New York Life Investment Management Holdings LLC's Net Worth
$44.3 Million
Who is New York Life Investment Management Holdings LLC?
New York Life Investment Management Holdings LLC has an estimated net worth of $44.3 Million. This is based on reported shares across multiple companies, which include DynaVox Inc., PRIVATE ADVISORS ALTERNATIVE STRATEGIES FUND, PRIVATE ADVISORS ALTERNATIVE STRATEGIES MASTER FUND, MainStay DefinedTerm Municipal Opportunities Fund, and MainStay CBRE Global Infrastructure Megatrends Fund.
SEC CIK
New York Life Investment Management Holdings LLC's CIK is 0001513831
Past Insider Trading and Trends
2013 was New York Life Investment Management Holdings LLC's most active year for acquiring shares with 1 total transactions. New York Life Investment Management Holdings LLC's most active month to acquire stocks was the month of June. 2016 was New York Life Investment Management Holdings LLC's most active year for disposing of shares, totalling 3 transactions. New York Life Investment Management Holdings LLC's most active month to dispose stocks was the month of May. 2013 saw New York Life Investment Management Holdings LLC paying a total of $7,999,999.97 for 7,456.913 shares, this is the most they've acquired in one year. In 2016 New York Life Investment Management Holdings LLC cashed out on 45,780.36 shares for a total of $44,161,563.39, their largest year based on trade value.
Attention insiders: Dive deeper into market movements and stay ahead of the curve with Benzinga Pro! From up-to-the-second news to audio squawks and interactive data tools, it's everything you need to supercharge your trading strategy. Experience the Benzinga Pro advantage today and transform the way you trade with our exclusive free trial!
DynaVox Inc. No price found
Form Type
|
Δ Own
|
Qty.
|
Price
|
Size ($)
|
Own
|
Filing Date
|
Type
|
Is Scheduled
|
Trade Dates
|
---|---|---|---|---|---|---|---|---|---|
Form 3
|
—
|
0
|
—
|
—
|
0
| ||||
No matching records found |
PRIVATE ADVISORS ALTERNATIVE STRATEGIES FUND No price found
InvestorNew York Life Investment Management Holdings LLC used to own units in Shares of beneficial interest but no longer holds any shares there.acquired a total of 7,456.913 shares in PRIVATE ADVISORS ALTERNATIVE STRATEGIES FUND at a cost of $7,999,999.97, New also disposed a total of 8,314.379 shares of PRIVATE ADVISORS ALTERNATIVE STRATEGIES FUND equalling to $8,031,746.65.
Form Type
|
Δ Own
|
Qty.
|
Price
|
Size ($)
|
Own
|
Filing Date
|
Type
|
Is Scheduled
|
Trade Dates
|
---|---|---|---|---|---|---|---|---|---|
Form 4
| -100.00% | -8.31K |
$966.01 | -$8,031,746.65 |
0
|
Jul 1
| |||
Form 4
| +7,420.55% | 7.46K |
$1,072.83 | $7,999,999.97 | 7.56K |
Jul 1
| |||
Form 3
|
—
|
0
|
—
|
—
|
0
| ||||
No matching records found |
PRIVATE ADVISORS ALTERNATIVE STRATEGIES MASTER FUND No price found
InvestorNew York Life Investment Management Holdings LLC used to own units in Shares of beneficial interest but no longer holds any shares there.disposed a total of 44,971.399 shares of PRIVATE ADVISORS ALTERNATIVE STRATEGIES MASTER FUND equalling to $44,129,816.81.
Form Type
|
Δ Own
|
Qty.
|
Price
|
Size ($)
|
Own
|
Filing Date
|
Type
|
Is Scheduled
|
Trade Dates
|
---|---|---|---|---|---|---|---|---|---|
Form 4
| -100.00% | -35.39K |
$964.34 | -$34,129,816.38 |
0
|
Jul 1
| |||
Form 4
| -5.54% | -2.07K |
$964.34 | -$2,000,000.36 | 35.39K |
Jun 27
| |||
Form 4
| -5.61% | -1.92K |
$1,043.97 | -$2,000,000.04 | 32.26K |
Jun 30
| |||
Form 4
| -4.75% | -1.91K |
$1,049.50 | -$1,999,999.62 | 38.19K |
Mar 31
| |||
Form 4
| -4.68% | -1.81K |
$1,101.96 | -$1,999,999.99 | 36.94K |
Dec 31
| |||
Form 4
| -4.60% | -1.87K |
$1,070.07 | -$2,000,000.42 | 38.73K |
Sep 30
| |||
Form 3
|
—
|
0
|
—
|
—
|
0
| ||||
No matching records found |
MainStay DefinedTerm Municipal Opportunities Fund (MMD) Snapshot price: $16.68
InvestorNew York Life Investment Management Holdings LLC used to own units in Shares of beneficial interest but no longer holds any shares there. From 2012 to 2015 New York Life Investment Management Holdings LLC disposed a total of 6,304.248 shares of MainStay DefinedTerm Municipal Opportunities Fund equalling to $117,253.97.
Form Type
|
Δ Own
|
Qty.
|
Price
|
Size ($)
|
Own
|
Filing Date
|
Type
|
Is Scheduled
|
Trade Dates
|
---|---|---|---|---|---|---|---|---|---|
Form 4
| -100.00% | -6.30K |
$18.60 | -$117,253.97 |
0
|
Feb 25
| |||
Form 3
|
—
|
0
|
—
|
—
|
0
| ||||
No matching records found |
MainStay CBRE Global Infrastructure Megatrends Fund (MEGI) Snapshot price: $13.69
Investor
Form Type
|
Δ Own
|
Qty.
|
Price
|
Size ($)
|
Own
|
Filing Date
|
Type
|
Is Scheduled
|
Trade Dates
|
---|---|---|---|---|---|---|---|---|---|
Form 3
|
—
|
0
|
—
|
—
|
0
| ||||
No matching records found |