Segment Heat Map

A heat map built by traders for traders. We don't just show you growth over various time periods but we also show the average of technical indicators that have been proven to be predictive by back testing. These include RSI, Demark-9 Indicators, Smooth Momentum (proprietary) and Support/ Resistance lines.

The below chart is an equal weighted average of the Asset Management industry. We use equal weighting so it's easy to understand when the highest quantity of companies enter a technical scenario that would be relevant to trading. Opposed to having the entire index skewed towards a few large companies.

Companies in Asset Management

Showing 289 Companies in Asset Management

Company 1 Day% 5 Day 1 Month 3 Month 6 Month 1 Year RSI 3mo S-momo ? 6mo S-momo 1yr S-momo Resistance ? Support Demark Sell ? Demark Buy Short Interest Score
MIN | MFS Intermediate Income T0.380.77-0.38-6.090.38-5.4227-1.26-1.470.01-16619.01-579.5201500
PML | PIMCO MUNICIPAL INCOME FU-0.240.98-2.14-4.3012.74-9.26212.093.855.07-23164.50182.4101250
WEA | Western Asset Premier Bon0.080.371.03-3.3310.156.23102.336.8812.35-10146.21-3890.2901250
AB | AllianceBernstein Holding0.51-0.83-2.970.3917.22-0.834917.255.728.82416.97-4720.14002.33006
ACP | abrdn Income Credit Strat-0.150.15-2.97-3.2610.87-0.46712.684.656.31-217.29-18588.671500-0.64284
ACV | Virtus Diversified Income0.97-0.13-6.25-1.4123.0217.0263180.8834.5134.98-333.07-26560.01001.65
ADX | Adams Diversified Equity 1.170.47-0.941.4416.0023.0356165.8837.1061.030.00-47532.96000
AFB | Alliance National Municip0.090.86-0.75-2.5915.17-1.3138167.4413.1813.10-1959.28-15610.01000
AFT | Apollo Senior Floating Ra1.121.761.694.7911.0715.827496.6819.5932.310.00-42927.73000
AGD | abrdn Global Dynamic Divi0.54-0.74-1.89-0.3210.520.976126.588.808.53-3457.08-21266.1615000
AIF | Apollo Tactical Income Fu0.280.701.49-0.4910.2415.9548110.9732.6163.76-1912.71-30598.18000
AMG | Affiliated Managers Group1.270.28-3.154.1130.3313.6867107.9321.3520.99-3589.08-22761.15002.37279
AMP | Ameriprise Financial, Inc0.741.58-4.226.4231.1644.2068191.3351.9973.530.00-36685.72001.49246
AOD | abrdn Total Dynamic Divid0.00-0.50-1.84-0.379.44-1.485529.986.416.45-1623.27-13894.4110000
APAM | ARTISAN PARTNERS ASSET MA2.67-0.07-6.76-1.5024.2027.29318.8627.8638.50-2174.15-20834.08008.9999
APO | Apollo Global Management,3.99-0.13-2.275.8333.9783.9355182.0272.51166.68-721.81-34794.97003.76448
ARCC | Ares Capital Corporation-1.49-1.15-0.151.737.0313.545331.2420.5931.85-2338.44297.8410005.55423
ARDC | ARES DYNAMIC CREDIT ALLOC0.651.30-1.062.2613.5916.907579.4130.0547.400.00-38709.89000
ARES | Ares Management Corporati2.230.760.364.4932.3864.0242154.72118.56237.57-1842.48-32961.03003.85335
ASG | LIBERTY ALL-STAR GROWTH F1.18-0.39-5.18-4.119.623.014468.7111.3015.20-2465.40168.11000
AVK | Advent Convertible and In0.861.38-0.85-1.0121.681.125367.4012.2514.42-2039.67-12157.48000
AWF | ALLIANCEBERSTEIN GLOBAL H-0.290.87-0.760.1010.844.8263162.4913.2420.16296.52-30192.15000
AWP | abrdn Global Premier Prop1.080.54-0.801.0810.03-4.60431.531.16-0.40-1058.19-4659.3010000
BAM | Brookfield Asset Manageme1.00-2.85-6.68-3.0731.0619.1538197.7034.4746.35-1556.60-14578.24007.7072
BBN | BlackRock Taxable Municip0.000.39-2.99-8.042.91-13.51391.382.805.03-17708.45-3483.0910000
BCX | BLACKROCK RESOURCES & COM0.22-0.76-2.968.385.88-0.6579-5.94-12.89-7.56-144.46-4063.0315000
BDJ | BlackRock Enhanced Equity0.000.37-1.111.2610.43-3.133810.064.164.96-23479.30-10091.11000
BEN | Franklin Resources, Inc.0.88-8.08-15.08-14.031.86-8.63294.748.7610.55-5297.89-8598.62005.18166
