{"id":15841,"date":"2026-06-04T02:05:00","date_gmt":"2026-06-04T00:05:00","guid":{"rendered":"http:\/\/stocks-future.com\/?guid=d1d72b0ba8cfcbfb5598d8b0e749b8c1"},"modified":"2026-06-04T02:05:00","modified_gmt":"2026-06-04T00:05:00","slug":"virtus-convertible-income-fund-and-virtus-convertible-income-fund-ii-announce-monthly-distributions","status":"publish","type":"post","link":"https:\/\/stocks-future.com\/?p=15841","title":{"rendered":"Virtus Convertible &amp; Income Fund and Virtus Convertible &amp; Income Fund II Announce Monthly Distributions"},"content":{"rendered":"<p>HARTFORD, Conn.--(BUSINESS WIRE)--<a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Fproducts%2Fvirtus-allianzgi-convertible-income-fund&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Virtus+Convertible+%26amp%3B+Income+Fund&amp;index=1&amp;md5=752f172d00887be250626ac764b5e69a\" rel=\"nofollow\" shape=\"rect\">Virtus Convertible &amp; Income Fund<\/a> (NYSE: NCV) and <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Fproducts%2Fvirtus-allianzgi-convertible-income-fund-ii&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Virtus+Convertible+%26amp%3B+Income+Fund+II&amp;index=2&amp;md5=f1b3f5b538d881a85bfb8a263f8cbb51\" rel=\"nofollow\" shape=\"rect\">Virtus Convertible &amp; Income Fund II<\/a> (NYSE: NCZ) today announced the following distributions on their respective common shares:<\/p><br\/><a href=\"https:\/\/mms.businesswire.com\/media\/20260603586412\/en\/2823429\/5\/Virtus_Funds_logo.jpg\"><img src=\"https:\/\/mms.businesswire.com\/media\/20260603586412\/en\/2823429\/22\/Virtus_Funds_logo.jpg\" \/><\/a><br\/><a href=\"https:\/\/mms.businesswire.com\/media\/20260603586412\/en\/2823429\/5\/Virtus_Funds_logo.jpg\"><img src=\"https:\/\/mms.businesswire.com\/media\/20260603586412\/en\/2823429\/21\/Virtus_Funds_logo.jpg\" \/><\/a><p>\n<b>Virtus Convertible &amp; Income Fund:<\/b><\/p><table cellspacing=\"0\" class=\"bwtablemarginb bwwidth100 bwblockalignc\">\n<tr>\n<td class=\"bwtopsingle bwsinglebottom bwleftsingle bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth20\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Ticker<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Amount of Distribution<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Ex-Date\/Record Date<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Payable Date<\/b><\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCV<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.136<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJune 15, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJune 29, 2026<\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCV<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.136<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJuly 13, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJuly 30, 2026<\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCV<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.136<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nAugust 13, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nAugust 28, 2026<\/p><\/td><\/tr>\n<\/table><p>\n<b>Virtus Convertible &amp; Income Fund II:<\/b><\/p><table cellspacing=\"0\" class=\"bwtablemarginb bwblockalignl bwwidth100\">\n<tr>\n<td class=\"bwtopsingle bwsinglebottom bwleftsingle bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth20\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Ticker<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Amount of Distribution<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Ex-Date\/Record Date<\/b><\/p><\/td><td class=\"bwtopsingle bwsinglebottom bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\n<b>Payable Date<\/b><\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCZ<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.120<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJune 15, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJune 29, 2026<\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCZ<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.120<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJuly 13, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nJuly 30, 2026<\/p><\/td><\/tr>\n<tr>\n<td class=\"bwsinglebottom bwleftsingle bwpadl0 bwrightsingle bwwidth20 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nNCZ<\/p><\/td><td class=\"bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrightsingle bwwidth27 bwalignc\" colspan=\"1\" rowspan=\"1\"><p class=\"bwcellpmargin bwalignc\">\n$0.120<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth27\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nAugust 13, 2026<\/p><\/td><td class=\"bwsinglebottom bwrightsingle bwpadl0 bwwidth26\" colspan=\"1\" rowspan=\"1\"><p class=\"bwalignc bwcellpmargin\">\nAugust 28, 2026<\/p><\/td><\/tr>\n<\/table><p>\nThe amounts of distributions reported in this notice are estimates only and are not being provided for tax reporting purposes. The actual amounts and sources of the distributions for tax purposes will depend on the fund\u2019s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The fund or your broker will send you a Form 1099-DIV for the calendar year that will tell you what distributions to report for federal income tax purposes.<\/p><p>\n<b>About the Funds<\/b><\/p><p>\n<a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Fproducts%2Fvirtus-allianzgi-convertible-income-fund%23shareclass.N%2Fperiod.quarterly&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Virtus+Convertible+%26amp%3B+Income+Fund&amp;index=3&amp;md5=fd8b5ae0917d979253894fdfd5a2ee0b\" rel=\"nofollow\" shape=\"rect\">Virtus Convertible &amp; Income Fund<\/a> and <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Fproducts%2Fvirtus-allianzgi-convertible-income-fund-ii%23shareclass.N%2Fperiod.quarterly&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Virtus+Convertible+%26amp%3B+Income+Fund+II&amp;index=4&amp;md5=c8461225bdbbf6a46f575ac23a9de016\" rel=\"nofollow\" shape=\"rect\">Virtus Convertible &amp; Income Fund II<\/a> each have an investment objective to provide total return through a combination of capital appreciation and high current income. Virtus Investment Advisers, LLC, a registered investment adviser affiliated with Virtus Investment Partners, Inc., is the investment adviser to each fund and <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Finvestment-partners%2Fvoya-investment-management&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Voya+Investment+Management&amp;index=5&amp;md5=9c6c73716f5589011b17ff572536478a\" rel=\"nofollow\" shape=\"rect\">Voya Investment Management<\/a> is the subadviser.<\/p><p>\nFor more information on these funds, contact shareholder services at (866) 270-7788, by email at <a  href=\"mailto:closedendfunds@virtus.com\" rel=\"nofollow\" shape=\"rect\">closedendfunds@virtus.com<\/a>, or through the <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Four-products%2Findividual-investors%2Fclosed-end-funds%23%2Fasset_sub_class.null%2Fshare_class_id.16%2Ftype.daily%2Frelation.nav&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Closed-End+Funds&amp;index=6&amp;md5=fab21e4f509b34ccd110e67d10aaaa5f\" rel=\"nofollow\" shape=\"rect\">Closed-End Funds<\/a> section on the web at <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=http%3A%2F%2Fwww.virtus.com&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=virtus.com&amp;index=7&amp;md5=685e56197b95b51d205f12d6173bc5d4\" rel=\"nofollow\" shape=\"rect\">virtus.com<\/a>.<\/p><p>\n<b>Fund Risks<\/b><\/p><p>\nAn investment in a fund is subject to risk, including the risk of possible loss of principal. A fund\u2019s shares may be worth less upon their sale than what an investor paid for them. Shares of closed-end funds may trade at a premium or discount to their net asset value. For more information about each fund\u2019s investment objective and risks, please see the funds\u2019 annual report. A copy of the funds\u2019 most recent annual report can be accessed through the <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Four-products%2Findividual-investors%2Fclosed-end-funds%23%2Fasset_sub_class.null%2Fshare_class_id.16%2Ftype.daily%2Frelation.nav&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Closed-End+Funds&amp;index=8&amp;md5=23ebd77be8a97d606af85442cf50f241\" rel=\"nofollow\" shape=\"rect\">Closed-End Funds<\/a> section of <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2F%23product.all%2Fclass.all&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=virtus.com&amp;index=9&amp;md5=e2019171622c92156a476a8e4fc9cc46\" rel=\"nofollow\" shape=\"rect\">virtus.com<\/a> and may be obtained free of charge by contacting \u201cShareholder Services\u201d as set forth at the end of this press release.