ALLEN BRAD (Treasurer) purchased 842.6% of their position (39.52K shares) of KEYSTONE PRIVATE INCOME FUND on the open market
Open‑market purchase worth $3.96M — a major conviction buy. The strongest form of insider conviction signal.
Class Y Shares
Shares
+550.00
Price / share
$100.00
Trade value
$55K
% of position
Class Y Shares
Shares
+610.00
Price / share
$100.00
Trade value
$61K
% of position
Class Z Shares
Shares
+335.34
Price / share
$101.39
Trade value
$34K
% of position
Class Z Shares
Shares
+1.97K
Price / share
$101.28
Trade value
$200K
% of position
Class Z Shares
Shares
+232.03
Price / share
$101.28
Trade value
$23.50K
% of position
Class Z Shares
Shares
+271.52
Price / share
$101.28
Trade value
$27.50K
% of position
Class Z Shares
Shares
+1.97K
Price / share
$101.28
Trade value
$200K
% of position
Class Z Shares
Shares
+1.48K
Price / share
$101.28
Trade value
$150K
% of position
Class Z Shares
Shares
+325.83
Price / share
$101.28
Trade value
$33K
% of position
Class Z Shares
Shares
+365.32
Price / share
$101.28
Trade value
$37K
% of position
Class Z Shares
Shares
+4.94K
Price / share
$101.28
Trade value
$500K
% of position
Class Z Shares
Shares
+2.98K
Price / share
$100.67
Trade value
$300K
% of position
Class Z Shares
Shares
+158.13
Price / share
$100.55
Trade value
$15.90K
% of position
Class Z Shares
Shares
+174.04
Price / share
$100.55
Trade value
$17.50K
% of position
Class Z Shares
Shares
+278.55
Price / share
$100.52
Trade value
$28K
% of position
Class Z Shares
Shares
+92.80
Price / share
$100.22
Trade value
$9.30K
% of position
Class Z Shares
Shares
+96.79
Price / share
$100.22
Trade value
$9.70K
% of position
Class Z Shares
Shares
+4.99K
Price / share
$100.22
Trade value
$500K
% of position
Class Z Shares
Shares
+3.01K
Price / share
$99.82
Trade value
$300K
% of position
Class Z Shares
Shares
+8.98K
Price / share
$100.18
Trade value
$900K
% of position
Class Z Shares
Shares
+114.55
Price / share
$99.52
Trade value
$11.40K
% of position
Class Z Shares
Shares
+120.58
Price / share
$99.52
Trade value
$12K
% of position
Class Z Shares
Shares
+405.31
Price / share
$98.69
Trade value
$40K
% of position
Class Z Shares
Shares
+5.07K
Price / share
$98.69
Trade value
$500K
% of position
Net shares
+39.52K
Net value
$3.96M
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Class Y Shares Direct | 7/1/2020 | P · Purchase | +550.00 | $100.00 | $55K | New position | 0.00 | 550.00 |
| Class Y Shares Indirect | 7/1/2020 | P · Purchase | +610.00 | $100.00 | $61K | New position | 0.00 | 610.00 |
| Class Z Shares Direct | 9/1/2020 | P · Purchase | +335.34 | $101.39 | $34K | 67.1% | 500.00 | 835.34 |
| Class Z Shares Direct | 1/1/2021 | P · Purchase | +1.97K | $101.28 | $200K | 236.4% | 835.34 | 2.81K |
| Class Z Shares Direct | 5/1/2021 | P · Purchase | +232.03 | $101.28 | $23.50K | 42.2% | 550.00 | 782.03 |
| Class Z Shares Indirect | 5/1/2021 | P · Purchase | +271.52 | $101.28 | $27.50K | 44.5% | 610.00 | 881.52 |
| Class Z Shares Direct | 9/1/2021 | P · Purchase | +1.97K | $101.28 | $200K | 70.3% | 2.81K | 4.78K |
| Class Z Shares Direct | 4/1/2022 | P · Purchase | +1.48K | $101.28 | $150K | 31.0% | 4.78K | 6.27K |
| Class Z Shares Direct | 9/1/2022 | P · Purchase | +325.83 | $101.28 | $33K | 41.7% | 782.03 | 1.11K |
| Class Z Shares Indirect | 9/1/2022 | P · Purchase | +365.32 | $101.28 | $37K | 41.4% | 881.52 | 1.25K |
| Class Z Shares Direct | 1/1/2023 | P · Purchase | +4.94K | $101.28 | $500K | 78.8% | 6.27K | 11.20K |
| Class Z Shares Indirect | 4/1/2023 | P · Purchase | +2.98K | $100.67 | $300K | 26.6% | 11.20K | 14.18K |
| Class Z Shares Direct | 5/1/2023 | P · Purchase | +158.13 | $100.55 | $15.90K | 14.3% | 1.11K | 1.27K |
| Class Z Shares Indirect | 5/1/2023 | P · Purchase | +174.04 | $100.55 | $17.50K | 14.0% | 1.25K | 1.42K |
| Class Z Shares Indirect | 6/1/2023 | P · Purchase | +278.55 | $100.52 | $28K | 2.0% | 14.18K | 14.46K |
| Class Z Shares Direct | 5/1/2024 | P · Purchase | +92.80 | $100.22 | $9.30K | 7.3% | 1.27K | 1.36K |
| Class Z Shares Indirect | 5/1/2024 | P · Purchase | +96.79 | $100.22 | $9.70K | 6.8% | 1.42K | 1.52K |
| Class Z Shares Indirect | 6/1/2024 | P · Purchase | +4.99K | $100.22 | $500K | 34.5% | 14.46K | 19.45K |
| Class Z Shares Indirect | 9/1/2024 | P · Purchase | +3.01K | $99.82 | $300K | 15.5% | 19.45K | 22.46K |
| Class Z Shares Indirect | 12/1/2024 | P · Purchase | +8.98K | $100.18 | $900K | 40.0% | 22.46K | 31.44K |
| Class Z Shares Direct | 5/1/2025 | P · Purchase | +114.55 | $99.52 | $11.40K | 5.6% | 2.05K | 2.16K |
| Class Z Shares Indirect | 5/1/2025 | P · Purchase | +120.58 | $99.52 | $12K | 5.3% | 2.29K | 2.41K |
| Class Z Shares Indirect | 9/1/2025 | P · Purchase | +405.31 | $98.69 | $40K | New position | 0.00 | 405.31 |
| Class Z Shares Indirect | 9/1/2025 | P · Purchase | +5.07K | $98.69 | $500K | 12.9% | 39.15K | 44.21K |
| Total | +39.52K | $3.96M | ||||||