Mutual Funds: Prospectus Objectives - Convertible Bond

Back to Mutual Funds Prospectus Objectives main page
Symbol
Name
Price
% Chg
% Chg YTD
M:ANCMX AllianzGI Convertible P 34.43 -0.32% 12.19%
M:ANNAX AllianzGI Convertible Administrative 34.55 -0.32% 12.14%
M:ANNPX AllianzGI Convertible Institutional 34.37 -0.32% 12.28%
M:ANZAX AllianzGI Convertible A 34.74 -0.29% 12.54%
M:ANZCX AllianzGI Convertible C 34.77 -0.32% 12.02%
M:ANZRX AllianzGI Convertible R 34.63 -0.29% 12.36%
M:ARBIX Absolute Mohican Convertible Arbtrg 1 10.20 +0.10%
M:CCVCX Calamos Convertible C 17.97 -0.11% 12.52%
M:CCVIX Calamos Convertible A 18.17 -0.06% 12.86%
M:CCVRX Calamos Convertible R 18.09 -0.11% 12.78%
M:CCVTX Calamos Convertible T 17.98 +0.00%
M:CICVX Calamos Convertible I 16.37 -0.06% 12.74%
M:CNSAX Invesco Convertible Securities A 24.62 -0.20% 6.58%
M:CNSBX Invesco Convertible Securities B 24.65 -0.24% 6.39%
M:CNSCX Invesco Convertible Securities C 24.47 -0.20% 6.39%
M:CNSDX Invesco Convertible Securities Y 24.66 -0.20% 6.61%
M:CNSFX Invesco Convertible Securities R6 24.65 -0.24% 6.62%
M:CNSIX Invesco Convertible Securities R5 24.64 -0.24% 6.62%
M:COCRX Columbia Convertible Securities Inst2 20.13 -0.20% 12.21%
M:COVRX Columbia Convertible Securities Adv 20.15 -0.20% 12.19%
M:CSFYX Columbia Convertible Securities Inst3 20.28 -0.25% 12.23%
M:CVBRX Columbia Convertible Securities R 19.93 -0.20% 12.03%
M:CVBWX Columbia Convertible Securities T 19.90 -0.20% 12.11%
M:F00000Q6TW 1290 VT Convertible Securities K 11.68 +0.34%
M:F00000Q6TX 1290 VT Convertible Securities IB 11.68 +0.34%
  1. 1 - 25 of 76
  2. First
  3. Previous
  4. Next
  5. Last

{{root.upsell.info.feature_headline}}.

{{root.upsell.info.feature_description}}

Please note that this feature is only available as an add-on to YCharts subscriptions.


Please note that this feature requires full activation of your account and is not permitted during the free trial period.

Start My Free Trial {{root.upsell.info.call_to_action}} No credit card required.

Already a subscriber? Sign in.