,036 - $375,612
49,293 Added 17.83%
325,827 $2.48 Million
Q2 2024

Aug 14, 2024

SELL
$7.01 - $7.53 $22,432 - $24,096
-3,200 Reduced 1.14%
276,534 $1.98 Million
Q3 2023

Nov 14, 2023

SELL
$6.51 - $7.27 $2,532 - $2,828
-389 Reduced 0.14%
279,734 $1.84 Million
Q2 2023

Aug 14, 2023

SELL
$6.84 - $7.25 $1,217 - $1,290
-178 Reduced 0.06%
280,123 $2.02 Million
Q1 2023

May 12, 2023

SELL
$6.94 - $8.0 $1,457 - $1,680
-210 Reduced 0.07%
280,301 $2.01 Million
Q4 2022

Feb 07, 2023

SELL
$6.77 - $7.7 $533,591 - $606,890
-78,817 Reduced 21.93%
280,511 $1.98 Million
Q2 2022

Aug 05, 2022

SELL
$7.13 - $8.92 $3,279 - $4,103
-460 Reduced 0.13%
359,328 $2.85 Million
Q1 2022

May 13, 2022

SELL
$8.31 - $9.63 $113,456 - $131,478
-13,653 Reduced 3.66%
359,788 $3.12 Million
Q4 2021

Feb 15, 2022

SELL
$9.31 - $10.12 $127,239 - $138,310
-13,667 Reduced 3.53%
373,441 $3.57 Million
Q3 2021

Nov 15, 2021

SELL
$9.97 - $11.42 $164,505 - $188,430
-16,500 Reduced 4.09%
387,108 $3.93 Million
Q2 2021

Aug 16, 2021

SELL
$10.2 - $11.02 $303,093 - $327,459
-29,715 Reduced 6.86%
403,608 $4.43 Million
Q1 2021

May 11, 2021

SELL
$9.93 - $10.33 $39,024 - $40,596
-3,930 Reduced 0.9%
433,323 $4.46 Million
Q4 2020

Feb 16, 2021

SELL
$9.02 - $10.12 $32,111 - $36,027
-3,560 Reduced 0.81%
437,253 $4.34 Million
Q3 2020

Nov 16, 2020

BUY
$8.8 - $9.28 $12,328 - $13,001
1,401 Added 0.32%
440,813 $4 Million
Q2 2020

Aug 14, 2020

SELL
$7.0 - $9.2 $94,584 - $124,310
-13,512 Reduced 2.98%
439,412 $3.83 Million
Q1 2020

May 13, 2020

SELL
$5.87 - $10.9 $118,403 - $219,863
-20,171 Reduced 4.26%
452,924 $3.43 Million
Q4 2019

Feb 14, 2020

SELL
$10.36 - $10.71 $26,635 - $27,535
-2,571 Reduced 0.54%
473,095 $5.01 Million
Q2 2019

Aug 14, 2019

SELL
$10.28 - $10.61 $5,828 - $6,015
-567 Reduced 0.12%
475,666 $5.03 Million
Q1 2019

May 15, 2019

BUY
$9.68 - $10.45 $4.61 Million - $4.98 Million
476,233 New
476,233 $4.9 Million

Others Institutions Holding PFN

About PIMCO Income Strategy Fund II


  • Ticker PFN
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • PIMCO Income Strategy Fund II is a closed-ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. It is co-managed by Pacific Investment Management Company LLC. The fund invests in the fixed income markets of the United States. It invests in securities of companies operating across the diversified sec...
More about PFN
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