Revive Therapeutics Ltd
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Health Care : Pharmaceuticals | Small Cap Value
Based in Canada
Company profile

Revive Therapeutics Ltd. is a Canada-based life sciences company. The Company is focused on the research and development of therapeutics for rare disorders and infectious diseases. The Company is exploring the use of Bucillamine for the treatment of infectious diseases, with an initial focus on severe influenza and COVID-19. Through its subsidiary, Psilocin Pharma Corp., the Company is advancing the development of Psilocybin-based therapeutics in various diseases and disorders. The Company’s cannabinoid pharmaceutical portfolio focuses on rare inflammatory diseases and the Company was granted Food and Drug Administration (FDA) orphan drug status designation for the use of Cannabidiol (CBD) to treat autoimmune hepatitis (liver disease) and to treat ischemia and reperfusion injury from organ transplantation.

Price
Delayed
$0.038
Day's Change
-0.0008 (-1.94%)
Bid
--
Ask
--
B/A Size
--
Day's High
0.04
Day's Low
0.0363
Volume
(Light)

Today's volume of 61,165 shares is on pace to be much lighter than RVVTF's 10-day average volume of 1,235,418 shares.

61,165

AllianceBernstein Global High Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE

4:06 pm ET January 24, 2023 (PR Newswire) Print

AllianceBernstein Global High Income Fund, Inc.[NYSE: AWF] (the "Fund") today released its monthly portfolio update as of December 31, 2022.

AllianceBernstein Global High Income Fund, Inc.

