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AllianzGI Convertible & Income Fund II Reports Results for the Fiscal Quarter and Nine Months Ended November 30, 2020

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AllianzGI Convertible & Income Fund II (NYSE: NCZ) reported its fiscal results for the quarter and nine months ended November 30, 2020. The Fund's net assets increased to $674.56 million, up from $656.77 million in 2019. The net asset value (NAV) rose to $5.30 compared to $5.06 in the previous year. However, net investment income dropped to $6.44 million from $8.96 million, reflecting a decrease in income per share from $0.12 to $0.08. The market price was recorded at $4.81, showing a discount to NAV of (9.25%).

Positive
  • Increased net assets: $674.56 million vs. $656.77 million YoY.
  • NAV increased to $5.30 from $5.06 YoY.
  • Net realized gains significantly increased to $36.29 million YoY.
Negative
  • Net investment income decreased to $6.44 million from $8.96 million YoY.
  • Income per share dropped from $0.12 to $0.08 YoY.
  • Overdistributed net investment income per common share was $(0.1269) compared to $(0.1651) YoY.

AllianzGI Convertible & Income Fund II (the "Fund") (NYSE:NCZ), a diversified closed-end management investment company which seeks to provide total return through a combination of capital appreciation and high current income, today announced its results for the fiscal quarter and nine months ended November 30, 2020.

At November,

2020

 

2019

Net Assets (a)

$674,562,727

$656,769,319

Common Shares Outstanding

76,115,749

76,073,659

Net Asset Value ("NAV")

$5.30

$5.06

Market Price

$4.81

$4.97

Discount to NAV

(9.25)%

(1.78)%

Overdistributed Net Investment Income
Per Common Share (b)

$(0.1269)

$(0.1651)

 

Quarter ended November 30,

2020

 

2019

Net Investment Income (c)

$6,442,782

$8,957,489

Per Common Share (c)

$0.08

$0.12

Net Realized and Change in Unrealized Gain (c)

$36,285,601

$6,795,085

Per Common Share (c)

$0.49

$0.08

 

Nine months ended November 30,

2020

 

2019

Net Investment Income (c)

$20,611,088

$27,864,620

Per Common Share (c)

$0.27

$0.37

Net Realized and Change in Unrealized Gain (c)

$49,199,166

$15,484,486

Per Common Share (c)

$0.65

$0.19

(a)

Net assets are inclusive of Preferred Shares of $271,525,000.

 

(b)

Since the Fund's net earning rates fluctuate from month to month, there will be periods when the Fund may over-earn or under-earn its monthly dividend rate. This fluctuation will have the effect of adding to or subtracting from the Fund's overdistributed net investment income balance. Fund management analyzes the current and projected net earning rates prior to recommending dividend amounts to the Fund's Board of Trustees for declaration. There can be no assurance that the monthly dividend rate will remain at its current level or that the undistributed net investment income balance, if any, will be sufficient to cover any shortfall in earnings to meet the current dividend rate. The overdistributed net investment income balance is exclusive of market premium amortization on corporate bonds in accordance with federal income tax treatment. The overdistributed net investment income balance includes realized gain (loss) on the sale of contingent debt and Section 305 sales adjustments for accrual of deemed dividends from investments in convertible debt in accordance with federal income tax treatment.

 

(c)

Net Investment Income for the fiscal quarter and nine months ended November 30, 2020 includes market premium amortization on corporate bonds of $256,595 (less than $0.01 per common share) and $809,621 ($0.01 per common share), respectively. Net Investment Income for the fiscal quarter and nine months ended November 30, 2019 includes market premium amortization on corporate bonds of $265,850 (less than $0.01 per common share) and $739,247 ($0.01 per common share), respectively. For tax purposes, the Fund has elected not to amortize market premium on corporate bonds.

Allianz Global Investors U.S. LLC an indirect, wholly-owned subsidiary of PFP Holdings, Inc., serves as the Fund's investment manager and is a member of Munich-based Allianz Group.

The Fund's daily New York Stock Exchange closing market price, NAV, as well as other information, are available at us.allianzgi.com/closedendfunds or by calling the Fund's shareholder servicing agent at (800) 254-5197.

The financial information contained herein is solely based upon the data available at the time of publication of this press release, and there is no assurance that any future results will be the same or similar to the results reported herein. Information that was obtained from third party sources we believe to be reliable is not guaranteed as to its accuracy or completeness. This press release contains no recommendations to buy or sell any specific securities and should not be considered investment advice of any kind. Past performance is no guarantee of future results and the investment returns generated by the Fund will fluctuate. There can be no assurance that the Fund will meet its stated objective. The Fund's ability to pay dividends to common shareholders is subject to the restrictions in its registration statement, By-laws and other governing documents as well as the Investment Company Act of 1940. In making any investment decision, individuals should utilize other information sources and the advice of their own professional adviser.

FAQ

What were AllianzGI Convertible & Income Fund II's net assets as of November 30, 2020?

The net assets were $674.56 million as of November 30, 2020.

How much did the net investment income decrease for NCZ in the latest fiscal quarter?

Net investment income decreased to $6.44 million from $8.96 million in the previous year.

What was the market price and discount to NAV for NCZ on November 30, 2020?

The market price was $4.81, with a discount to NAV of (9.25%).

How did the NAV change for AllianzGI Convertible & Income Fund II from 2019 to 2020?

NAV increased to $5.30 in 2020 from $5.06 in 2019.

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