The estimated Net Worth of Christopher A Sheldon is at least 220 千$ dollars as of 17 July 2018. Mr Sheldon owns over 14,994 units of KKR Income Opportunities Fund stock worth over 220,112$ and over the last 6 years he sold KIO stock worth over 0$.
Mr has made over 1 trades of the KKR Income Opportunities Fund stock since 2018, according to the Form 4 filled with the SEC. Most recently he bought 14,994 units of KIO stock worth 248,301$ on 17 July 2018.
The largest trade he's ever made was buying 14,994 units of KKR Income Opportunities Fund stock on 17 July 2018 worth over 248,301$. On average, Mr trades about 7,497 units every 0 days since 2018. As of 17 July 2018 he still owns at least 14,994 units of KKR Income Opportunities Fund stock.
You can see the complete history of Mr Sheldon stock trades at the bottom of the page.
Christopher A. Sheldon is the Portfolio Mang. at KKR Income Opportunities Fund.
Christopher's mailing address filed with the SEC is C/O KKR CREDIT ADVISORS (US) LLC, 555 CALIFORNIA STREET, 50TH FLOOR, SAN FRANCISCO, CA, 94104.
Over the last 11 years, insiders at KKR Income Opportunities Fund have traded over 0$ worth of KKR Income Opportunities Fund stock and bought 58,045 units worth 953,579$ . The most active insiders traders include Suzanne Donohoe、Christopher A Sheldon、Eric J Mogelof. On average, KKR Income Opportunities Fund executives and independent directors trade stock every 446 days with the average trade being worth of 170,420$. The most recent stock trade was executed by Suzanne Donohoe on 20 March 2020, trading 9,551 units of KIO stock currently worth 99,903$.
kkr income opportunities fund is a non-diversified, closed-end management investment company. the fund's primary investment objective is to seek a high level of current income with a secondary objective of capital appreciation. it seeks to achieve its investment objectives by employing a strategy of investing in a targeted portfolio of loans and fixed-income instruments of the united states and the non-united states issuers. under normal market conditions, it invests approximately 80% of its managed assets in loans and fixed-income instruments or other instruments. it expects to invest in first-and second lien secured loans, unsecured loans and high-yield corporate debt instruments of varying maturities. it invests in sectors, such as banks, building products, chemicals, communications equipment, diversified telecommunication services, electric utilities, insurance, information technology services, machinery and media. kkr credit advisors (us) llc is the fund's investment advisor.
KKR Income Opportunities Fund executives and other stock owners filed with the SEC include: