Transaction facts
Stored Form 4 columns with their raw values
- Type
- Sell Code S
- Identifier
- 0001240810-26-000009 Virtus Diversified Income & Convertible Fund
- Transaction date
- Aug 10, 2026 Filed Aug 26, 2026, 06:44 PM · 16d delay
- Shares
- 10.4k sh $2.73k per share
- Estimated value
- -$28.6M Computed from shares × price
- Holdings after
- 0 sh Direct