BFK | BlackRock Municipal Incom0.300.35-1.67-2.6312.901.224182.1714.3713.26-788.69-17105.11000
BFZ | BLACKROCK CA MUNICIPAL IN0.040.33-1.23-1.4015.46-2.396340.849.2110.42-234.23-24426.7710000
BGB | Blackstone Strategic Cred-0.250.340.471.299.7610.7958274.1518.9828.00-309.70-45842.28000
BGH | Barings Global Short Dura0.21-0.11-2.09-0.4313.988.1057281.9116.3822.42149.91-32413.4512500
BGR | Blackrock Energy and Reso1.12-1.98-3.859.121.9111.25781.361.41-1.35-344.20-21866.1315000
BGT | BlackRock Floating Rate I0.620.08-1.002.799.1314.256791.8229.0553.630.00-51818.4515000
BGX | Blackstone Long-Short Cre-0.081.150.242.088.3813.386985.7119.2930.18-556.13-30625.96000
BGY | BlackRock Enhanced Intern-0.190.19-1.12-0.389.50-4.335618.295.634.73-62.36-27556.2810000
BHK | BLACKROCK CORE BD TR-0.390.10-3.91-5.5810.36-5.75582.394.074.73-9324.43-1944.5810000
BIT | BLACKROCK MULTI-SECTOR IN0.210.00-0.26-0.907.315.046553.3214.8915.05-2326.08-26664.2912500
BK | Bank of New York Mellon C0.25-1.26-0.252.4131.1138.7623125.0643.8951.97-2615.21179.66001.04892
BKN | BlackRock Investment Qual-0.66-0.50-1.651.6921.334.177480.8318.7714.61-7461.32-12600.6215000
BKT | BlackRock Income Trust In0.351.16-3.24-5.804.51-9.48530.500.500.86-6277.93-5624.9410000
BLE | BlackRock Municipal Incom0.000.10-1.51-2.7114.760.6839126.6414.8814.19-1809.98-18738.43000
BLK | Blackrock, Inc.0.72-0.77-5.09-4.7422.8517.8432146.2128.7439.44-1226.31-23035.41001.74271
BLW | Blackrock Limited Duratio0.00-0.07-2.45-2.955.304.1647133.9317.2921.42-1329.28-31991.74000
BME | Blackrock Health Sciences0.031.10-1.40-7.087.75-6.242922.777.388.35-2953.02-6984.23000
BOE | BlackRock Enhanced Global0.100.00-1.66-0.599.660.105184.6510.149.64-381.37-30947.2410000
BSL | Blackstone Senior Floatin-0.07-0.07-0.213.458.9613.2366116.6722.3132.490.00-28716.5110000
BST | BlackRock Science and Tec0.260.00-3.30-4.2210.5813.013371.3631.2340.36-2431.03166.70000
BTO | John Hancock Financial Op0.971.52-0.82-0.8513.147.29173.827.729.59-23371.46-3109.87000
BTT | BlackRock Municipal 2030 -0.050.19-0.77-3.294.41-2.514417.815.945.51-2369.52173.67000
BTZ | BlackRock Credit Allocati0.291.49-3.03-6.489.28-1.066670.7912.7611.18-2206.13-21187.31000
BUI | BlackRock Utilities, Infr0.561.743.042.9910.73-6.5951-0.54-1.05-2.93-20322.67-4074.3610000
BX | Blackstone Inc.1.28-2.86-6.73-5.6325.5843.314810.2740.6077.76-2680.96-24933.47005.82424
BXMX | NUVEEN S&P BUY-WRITE INCO0.630.55-2.07-1.845.62-2.37305.703.624.69-2142.87-2438.69000
BYM | BLACKROCK MUNICIPAL INCOM0.18-0.18-3.35-4.6113.80-1.6155103.4313.8012.53503.18-16378.29000
CCD | Calamos Dynamic Convertib0.761.954.795.7325.103.975321.028.769.90-1813.50-10838.6810000.79186
CEM | ClearBridge MLP and Midst0.700.20-0.6313.9826.3248.8062240.3652.5273.67-1400.00-38814.5810000
CET | Central Securities Corp.0.51-0.02-1.116.4112.2621.036798.5527.3137.350.00-40245.2815000
CG | The Carlyle Group Inc. Co2.27-10.39-12.58-9.0143.9061.3531143.6855.9570.68-1761.17-26298.93006.4009
CGBD | Carlyle Secured Lending, 0.82-0.585.7115.9521.0830.044347.6920.2527.73-1050.00-20941.4310001.55066
CHI | Calamos Convertible Oppor0.630.54-1.510.738.187.927414.517.209.91-145.90-17823.71002.0484
CHW | Calamos Global Dynamic In0.931.56-1.366.0320.3312.826151.2512.5915.40-26.48-18837.001000-0.5
CHY | Calamos Convertible and H0.22-1.54-3.00-6.41-1.376.844544.4019.7820.84-2125.54-17360.37002.12322
CII | Blackrock Enhanced Captia1.061.99-1.35-1.915.278.703572.7211.8322.29-1669.29176.88000
CLM | Cornerstone Strategic Val0.131.36-3.243.032.33-3.9845-2.13-8.56-9.91-1554.97-3677.4910000
