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AllianzGI Convertible & Income Fund, 5.625% Series A Cumulative Preferred Shares
Ticker Symbol: NCV-A     CUSIP: 018828707     Exchange: NYSE
Security Type:   Traditional Preferred Stock

QUANTUMONLINE.COM SECURITY DESCRIPTION:  AllianzGI Convertible & Income Fund, 5.625% Series A Cumulative Preferred Shares, liquidation preference $25 share, redeemable at the issuer's option on or after 9/20/2023 at $25 per share plus accrued and unpaid dividends, and with no stated maturity. Cumulative distributions of 5.625% per annum ($1.40625 per annum or $0.3515625 per quarter) will be paid quarterly on 3/31, 6/30, 9/30 & 12/31 to holders of record on the record date that will on the fifth preceding business day prior to the payment date (NOTE: the ex-dividend date is one business day prior to the record date). The Fund may also be required under certain circumstances to redeem the Preferred Shares before or after 9/20/2023, in order to meet certain regulatory or rating agency asset coverage requirements (see prospectus for further information). .Prior to 9/20/2023. the Fund reserves the right to redeem the Preferred Shares at any time if it is necessary, in the judgment of the Board, to maintain its status as a regulated investment company (a RIC). The Preferred Shares will be subject to mandatory redemption if the Fund fails to satisfy certain asset coverage tests (see prospectus for further information). Dividends paid by preferreds issued by closed-end funds can be 0% to 100% eligible for the preferential income tax rate of 15% to a maximum of 20% depending on the holder's tax bracket (and under IRS specified holding restrictions) and can also be 0% to 100% eligible for the dividends received deduction for corporate holders (see page 88 of the prospectus for further information). This security was not rated by Moodys or S&P at the time of its IPO. In regard to the payment of dividends and upon liquidation, the preferred shares rank junior to the company's senior debt, equally with other preferreds of the company, and senior to the common shares of the company. See the IPO prospectus for further information on the preferred stock by clicking on the ‘Link to IPO Prospectus’ provided below.
Stock
Exchange
Cpn Rate
Ann Amt
LiqPref
CallPrice
Call Date
Matur Date
Moodys/S&P
Dated
Distribution Dates 15%
Tax Rate
NYSE
Chart
5.63%
$1.41
$25.00
$25.00
9/20/2023
None
NR NF
2/20/2024
3/31, 6/30, 9/30 & 12/31
Click for MW ExDiv Date
Click for Yahoo ExDiv Date
Variable

Go to Parent Company's Record (NCV)

IPO - 9/14/2018 - 4.00 Million Shares @ $25.00 /share.    Link to IPO Prospectus
Market Value $ Million

Company's Online Information Links
HOME PAGE:     http://www.allianzinvestors.com/closedEndFunds/
ETF Fund's Information Go to Fund Information
ETF Funds's Online News Releases Go to News Releases
Online ETF Fund Profile Go to Online Profile

Company's Online SEC EDGAR Filings
Company's SEC EDGAR Filings Go to SEC Filings

Company's Email Address Links
Email Address AllianzInvestors@bfdsmidwest.com
Email Contact Form on Website Go to Email Form

Address and Phone Numbers
Address:   1633 Broadway, New York, NY 10019
Main Phone Number 212-739-3371
Fax Number Not Available
Investor Contact 800-254-5197
Toll Free Phone Number 877-716-9787


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