Top 10 Fixed-Income Holdings                            Portfolio %
1) U.S. Treasury Notes 2.25%, 02/15/27                  1.49%
2) U.S. Treasury Notes 2.875%, 08/15/28                 0.73%
3) CCO Holdings 4.50%, 08/15/30 - 06/01/33              0.69%
4) Dominican Repubic Intl Bond 8.625%, 04/20/27         0.66%
5) CCO Holdings 4.75%, 02/01/32                         0.65%
6) Sirius XM Radio, Inc. 4.00%, 07/15/28                0.55%
7) Altice France SA/France 5.125%, 07/15/29             0.52%
8) Ford Motor Credit Co. LLC 7.35%, 11/04/27            0.51%
9) AMMC CLO 25 Ltd. 11.454%, 04/15/35                   0.50%
10) Royal Caribbean Cruises 5.50%, 08/31/26 - 04/01/28  0.49%
Investment Type                         Portfolio %
Corporates - Non-Investment Grade
Industrial
Communications - Media                  6.87%
Consumer Non-Cyclical                   6.25%
Energy                                  4.60%
Consumer Cyclical - Automotive          3.97%
Communications - Telecommunications     3.42%
Basic                                   3.40%
Services                                3.32%
Consumer Cyclical - Other               3.30%
Capital Goods                           3.27%
Consumer Cyclical - Retailers           2.85%
Consumer Cyclical - Entertainment       2.63%
Technology                              2.57%
Transportation - Services               1.21%
Transportation - Airlines               0.80%
Consumer Cyclical - Restaurants         0.67%
Other Industrial                        0.21%
SUBTOTAL                                49.34%
Credit Default Swaps                    17.41%
Financial Institutions
Finance                                 1.89%
REITs                                   1.07%
Brokerage                               0.95%
Banking                                 0.84%
Other Finance                           0.61%
Insurance                               0.58%
SUBTOTAL                                5.94%
Utility
Electric                                0.43%
Natural Gas                             0.17%
Other Utility                           0.15%
SUBTOTAL                                0.75%
SUBTOTAL                                73.44%
Corporates - Investment Grade
Financial Institutions
Banking                                 4.65%
Insurance                               1.42%
Finance                                 0.76%
REITs                                   0.29%
Brokerage                               0.13%
SUBTOTAL                                7.25%
Industrial
Energy                                  1.25%
Basic                                   0.98%
Consumer Non-Cyclical                   0.89%
Communications - Media                  0.65%
Consumer Cyclical - Other               0.62%
Technology                              0.46%
Transportation - Airlines               0.33%
Capital Goods                           0.28%
Consumer Cyclical - Retailers           0.24%
Consumer Cyclical - Entertainment       0.22%
Other Industrial                        0.20%
Communications - Telecommunications     0.18%
Consumer Cyclical - Automotive          0.12%
Services                                0.05%
Transportation - Railroads              0.04%
SUBTOTAL                                6.51%
Utility
Electric                                0.20%
SUBTOTAL                                0.20%
SUBTOTAL                                13.96%
Interest Rate Futures                   11.80%
Emerging Markets - Corporate Bonds
Industrial
Basic                                   1.27%
Consumer Cyclical - Other               0.97%
Consumer Non-Cyclical                   0.81%
Energy                                  0.74%
Capital Goods                           0.35%
Technology                              0.21%
Communications - Media                  0.11%
Communications - Telecommunications     0.09%
Services                                0.05%
Transportation - Services               0.02%
SUBTOTAL                                4.62%
Utility
Electric                                0.34%
SUBTOTAL                                0.34%
Financial Institutions
REITs                                   0.10%
Insurance                               0.04%
Finance                                 0.02%
Other Finance                           0.01%
SUBTOTAL                                0.17%
SUBTOTAL                                5.13%
Collateralized Mortgage Obligations
Risk Share Floating Rate                3.81%
Non-Agency Fixed Rate                   0.41%
Agency Fixed Rate                       0.34%
Non-Agency Floating Rate                0.34%
SUBTOTAL                                4.90%
Bank Loans
Industrial
Consumer Non-Cyclical                   0.91%
Technology                              0.79%
Communications - Telecommunications     0.73%
Capital Goods                           0.55%
Energy                                  0.47%
Other Industrial                        0.32%
Communications - Media                  0.23%
Consumer Cyclical - Retailers           0.14%
Consumer Cyclical - Other               0.12%
Services                                0.12%
Consumer Cyclical - Restaurants         0.09%
Consumer Cyclical - Automotive          0.05%
SUBTOTAL                                4.52%
Utility
Electric                                0.19%
SUBTOTAL                                0.19%
Financial Institutions
Finance                                 0.03%
SUBTOTAL                                0.03%
SUBTOTAL                                4.74%
Collateralized Loan Obligations
CLO - Floating Rate                     4.72%
SUBTOTAL                                4.72%
Commercial Mortgage-Backed Securities
Credit Default Swaps                    3.65%
Non-Agency Fixed Rate CMBS              0.79%
Non-Agency Floating Rate CMBS           0.03%
SUBTOTAL                                4.47%
Emerging Markets - Sovereigns
Emerging Markets - Sovereigns           3.91%
Credit Default Swaps                    0.28%
SUBTOTAL                                4.19%
Global Governments                      2.88%
Total Return Swaps                      1.09%
Common Stocks                           0.95%
Quasi-Sovereigns
Quasi-Sovereign Bonds                   0.81%
SUBTOTAL                                0.81%
Local Governments - US Municipal Bonds  0.46%
Inflation-Linked Securities             0.21%
Asset-Backed Securities
Other ABS - Fixed Rate                  0.12%
Autos - Fixed Rate                      0.08%
SUBTOTAL                                0.20%
Preferred Stocks
Industrials                             0.18%
SUBTOTAL                                0.18%
Interest Rate Swaps                     -0.01%
Forward Currency Exchange Contracts
Currency Instruments                    -0.15%
SUBTOTAL                                -0.15%
Reverse Repurchase Agreements           -1.02%
Cash & Cash Equivalents
Funds and Investment Trusts             0.62%
U.S. Treasury Bills                     0.22%
Cash                                    0.19%
SUBTOTAL                                1.03%
Derivative Offsets
Futures Offsets                         -11.83%
Swap Offsets                            -22.15%
SUBTOTAL                                -33.98%
TOTAL                                   100.00%
Country Breakdown         Portfolio %
United States             68.73%
United Kingdom            4.42%
France                    2.37%
Luxembourg                2.05%
Germany                   1.80%
Canada                    1.63%
Italy                     1.41%
Brazil                    1.39%
Mexico                    1.16%
Spain                     1.13%
Netherlands               0.78%
India                     0.69%
Switzerland               0.68%
Dominican Republic        0.66%
Colombia                  0.59%
Australia                 0.58%
Hong Kong                 0.56%
Bahrain                   0.55%
China                     0.52%
Israel                    0.51%
Macau                     0.50%
Sweden                    0.50%
Cote D'Ivoire             0.46%
Finland                   0.46%
Oman                      0.40%
Ireland                   0.39%
Peru                      0.36%
Angola                    0.34%
Nigeria                   0.32%
Senegal                   0.28%
Norway                    0.26%
Gabon                     0.24%
Indonesia                 0.21%
Egypt                     0.19%
Jersey (Channel Islands)  0.18%
Denmark                   0.16%
Ecuador                   0.16%
Argentina                 0.15%
Ukraine                   0.15%
Zambia                    0.15%
Kazakhstan                0.14%
El Salvador               0.13%
Japan                     0.13%
South Africa              0.13%
Turkey                    0.13%
Guatemala                 0.10%
Panama                    0.09%
Ghana                     0.07%
Jamaica                   0.06%
Venezuela                 0.06%
Chile                     0.05%
Belgium                   0.04%
Bermuda                   0.04%
Kuwait                    0.04%
Morocco                   0.04%
Cayman Islands            0.02%
Czech Republic            0.02%
Trinidad and Tobago       0.02%
Cash & Cash Equivalents   0.62%
Total Investments         100.00%
Net Currency Exposure Breakdown   Portfolio %
US Dollar                         100.31%
Norwegian Krone                   0.02%
Argentine Peso                    0.01%
Mexican Peso                      0.01%
New Zealand Dollar                0.01%
Polish Zloty                      0.01%
New Taiwan Dollar                 0.01%
Canadian Dollar                   -0.01%
Swiss Franc                       -0.01%
Chinese Yuan Renminbi (Offshore)  -0.01%
Indian Rupee                      -0.01%
South Korean Won                  -0.01%
Pound Sterling                    -0.02%
Colombian Peso                    -0.11%
Euro                              -0.20%
Total Net Assets                  100.00%
Credit Rating                  Portfolio %
AAA                            5.52%
AA                             0.60%
A                              2.23%
BBB                            14.56%
BB                             38.37%
B                              28.65%
CCC                            6.78%
CC                             0.14%
C                              0.08%
D                              0.02%
Not Rated                      3.52%
Short Term Investments         0.84%
Reverse Repurchase Agreements  -1.02%
N/A                            -0.29%
Total                          100.00%
Bonds by Maturity   Portfolio %
Less than 1 Year    2.24%
1 To 5 Years        45.25%
5 To 10 Years       43.99%
10 To 20 Years      3.23%
20 To 30 Years      1.61%
More than 30 Years  2.73%
Other               0.95%
Total Net Assets    100.00%
Portfolio Statistics:
Average Coupon:                                 7.39%
Average Bond Price:                             87.37
Percentage of Leverage(based on gross assets):
Bank Borrowing:                                 0.00%
Investment Operations:*                         23.88%
Preferred Stock:                                0.00%
Tender Option Bonds:                            0.00%
VMTP Shares:                                    0.00%
Total Fund Leverage:                            23.88%
Average Maturity:                               6.25 Years
Effective Duration:                             4.17 Years
Total Net Assets:                               $894.60 Million
Net Asset Value:                                $10.37
Total Number of Holdings:                       1,566
Portfolio Turnover:                             40.00%

* Investment Operations may include the use of certain portfolio management techniques such as credit default swaps, dollar rolls, negative cash, reverse repurchase agreements and when-issued securities.

The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The Fund is a closed-end U.S.-registered management investment company advised by AllianceBernstein L. P.

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View original content:https://www.prnewswire.com/news-releases/alliancebernstein-global-high-income-fund-inc-releases-monthly-portfolio-update-301729712.html

SOURCE AllianceBernstein Global High Income Fund, Inc.

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