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Insider Information:   Goldstein Phillip
Relationship:   10% Owner
City:   Pleasantville
State:   NY
   
Insider Summary:
  
   
Companies Owned :   14    
Direct Shares   1,193,329    

Indirect Shares

  6,538,662      
Direct Value   $2,865,587    

Indirect Value

  $955,795      
Total Shares   7,731,991      
Total Value   $3,821,382      


Aberdeen First Israel Fund
 $0 Aberdeen Emerging Markets
 $0 Mexico Equity & Income Fund Inc
 $98,670 Special Opportunities Fund Inc
 $408,594 ASA Gold & Precious Metals Ltd
 $42,600 Korea Equity Fund Inc
 $0 Imperial Holdings, Llc
 $45,105 Virtus Total Return Fund
 $0 Brookfield Dtla Fund Office Trust Investor Inc.
 $0 Swiss Helvetia Fund
 $136,781 Putnam High Income Bond Fund
 $1,661,736 Herzfeld Caribbean
 $472,100 Aberdeen First Israel Fund
 $0 Aberdeen Emerging Markets
 $0 Mexico Equity & Income Fund Inc
 $98,670 Special Opportunities Fund Inc
 $408,594 ASA Gold & Precious Metals Ltd
 $42,600 Korea Equity Fund Inc
 $0 Imperial Holdings, Llc
 $45,105 Virtus Total Return Fund
 $0 Brookfield Dtla Fund Office Trust Investor Inc.
 $0 Swiss Helvetia Fund
 $136,781 Putnam High Income Bond Fund
 $1,661,736 Herzfeld Caribbean
 $472,100
 


Historical Performance :
Based on 6 Month Return Percentages
Buys 
Sells 

     Total Filings :

    21   
    57    

     Stock price went up :

    13   
    39    
     Stock price went down :
    8   
    18    
   
     Gain/Loss Ratio :
   1.6   
   2.2   
     Percentage Gain/Loss :
   6.6%
 1,040.8%
     
   
Holdings :
     Menu Company Name Ticker Relation Direct Date Direct Shares Indirect Date Indirect Shares Total Value Sold  
            Aberdeen First Israel Fund ISL Director 2006-12-27 525 2005-08-18 0    Premium*  
            Aberdeen Emerging Markets ETF Director 2007-05-11 16,285 2007-05-11 693,599    Premium*  
            Mexico Equity & Income Fund Inc MXE Director 2021-10-15 10,002 2013-04-29 0    Premium*  
            Special Opportunities Fund Inc SPE Chairman and Secretary... 2023-12-28 31,822 2020-07-22 1,000    Premium*  
            ASA Gold & Precious Metals Ltd ASA Director 2013-06-20 2,400 2009-12-17 0    Premium*  
            Korea Equity Fund Inc KEF Director 2010-12-27 3,562 2010-09-21 732,551    Premium*  
            Imperial Holdings, Llc IFT Director, 10% Owner 2016-06-02 204,976 2016-06-02 4,285,185    Premium*  
            MVC Capital MVC 2020-12-23 0 2018-10-10 0    Premium*  
            Virtus Total Return Fund DCA See Explanation of Res... 2016-09-14 457,988 0    Premium*  
            Crossroads Capital Inc XRDC Director, 10% Owner 0 2017-06-07 826,327    Premium*  
            Brookfield Dtla Fund Office Trus... DTLAP 2019-01-02 682 2019-01-02 0    Premium*  
            Swiss Helvetia Fund SWZ Director 2021-07-02 16,783 2019-01-02 0    Premium*  
            Putnam High Income Bond Fund PCF Director 2023-04-21 244,373 2019-10-16 0    Premium*  
            Herzfeld Caribbean CUBA 10% Owner 2020-04-17 203,931 0    Premium*  
* Premium Members only  

Records found :    366         Free Registration Required For Full Results.    Limit: 25

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  Page 8 of 15
Ticker Company Name Relation   Off-Dir-10% Trans. Date Form Action Price Mkt Value D/I Shares    Holdings   
Rank

 
3m +/-  
Form
PCF Putnam High Income Bond F... Director   –       •      –    2020-12-08 4/A S $8.68 $3,194 D/D (368) 38,703 0 -
PCF Putnam High Income Bond F... Director   –       •      –    2020-12-16 4 S $8.82 $88,250 D/D (10,000) 19,481 0 %
MXE Mexico Equity & Income Fu... Director   –       •      –    2021-10-15 4 OE $8.90 $89,009 D/D 10,001 10,002 0 -
PCF Putnam High Income Bond F... Director   –       •      –    2020-12-18 4 S $9.02 $45,107 D/D (5,000) 14,481 0 %
MVC MVC Capital   •       •      –    2019-03-26 4 B $9.10 $4,705 D/D 517 22,666 0.01 -
PCF Putnam High Income Bond F... Director   –       •      –    2019-03-19 4 D $9.25 $11,535,731 I/I (1,247,106) 220,106 0 -
PCF Putnam High Income Bond F... Director   –       •      –    2019-03-19 4 D $9.25 $57,729 D/D (6,241) 0 0 -
PCF Putnam High Income Bond F... Director   –       •      –    2019-03-25 4 S $9.25 $2,035,000 I/I (220,000) 106 0 -
PCF Putnam High Income Bond F... Director   –       •      –    2019-03-25 4 B $9.25 $1,387,500 D/D 150,000 150,000 2.39 -
MVC MVC Capital   •       •      –    2018-10-10 4 S $9.41 $4,229,569 I/I (449,476) 0 0 -
MVC MVC Capital   •       •      –    2018-10-05 4 S $9.43 $621,975 I/I (65,957) 449,476 0 -
SWZ Swiss Helvetia Fund Director   –       •      –    2021-06-04 4 S $9.48 $731,404 D/D (76,958) 17,995 0 %
MVC MVC Capital   •       •      –    2018-10-04 4 S $9.50 $9,215 I/I (970) 515,433 0 -
MVC MVC Capital   •       •      –    2018-10-03 4 S $9.51 $85,923 I/I (9,035) 516,403 0 -
MVC MVC Capital   •       •      –    2018-10-02 4 S $9.58 $134,522 I/I (14,042) 525,438 0 -
MVC MVC Capital   •       •      –    2018-10-01 4 S $9.61 $46,253 I/I (4,813) 539,480 0 -
SWZ Swiss Helvetia Fund Director   –       •      –    2021-06-03 4 S $9.67 $19,284 D/D (1,994) 94,953 0 %
SWZ Swiss Helvetia Fund Director   –       •      –    2021-06-01 4 S $9.69 $97,920 D/D (10,089) 105,658 0 %
SWZ Swiss Helvetia Fund Director   –       •      –    2021-06-02 4 S $9.71 $84,650 D/D (8,711) 96,947 0 %
MVC MVC Capital Director   –       •      –    2018-09-21 4 S $9.75 $51,587 I/I (5,291) 554,504 0 -
MVC MVC Capital   •       •      –    2018-09-25 4 S $9.75 $65,325 I/I (6,700) 544,293 0 -
MVC MVC Capital Director   –       •      –    2018-09-24 4 S $9.78 $34,338 I/I (3,511) 550,993 0 -
SWZ Swiss Helvetia Fund Director   –       •      –    2021-07-02 4 S $9.79 $11,865 D/D (1,212) 16,783 0 %
MVC MVC Capital Director   –       •      –    2017-06-14 4 S $9.80 $23,358 I/I (2,384) 941,448 0 -
MVC MVC Capital Director   –       •      –    2017-06-13 4 S $9.82 $269,729 I/I (27,469) 943,832 0 -

  366  Records found
  1   2   3   4   5   6   7   8  9   10   11   12   13   14   15      
  Page 8 of 15  
 
Free Registration Required For Full Results.    Limit: 25

 
 
  Transaction Code Key: Ownership Code Key
  B - Buy AB - Automatic Buy D - Direct Ownership
  S - Sell AS - Automatic Sell I - Indirect Ownership
OE - Options Exercised A - Aquired
  IO - Initital Ownership D - Disposed