CNNE | Cannae Holdings, Inc. Com2.330.95-3.63-3.4418.9014.1354119.8518.1019.95-4247.77-7932.04002.1518
CNS | Cohen & Steers Inc.2.281.37-4.222.9828.8431.36169.3321.1629.44-4008.00-10341.600011.4387
CRF | Cornerstone Total Return 0.661.74-1.805.256.132.9743-0.43-3.35-5.35-1868.15-4400.3610000
CSQ | Calamos Strategic Total R0.830.51-2.340.4417.3318.3945164.0420.1733.760.00-33179.8410000.291774
CSWC | Capital Southwest Corp1.320.654.699.1020.9749.575137.0837.6756.27-2363.05-19866.16003.63498
CTR | ClearBridge MLP and Midst0.750.10-2.2112.9727.7351.2059232.1153.3978.45-1400.00-45982.7010000
DBL | DOUBLELINE OPPORTUNISTIC 0.580.67-1.54-2.252.994.27601.996.317.44-3022.90-17873.25000
DFP | FLAHERTY & CRUMRINE DYNAM0.821.54-1.651.1511.0211.6355219.4220.0617.19186.78-14396.98000
DHF | BNY Mellon High Yield Str0.050.48-0.80-0.807.397.3960153.3517.3418.68295.92-24360.64000
DHIL | Diamond Hill Investment G1.152.260.95-3.650.89-2.5543-15.23-20.18-13.38-14309.07-329.97001.21269
DIAX | NUVEEN DOW 30SM DYNAMIC O0.860.79-0.57-3.304.30-4.033712.704.775.05178.72-9326.96000
DMO | Western Asset Mortgage Op0.181.51-2.05-0.268.127.6161117.6014.7720.83-3964.23-25495.7412500
DNP | DNP Select Income Fund In0.800.00-2.341.15-7.97-16.9557-4.33-17.85-55.62-434.55-2961.02000
DPG | Duff & Phelps Utility and0.951.381.289.059.30-22.6044-8.02-7.48-17.86-1224.02-772.8210000
DSL | DOUBLELINE INCOME SOLUTIO1.221.88-0.40-1.436.417.423784.5716.9929.58-2343.73175.08000
DSM | BNY Mellon Strategic Muni0.351.61-0.70-1.2215.92-0.3549133.5311.4410.42-2592.73-6771.7310000
DSU | Blackrock Debt Strategies0.120.860.12-3.546.4012.5958163.9044.8669.970.00-45306.8312500
EAD | Allspring Income Opportun0.611.390.00-2.678.964.124436.4010.5912.34-4045.44-5.78000
ECPG | Encore Capital Group, Inc1.552.62-2.97-14.064.43-8.05290.402.625.10-8958.31-292.470014.5237
EDD | Morgan Stanley Emerging M0.881.99-1.83-3.153.36-2.33668.595.336.04-619.94-20398.2815000
EFR | Eaton Vance Senior Floati0.11-0.040.420.899.3916.185571.4736.4756.61-609.53-33649.26000
EFT | Eaton Vance Floating-Rate-0.30-0.450.380.6011.3217.285897.1732.1555.13-612.30-29120.61000
EIM | Eaton Vance Municipal Bon0.450.55-1.14-2.8110.79-1.233499.3313.8111.28-1682.80172.20000
EMD | Western Asset Emerging Ma0.662.44-2.430.7710.026.71773.8710.1914.29-658.59-17552.2915000
EMO | ClearBridge Energy Midstr0.17-1.42-1.5715.9024.0353.9660239.7372.44109.89-1400.00-36770.75000
EOI | Eaton Vance Enhanced Equi1.702.55-0.633.1918.9917.7650144.8619.4935.700.00-41582.4010000
EOS | Eaton Vance Enhance Equit1.512.65-0.201.8718.1625.6746159.0940.4561.120.00-40333.45000
EOT | EATON VANCE NATIONAL MUNI0.550.43-0.49-3.257.56-4.99420.802.002.89-16675.50-3387.32000
ERC | Allspring Multi-Sector In0.661.45-1.51-4.610.331.11482.265.437.70-13820.09-2408.86000
ETB | Eaton Vance Tax-Managed B0.681.29-1.980.607.385.774020.937.609.14-2557.41-9094.90000
ETG | Eaton Vance Tax-Advantage1.510.54-1.960.4216.8813.0160181.4422.3928.35-815.44-35081.5312500
ETJ | Eaton Vance Risk - Manage0.841.58-0.970.847.497.495020.2111.0714.27-1049.02-14746.38000
ETO | Eaton Vance Tax-Advantage0.66-0.20-1.65-0.0416.3311.5559153.3621.8229.22-3244.27-31173.6412500
ETV | Eaton Vance Tax-Managed B1.342.220.000.627.686.884319.419.2910.79-14592.02-11163.90000
ETW | Eaton Vance Tax-Managed G0.721.35-1.391.239.530.21508.654.244.25-787.02-12466.7510000
ETX | EATON VANCE MUNICIPAL INC0.872.444.243.517.832.846037.488.605.03-16629.20-16949.7610000
ETY | Eaton Vance Tax-Managed D0.753.070.674.9219.2717.4049127.7318.6927.63-1048.61-28138.54000