<\/p><p>\n<b>About Virtus Investment Partners, Inc.<\/b><\/p><p>\n<a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fir.virtus.com%2Fir-home%2Fdefault.aspx&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=Virtus+Investment+Partners&amp;index=10&amp;md5=b9d3e55a8edd989ef56f3620a2a79510\" rel=\"nofollow\" shape=\"rect\">Virtus Investment Partners<\/a> (NYSE: VRTS) is a distinctive partnership of boutique investment managers singularly committed to the long-term success of individual and institutional investors. We provide investment products and services from our <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2Four-story%2Finvestment-partners%23product.all%2Fclass.all&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=investment+managers&amp;index=11&amp;md5=6c303b8992809ab5f2abe7e587f67c90\" rel=\"nofollow\" shape=\"rect\">investment managers<\/a>, each with a distinct investment style and autonomous investment process, as well as select subadvisers. Investment solutions are available across multiple disciplines and product types to meet a wide array of investor needs. Additional information about our firm, investment partners, and strategies is available at <a  href=\"https:\/\/cts.businesswire.com\/ct\/CT?id=smartlink&amp;url=https%3A%2F%2Fwww.virtus.com%2F%23product.all%2Fclass.all&amp;esheet=54547097&amp;newsitemid=20260603586412&amp;lan=en-US&amp;anchor=virtus.com&amp;index=12&amp;md5=aad5f0d5efa5ee97290ff341aea0609f\" rel=\"nofollow\" shape=\"rect\">virtus.com<\/a>.<\/p><br\/> <b>Contacts<\/b> <br\/><p>\n<b><span class=\"bwuline\">For Further Information:<\/span><\/b><br\/>Shareholder Services\n<br\/>(866) 270-7788\n<br\/><a  href=\"mailto:closedendfunds@virtus.com\" rel=\"nofollow\" shape=\"rect\">closedendfunds@virtus.com<\/a><\/p>","protected":false},"excerpt":{"rendered":"<p>HARTFORD, Conn.&#8211;(BUSINESS WIRE)&#8211;Virtus Convertible &amp; Income Fund (NYSE: NCV) and Virtus Convertible &amp; Income Fund II (NYSE: NCZ) today announced the following distributions on their respective common shares:<br \/>\nVirtus Convertible &amp; Income Fu&#8230;<\/p>\n","protected":false},"author":2,"featured_media":0,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"footnotes":""},"categories":[1],"tags":[],"class_list":["post-15841","post","type-post","status-publish","format-standard","hentry","category-infos-businesswire"],"_links":{"self":[{"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/posts\/15841","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/posts"}],"about":[{"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/types\/post"}],"author":[{"embeddable":true,"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/users\/2"}],"replies":[{"embeddable":true,"href":"https:\/\/stocks-future.com\/index.php?rest_route=%2Fwp%2Fv2%2Fcomments&post=15841"}],"version-history":[{"count":2,"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/posts\/15841\/revisions"}],"predecessor-version":[{"id":15844,"href":"https:\/\/stocks-future.com\/index.php?rest_route=\/wp\/v2\/posts\/15841\/revisions\/15844"}],"wp:attachment":[{"href":"https:\/\/stocks-future.com\/index.php?rest_route=%2Fwp%2Fv2%2Fmedia&parent=15841"}],"wp:term":[{"taxonomy":"category","embeddable":true,"href":"https:\/\/stocks-future.com\/index.php?rest_route=%2Fwp%2Fv2%2Fcategories&post=15841"},{"taxonomy":"post_tag","embeddable":true,"href":"https:\/\/stocks-future.com\/index.php?rest_route=%2Fwp%2Fv2%2Ftags&post=15841"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}