EVF | Eaton Vance Senior Income0.000.31-0.31-5.215.4620.874031.4956.1369.92-1468.49-353.92000
EVM | Eaton Vance California Mu0.770.120.930.2318.586.008673.5615.5117.66176.02-15394.2112500
EVN | Eaton Vance Municipal Inc0.460.86-2.22-3.468.84-1.2040136.6213.6912.24-1463.54-8622.22000
EVT | Eaton Vance Tax-Advantage0.640.24-2.493.3614.285.454587.678.087.96-1788.09-8215.3510000
EVV | Eaton Vance Limited Durat0.212.330.21-2.526.273.2136104.3312.5113.08-6652.62292.40000
EXG | Eaton Vance Tax-Managed G1.371.500.743.3013.216.416049.129.4410.54174.31-20076.8815000
FAX | abrdn Asia-Pacific Income1.60-1.17-5.22-4.515.83-4.87691.793.403.2212.77-12119.10000
FCT | First Trust Senior Floati0.59-0.191.283.105.747.51586.124.826.96-136.01-16935.19000
FDUS | Fidus Investment Corp.-0.88-0.593.577.989.0910.69352.365.835.77-3946.48-1451.02000.741024
FEI | FIRST TRUST MLP AND ENERG1.030.200.9316.3715.0132.397836.3633.6637.640.00-39149.5915000
FEN | First Trust Energy Income1.200.56-3.2013.7412.5726.427828.7929.0229.89172.25-25720.7515000
FFA | First Trust Enhanced Equi0.71-0.38-1.35-1.1911.1710.4958175.4718.8431.350.00-39979.87000
FFC | Flaherty & Crumrine Prefe0.281.78-1.930.0710.896.1851148.7121.4615.48-917.63-10956.6510000
FLC | Flaherty & Crumrine Total0.671.84-0.990.1812.385.4274271.6218.3113.56185.57-15168.49000
FOF | Cohen & Steers Closed End0.260.97-0.26-1.2912.445.814333.0512.4214.61-3106.25-11503.7010000
FPF | FIRST TRUST INTERMEDIATE 0.350.64-2.220.1219.3613.9177355.6529.3024.60-5803.81-20736.53000
FRA | Blackrock Floating Rate I0.080.461.943.479.1511.385649.769.9822.650.00-29347.4215000
FSD | FIRST TRUST HIGH INCOME L0.601.121.210.1310.155.685077.0713.1713.42302.59-25636.76000
FTF | Franklin Limited Duration0.321.451.29-1.265.180.64651.644.004.71-342.70-11425.55000
GAIN | Gladstone Investment Corp-0.140.212.605.493.496.76543.618.989.07-1159.94-9726.060012.8698
GBAB | Guggenheim Taxable Munici1.791.99-2.46-5.195.44-6.425320.916.355.70-1623.13-4551.74000
GBDC | Golub Capital BDC, Inc.-0.82-3.221.329.2815.7428.1667172.3586.88100.94182.27-28281.64004.26442
GGN | GAMCO Global Gold, Natura-0.86-1.350.637.059.677.91593.751.832.15-60.74-21921.5210000
GHY | PGIM Global High Yield Fu-0.090.70-0.86-0.869.685.965867.5311.2216.03-1487.83-18339.78000
GLAD | Gladstone Capital Corp-2.43-0.988.59116.96118.07126.68653.586.328.02-1342.73-13300.22000.684626
GLO | Clough Global Opportuniti0.610.00-3.54-1.2114.724.694026.2211.8513.21-1821.79-7639.94000
GOF | Guggenheim Strategic Oppo0.690.62-0.276.4013.40-9.80624.221.34-5.23-20367.06-10305.3910000
HFRO | Highland Opportunities an-0.47-0.62-6.01-5.60-13.38-22.4934-77.24-44.49-74.70-34285.16176.61000
HIO | Western Asset High Income0.27-0.40-4.10-6.031.91-1.067740.6010.6911.00-3300.88-15848.42000
HIX | Western Asset High Income-0.230.46-0.91-3.531.39-7.0248-2.71-5.02-8.14-4352.94-2050.85000
HPF | John Hancock Preferred In-0.550.060.551.6819.667.6316116.1418.7017.40-2315.60-12807.32000
HPI | John Hancock Preferred In-0.310.18-0.370.8018.668.1025166.0019.6118.86-2498.91-12437.23000
HPS | John Hancock Preferred In0.731.93-0.072.7623.119.5330117.8316.8618.20-1048.54-20153.96000
HQH | Tekla Healthcare Investor1.472.740.67-3.9510.80-5.33359.815.0412.04-20626.83-3911.70000
HQL | Tekla Life Sciences Inves1.513.931.74-2.8813.85-2.883215.356.608.81-2643.71-5034.50000
HRZN | Horizon Technology Financ0.001.294.80-9.931.550.0035-3.41-2.143.11-18628.04-1209.62001.05333
HTD | John Hancock Tax-Advantag1.071.852.224.4817.06-4.11287.683.481.95-2375.97-4811.07000
HYI | Western Asset High Yield -0.26-0.52-3.20-5.973.51-0.956346.077.989.19301.08-16035.48000
HYT | BLACKROCK CORPORATE HIGH 0.000.52-0.210.9313.0112.8850117.0720.0633.06-2638.66-21612.2410000
IFN | The India Fund, Inc.0.50-0.88-11.22-9.1711.1016.4531166.7160.74112.17-1815.87-36621.76000
IGA | VOYA GLOBAL ADVANTAGE AND0.57-1.790.691.748.964.417218.716.996.86197.42-18283.4610000
IGD | VOYA GLOBAL EQUITY DIVIDE0.59-2.86-1.170.206.260.596520.624.844.63-2524.69-9589.38000
IGI | Western Asset Investment -0.301.38-0.77-2.498.58-0.187519.517.937.97-410.68-11968.3615000
IGR | CBRE Global Real Estate I1.230.82-4.45-2.7618.75-6.97623.305.926.69-1321.92-4437.6512500
IIF | Morgan Stanley India Inve0.931.412.553.8510.5719.892212.3614.2522.26-2571.61-16998.49000
IIM | INVESCO VALUE MUNICIPAL I0.180.71-2.06-3.6311.75-3.593534.058.848.11-11478.35-7108.56000
IQI | INVESCO QUALITY MUNICIPAL0.000.43-0.90-2.5011.96-1.994669.9211.1110.09-681.96-14730.9710000
ISD | PGIM High Yield Bond Fund-0.160.24-2.04-2.3410.120.8944158.7111.6212.89-919.48-23919.4410000
IVZ | Invesco LTD1.32-0.95-12.73-8.7311.17-11.73392.052.492.84-17207.05-2814.56003.90142
JCE | Nuveen Core Equity Alpha 0.660.22-0.72-0.4411.9314.934745.6621.6530.54-5905.79-33275.4110000
JFR | Nuveen Floating Rate Inco0.001.400.351.639.708.205790.3114.1515.81-701.57-30176.72000
JGH | NUVEEN GLOBAL HIGH INCOME0.163.72-1.00-0.0818.0617.4255170.8722.0833.40-1754.92-28281.29000
JPC | Nuveen Preferred & Income0.562.000.42-0.1415.8815.1442106.8822.2624.92-5346.18-14221.16000
JPI | NUVEEN PREFERRED AND INCO0.420.90-0.211.7713.7014.7043232.1822.6522.82-11347.49-17493.63000
JQC | Nuveen Credit Strategies 0.001.820.003.3312.0511.6063221.8718.0621.10152.24-31546.92000
JRI | NUVEEN REAL ASSET INCOME 0.440.97-0.78-0.8712.49-0.61422.715.806.10-4494.95177.8010000
JRS | Nuveen Real Estate Income0.55-0.55-2.55-2.9415.240.14435.5212.6412.87-2208.58-8327.46000
KIO | KKR INCOME OPPORTUNITIES -0.08-0.15-0.753.1815.8519.8238200.8133.6264.80-2079.36-36474.75000
KKR | KKR & Co. Inc.2.111.66-3.762.5370.5589.3045191.5599.07157.66-2093.19-51881.87001.37369
KTF | DWS Municipal Income Trus0.210.75-2.203.8923.848.595672.0912.8313.12-317.93-18173.1410000
LDP | COHEN & STEERS LIMITED DU0.261.29-1.511.0915.3314.5225112.4828.7425.19-5085.76-12758.96000
LEO | BNY Mellon Strategic Muni1.022.05-0.17-0.3315.70-3.404385.428.148.77-1754.12-4318.8010000
LGI | Lazard Global Total Retur1.221.29-0.630.2520.316.8565137.4217.5617.50164.52-23875.0115000
MAIN | Main Street Capital Corpo-0.521.555.4310.8226.9522.8257240.9332.9938.070.00-31539.13007.25947
MAV | Pioneer Municipal High In0.830.89-1.12-2.4720.76-1.0042107.0413.6113.23-2165.02168.51000
MC | MOELIS & COMPANY2.904.24-7.98-5.1721.7443.86559.7625.4543.40-986.90-19099.90008.76393
MCI | Barings Corporate Investo1.323.547.78-2.6914.8433.9148153.19126.24158.45-958.67-30863.73000
MCR | MFS Charter Income Trust 0.320.98-1.43-4.177.07-1.43241.964.736.43-11838.56-2469.34000
MFM | MFS Municipal Income Trus0.000.39-1.92-2.498.510.0036204.2514.4413.95-1356.36-11738.48000
MHD | Blackrock Muniholdings Fu-0.170.26-2.21-3.6910.69-1.3729148.2612.9012.31-1897.40-17071.14000
MHI | Pioneer Municipal High In0.590.82-1.04-1.8319.97-1.1547127.8215.5813.57-6098.36-22096.4010000
MHN | BLACKROCK MUNIHOLDINGS NE0.150.88-1.53-2.9214.43-0.106171.1713.2712.60182.59-14770.81000
MIY | BLACKROCK MUNIYIELD MICHI0.000.36-3.74-2.8114.37-0.90534.0612.5211.73-20479.05-12341.8210000
MMD | MainStay MacKay DefinedTe-0.06-0.19-0.50-2.7310.08-6.52387.902.953.94-13597.82-6065.57000
MMU | Western Asset Managed Mun0.100.71-1.72-1.8712.64-0.5062103.3512.189.91-2115.92-12879.57000
MQT | Blackrock Muni Yield Qual0.100.82-2.56-4.3611.64-2.183491.9112.9811.59-2084.46-9747.94000
MQY | Blackrock Muni Yield Qual0.25-0.08-3.27-3.0416.001.7246135.0517.4916.66-1099.94-20142.8210000
MSB | Mesabi Trust1.32-2.66-5.28-10.75-18.32-23.2038-12.54-14.24-21.44-21092.0778.83006.50463
MSD | Morgan Stanley Emerging M0.991.57-1.390.1413.588.4254215.8519.7723.55-1050.00-36066.0610000
MUA | Blackrock Muni Assets Fun0.090.37-2.151.2120.556.2349169.7520.4916.52-6588.83-10580.08000
MUC | BLACKROCK MUNIHOLDINGS CA0.470.85-2.10-3.3314.51-0.285351.7711.4911.94-10879.08-13986.8810000
MUE | BLACKROCK MUNIHOLDINGS QU0.000.05-1.91-1.5111.770.00593.5110.499.37300.25-18578.4810000
MUI | BlackRock Municipal Incom-0.170.44-1.71-1.4515.180.356391.2114.7113.45290.72-27141.3210000
MUJ | BLACKROCK MUNIHOLDINGS NE-0.090.54-2.11-2.8710.40-0.094583.3911.7710.43-12422.37-14896.30000
MVF | BlackRock MuniVest Fund, 0.07-0.07-1.37-2.929.040.665554.1013.4312.49304.03-18936.1810000
MVT | Blackrock Munivest Fund I0.380.67-1.79-3.3312.850.1944121.4113.3313.44-1074.98-11110.4210000
MYD | Blackrock Muniyield Fund,0.380.28-2.58-1.7616.011.7324132.6619.0517.12-3487.25-13034.57000
MYI | BLACKROCK MUNIYIELD QUALI0.000.18-1.97-3.1911.29-2.15304.7614.6813.73-6272.91180.74000
MYN | BLACKROCK MUNIYIELD NEW Y0.10-0.05-2.80-2.1415.371.216196.5316.6015.38-1271.71-20257.09000
NAC | Nuveen California Quality0.190.84-0.37-1.1913.89-0.554879.4311.3310.46-1223.46-14413.0010000
NAD | Nuveen Quality Municipal 0.370.92-1.70-2.4810.12-3.17482.868.487.54-2620.24298.3410000
NAN | Nuveen New York Quality M-0.010.85-1.75-2.3813.87-1.11503.359.499.52-8105.20291.6710000
NBB | Nuveen Taxable Municipal 0.610.82-2.38-8.053.58-9.79201.553.296.13-2949.04-2765.17000
NBH | Neuberger Berman Municipa-0.49-0.35-1.47-2.1411.88-2.33602.949.197.77806.00-11352.05000
NCA | Nuveen California Municip0.110.69-2.46-3.116.48-1.914513.405.056.34-3024.98-317.62000
NCV | Virtus Convertible & Inco0.32-0.31-2.46-4.806.73-3.94351.231.862.76-2516.02-1367.36000
NCZ | Virtus Convertible & Inco0.710.71-2.74-2.747.58-3.07301.231.482.39-2963.32-1159.29000
NEA | Nuveen AMT-Free Quality M0.090.47-1.66-2.829.99-3.52483.249.538.56-12522.92298.8110000
NEWT | NewtekOne, Inc. Common St2.420.09-8.93-0.18-23.17-5.9830-37.28-56.63-17.12-49235.48292.900021.6056
NFJ | Virtus Dividend, Interest-0.17-0.33-1.88-1.9612.133.18373.308.0212.93-5548.67-2999.18000
NHS | Neuberger Berman High Yie0.130.00-1.61-4.1110.91-10.093316.285.255.09-15339.11-8422.21000
NIE | Virtus Equity & Convertib0.60-0.27-2.15-0.2712.8011.203059.1116.1826.07-2526.84175.26000
NKX | Nuveen California AMT-Fre0.431.29-2.561.8216.403.617939.8711.279.68-468.86-16599.8512500
NMFC | NEW MOUNTAIN FINANCE CORP-0.39-0.710.08-0.081.458.13360.711.144.42-6898.73179.92005.47296
NML | Neuberger Berman Energy I0.68-1.61-0.9414.6612.7318.55638.337.126.55-86.15-16198.4012500
NMZ | Nuveen Municipal High Inc0.581.17-0.773.6021.29-1.053315.958.757.59-10373.50-4114.63000
NQP | Nuveen Pennsylvania Quali0.611.31-1.28-1.2817.333.4956100.4113.5513.78-1477.08-15322.6710000
NRK | Nuveen New York AMT-Free 0.471.600.19-0.4617.074.3667178.9515.5614.33-1444.74-26449.7610000
NRO | Neuberger Berman Real Est1.280.32-3.65-4.8018.739.31256.6116.5921.70-536.43-11552.07000
NTG | Tortoise Midstream Energy1.40-1.03-1.1313.6614.9919.116919.7610.4712.72-1231.12-11628.2810000
NTRS | Northern Trust Corp0.540.14-3.785.5424.8514.07406.2414.1913.10-16791.81-4870.16001.6074
NUV | Nuveen Municipal Value Fu-0.120.59-0.93-3.415.07-3.19331.214.186.48-9445.32-3146.17000
NUW | Nuveen AMT-Free Municipal-0.190.590.59-1.817.01-2.09310.832.604.43-14384.38-2674.60000
NVG | Nuveen AMT-Free Municipal0.600.86-1.43-1.7714.850.09504.3112.6211.59-2003.91-14370.4510000
NXJ | Nuveen New Jersey Quality0.601.63-1.66-2.0714.202.9660252.6416.0015.14-2635.65-23706.8210000
NXP | NUVEEN SELECT TAX-FREE IN0.501.07-1.50-2.696.32-2.75662.045.406.60-409.29-22795.7512500
NZF | Nuveen Municipal Credit I0.340.68-1.34-1.1713.931.384066.4813.4112.18-1585.71-13172.28000
OIA | INVESCO MUNICIPAL INCOME 0.00-0.33-4.84-3.7915.97-1.617516.337.217.09-4218.39-18189.1515000
OPP | RiverNorth/DoubleLine Str0.841.29-0.54-1.4710.210.30552.574.295.16-23856.00-2292.2610000
PCK | PIMCO CALIFORNIA MUNICIPA0.701.052.13-0.6914.06-5.423622.157.908.48-25528.99-3631.49000
PCN | PIMCO Corporate & Income 0.550.95-9.88-5.488.59-1.167233.8410.2916.70-1077.19-29835.13000
PCQ | Pimco California Municipa1.321.88-0.54-2.758.61-7.16112.534.907.21-82600.86-598.53000
PDI | PIMCO Dynamic Income Fund0.791.37-2.49-1.8414.005.953650.1413.2015.81-9662.32-9633.49000
PDT | John Hancock Premium Divi1.232.77-0.175.3017.19-5.965929.5113.817.38-234.10-12594.33000
PEO | Adams Natural Resources F0.92-1.45-3.9211.936.7517.46952.953.971.15-2033.35-3830.5515000
PFL | PIMCO Income Strategy Fu0.121.09-2.11-1.4212.062.70123.7210.6312.60-2660.15-9804.45000
PFLT | PennantPark Floating Rate-0.88-1.650.441.3511.226.81211.755.036.76-3531.20-8009.67004.34665
PFN | PIMCO Income Strategy Fun0.542.22-1.47-1.9915.864.683226.1011.8914.69-1914.14-6130.42000
PHD | Pioneer Floating Rate Fun-0.100.94-0.31-0.5210.6812.2245108.7026.3035.44-1649.03-25809.4410000
PHK | PIMCO High Income Fund1.050.63-3.31-3.798.311.054839.269.9913.85-4356.50-10317.19000
PHT | Pioneer High Income Fund,0.140.95-2.180.3411.0011.846573.3023.3031.370.00-30537.2112500
PMF | PIMCO MUNICIPAL INCOME FU0.450.90-1.64-5.5711.83-8.97292.956.096.37-2106.35-4631.34000
PMM | Putnam Managed Municipal 0.090.60-0.42-4.6312.98-1.265435.5811.0611.36-2081.14-12397.25000
PMO | Putnam Municipal Opportun0.670.36-1.26-5.3710.69-2.64703.098.819.05-18355.04-7698.75000
PMX | PIMCO Municipal Income Fu-0.27-0.801.36-1.0617.67-6.75533.196.046.58-621.72-8334.17000
PNNT | Pennant Investment Corp0.43-0.702.023.5114.1946.284118.1024.0733.97-3129.59-12968.15000.848416
PPT | Putnam Premier Income Tru0.000.29-0.29-6.493.28-2.26370.762.796.49-2547.22-1256.73000
PSEC | Prospect Capital Corporat-0.57-0.95-4.22-10.152.35-16.8861-11.45-16.16-32.23-17732.88-2512.88004.35888
PSF | COHEN & STEERS SELECT PRE0.260.96-4.23-2.619.1811.0343113.8020.9620.06-7649.34-20834.9410000
PTY | PIMCO Corporate & Income 0.702.05-4.192.3410.589.666147.2815.0421.89-1079.66-45439.72000
QQQX | Nuveen NASDAQ 100 Dynamic1.180.30-3.19-1.758.51-1.58355.713.985.23-2156.01-3413.48000
RA | Brookfield Real Assets In0.081.20-1.82-2.243.60-25.9235-5.98-6.28-11.05-91933.17-192.60000
RCS | PIMCO STRATEGIC INCOME FU-0.343.69-3.44-4.9917.3010.696984.7924.0833.63-426.15-27731.63000
RFI | Cohen and Steers Total Re0.990.27-2.62-5.589.30-3.37324.3810.5710.44-2239.73-302.76000
RILY | B. RILEY FINANCIAL, INC.2.72-8.8043.6383.10-7.8016.6830-74.25-45.21-48.50-34343.26-594.530019.9689
RIV | RiverNorth Opportunities -0.172.400.341.1920.128.253399.5712.7015.35-1477.91-6151.88000
RMT | Royce Micro-Cap Trust Inc1.121.80-1.63-0.3315.8811.18294.8514.5120.02-6097.25-6332.03000
RNP | Cohen & Steers REIT and P0.56-0.35-2.91-3.0517.616.0330105.0620.3820.22-1223.01-13374.93000
RQI | COHEN & STEERS QUALITY IN0.550.27-4.75-6.2912.22-2.04255.2510.7511.67-3070.32-384.24000
RVT | Royce Value Trust, Inc.2.120.98-2.631.6219.1612.47255.4416.7022.21-6005.21-12780.76000
SAR | SARATOGA INVESTMENT CORP.-0.34-0.922.743.51-1.25-2.9618-12.64-13.03-16.88-29558.28-1768.00000.798602
SCD | LMP Capital and Income Fu1.10-0.69-0.366.7527.1525.2575141.1925.6543.680.00-37742.0815000
SCM | STELLUS CAPITAL INVESTMEN-0.420.007.4512.0412.31-0.9157-3.65-11.95-17.68167.32-3158.52000.0227463
SEIC | SEI Investments Co0.540.00-5.760.9122.9113.9962172.2620.2134.570.00-30037.1512502.3908
SLRC | SLR Investment Corp. Comm-0.26-0.392.253.556.849.57363.143.385.77-3086.89-884.70001.55
SPXX | NUVEEN S&P 500 DYNAMIC OV0.460.85-1.16-0.9010.240.65439.124.507.13-156.26-11394.85000
SRV | NXG Cushing Midstream Ene0.03-3.03-10.1314.865.4719.52929.278.028.05-958.78-38629.0915000
STK | Columbia Seligman Premium0.79-1.54-3.52-7.3618.3115.462746.5223.6842.45-2731.89189.65000
STT | State Street Corporation0.12-0.26-3.430.2313.076.21432.855.725.53-13706.03-3099.20001.32658
TCPC | BlackRock TCP Capital Cor-1.251.981.48-6.79-3.475.0030-5.16-3.98-3.32-15142.66-834.03002.2213
TDF | Templeton Dragon Fund3.533.537.1811.686.11-10.7064-15.50-31.05-52.74-35627.80-4025.19000
TEI | Templeton Emerging Market0.001.82-0.931.3414.445.9959170.5717.0216.59-3012.62-22663.5210000
THQ | TEKLA HEALTHCARE OPPORTUN0.352.701.495.1524.534.983377.8114.9815.30-1327.88-8106.58000
THW | Tekla World Healthcare Fu0.471.892.701.1024.13-8.44625.502.462.85190.57-10219.80000
TPVG | TRIPLEPOINT VENTURE GROWT-1.48-2.510.65-14.90-3.52-13.2317-2.39-1.73-2.41-53700.89194.42008.6472
TROW | T Rowe Price Group Inc0.78-2.51-4.701.3022.195.114636.659.9110.30-4691.23-6418.2710008.32031
TSI | TCW Strategic Income Fund0.44-0.22-2.44-4.181.10-1.50460.460.791.33-2938.09-999.98000
TSLX | Sixth Street Specialty Le-4.09-3.64-0.43-2.475.7716.31414.0121.5334.82-3761.47165.85002.53338
TY | TRI-Continental Corporati0.44-0.27-2.371.2614.4312.1446196.3621.5431.05-1055.75-28699.24000
USA | Liberty All-Star Equity F0.90-1.18-5.511.0613.0114.1661184.1120.2724.63-307.93-34645.75000
UTF | Cohen & Steers Infrastru1.14-0.52-1.373.5116.401.014615.027.005.65-19119.01-5325.92000
UTG | Reaves Utility Income Fun0.991.07-0.562.286.69-6.59420.920.05-5.07-26418.50-2963.6910000
VBF | INVESCO BOND FUND-0.520.07-2.12-5.298.41-3.867019.628.668.04-3133.63-6775.78000
VCTR | Victory Capital Holdings,1.86-0.3719.3746.4170.5672.977472.3025.2745.400.00-21119.6610004.78747
VCV | INVESCO CALIFORNIA VALUE0.520.47-1.13-1.3317.17-1.135681.1711.7910.59-9716.16-12827.0410000
VGM | Invesco Trust Investment0.000.74-0.73-2.8412.31-1.444657.7011.5010.40-1300.46-11153.1710000
VKI | Invesco Advantage Municip0.601.460.36-2.5712.84-1.184497.9711.4610.00-2023.08-10667.4910000
VKQ | Invesco Municipal Trust0.641.510.32-1.1612.44-0.8444126.3511.7410.20-1652.08-9554.5810000
VMO | Invesco Municipal Opportu0.110.86-1.58-3.1113.61-0.8547120.9113.0211.99-9012.29-14978.5510000
VOYA | VOYA FINANCIAL, INC.-0.642.56-1.431.923.511.3974-1.04-1.15-3.51-864.02-11127.52003.6881
VRTS | Virtus Investment Partner1.54-1.89-7.50-3.8219.4529.003660.1226.9250.83-2401.66-207.23000.764941
VVR | Invesco Senior Income Tr0.000.70-0.232.638.6115.956258.8841.6745.640.00-28174.87000
WHF | WhiteHorse Finance, Inc.1.170.936.113.916.8111.42564.343.614.86-1169.73-7615.33002.33606
WIA | Western Asset Inflation-L-0.060.08-1.92-3.010.83-8.9327-0.62-0.82-4.22-34635.60172.38000
WIW | Western Asset Inflation-L0.000.12-1.41-2.211.20-8.2843-0.71-1.03-5.81-975.13-2303.3610000
XFLT | XAI Octagon Floating Rate0.280.57-0.70-8.670.714.282012.9413.5234.09-2978.59-8778.84000
ZTR | Virtus Total Return Fund -0.74-0.19-2.711.5111.62-14.3361-0.53-1.56-8.28-40225.43-6517.9412500