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EdgarHawk

Saba Capital Management, LP

10% Owner

10% Owner

Latest: Insider buying · May 2026

794 filings analyzed · 43 companies · Latest 2026-06-25

Companies

Company Buys Sells Direction
MEXICO FUND INC MXF 68 0 Net buying
BlackRock ESG Capital Allocation Term Trust ECAT 4 99 Net selling
NEW GERMANY FUND INC GF 94 0 Net buying
HIGHLAND OPPORTUNITIES & INCOME FUND HFRO 13 0 Net buying
Vertical Aerospace Ltd. EVTL 0 1 Net selling
Virtus Dividend, Interest & Premium Strategy Fund NFJ 20 0 Net buying
PIMCO Dynamic Income Strategy Fund PDX 17 12 Net buying
ASA Gold & Precious Metals Ltd ASA 107 0 Net buying
NYLI CBRE Global Infrastructure Megatrends Term Fund MEGI 9 13 Net selling
Gabelli Healthcare & WellnessRx Trust GRX 59 0 Net buying
BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC. DSM 4 0 Net buying
NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND NQP 1 10 Net selling
ELLSWORTH GROWTH & INCOME FUND LTD ECF 19 0 Net buying
TORTOISE SUSTAINABLE & SOCIAL IMPACT TERM FUND TEAF 15 2 Net buying
Destra Multi-Alternative Fund DMA 34 0 Net buying
BLACKROCK CALIFORNIA MUNICIPAL INCOME TRUST BFZ 1 10 Net selling
ADAMS NATURAL RESOURCES FUND, INC. PEO 30 2 Net buying
Eaton Vance California Municipal Bond Fund EVM 57 0 Net buying
Eaton Vance New York Municipal Bond Fund ENX 65 0 Net buying
ABRDN JAPAN EQUITY FUND, INC. JEQ 3 0 Net buying
BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND MPA 0 3 Net selling
Voya Asia Pacific High Dividend Equity Income Fund IAE 6 0 Net buying
BlackRock Capital Allocation Term Trust BCAT 0 65 Net selling
MORGAN STANLEY INDIA INVESTMENT FUND, INC. IIF 5 0 Net buying
Pioneer Municipal High Income Opportunities Fund, Inc. MIO 55 0 Net buying
PIONEER MUNICIPAL HIGH INCOME ADVANTAGE FUND, INC. MAV 68 0 Net buying
PIONEER MUNICIPAL HIGH INCOME FUND, INC. MHI 46 0 Net buying
Saba Capital Income & Opportunities Fund II SABA 0 2 Net selling
NUVEEN NEW JERSEY QUALITY MUNICIPAL INCOME FUND NXJ 1 6 Net selling
BlackRock Innovation & Growth Term Trust BTX 89 0 Net buying
Nuveen Multi-Asset Income Fund NMAI 0 9 Net selling
TORTOISE POWER & ENERGY INFRASTRUCTURE FUND INC TPZ 2 0 Net buying
Nuveen Core Plus Impact Fund NPCT 0 2 Net selling
abrdn Global Infrastructure Income Fund ASGI 1 2 Net selling
Invesco Pennsylvania Value Municipal Income Trust VPV 0 4 Net selling
BlackRock Health Sciences Term Trust BMEZ 12 0 Net buying
Federated Hermes Premier Municipal Income Fund FMN 0 1 Net selling
Invesco Trust for Investment Grade New York Municipals VTN 0 1 Net selling
BNY MELLON MUNICIPAL INCOME, INC. DMF 0 2 Net selling
Tortoise Midstream Energy Fund, Inc. NTG 1 0 Net buying
GAMCO Natural Resources, Gold & Income Trust GNT 5 0 Net buying
abrdn Life Sciences Investors HQL 4 0 Net buying
ALLIANCEBERNSTEIN NATIONAL MUNICIPAL INCOME FUND AFB 1 0 Net buying

Activity

June 2026
Sell
203,261 shares
$3,110,694
Significance 6/10

10% owner Saba Capital sold 203,261 shares of ECAT at $15.30 avg over 2 days for $3.1M; current price $15.40

Saba Capital Management executed 2 separate sales totaling 203,261 shares for $3,110,694.05 at a blended average price of $15.30 on 2026-06-23 and 2026-06-24, reducing its stake from 18,245,437 shares to 18,042,176 shares (-1.1%). The sales occurred at prices slightly below the current market price of $15.40, and follow a pattern of 5 consecutive sell transactions at this ticker between 2026-06-10 and 2026-06-16. Within the 52-week context, the stock has risen 14.9% over 90 days but currently trades 10.2% below its 52-week high of $17.14, situating these sales within a period of relative strength. The sustained sequence of sales by a 10% owner warrants tracking whether this reflects ongoing portfolio adjustment or a broader shift in conviction at this position.

2026-06-25 MEXICO FUND INC MXF
medium
Buy
20,151 shares
$432,579
Significance 5/10

Saba Capital LP, 10% owner, acquires 20,151 MXF shares in two transactions for $432,578.52

Saba Capital Management, LP purchased 20,151 shares across two trades totaling $432,578.52, with a blended average price of $21.47, raising its holdings to 2,260,134 shares. The five most recent same-ticker trades at MXF are all buys occurring within the June 5–12 period, indicating a sustained accumulation pattern over a compressed timeframe. At the current price of $21.61, the stock trades 6.0% below its 52-week high and has declined 2.1% over the past 30 days, while posting a 90-day gain of 7.4%; none of the insider's prior same-ticker buys have yet reached 90-day measurable outcomes. The cross-ticker track record shows 12 prior buys and 8 prior sells, providing limited timing insight into this specific position.

2026-06-22 MEXICO FUND INC MXF
medium
Buy
5,298 shares
$117,724
Significance 6/10

Saba Capital (10% owner) acquires 5,298 shares at blended avg $22.22 in 2 transactions at MXF, extending a buying streak.

Saba Capital Management, LP filed 2 separate purchases totaling 5,298 shares for $117,724.10, executed on 2026-06-17 and 2026-06-18 at prices near the 52-week high of $23.00. This filing extends a sequence of 5 prior buys at MXF (on 2026-06-05, 2026-06-09, 2026-06-10, 2026-06-11, and 2026-06-12), all occurring within a compressed 13-day window. The current holdings stand at 2,239,983 shares post-transaction, representing a +0.2% increase versus the 2,234,685 shares held prior. None of the 5 prior same-ticker trades have measurable 30-day or 90-day outcomes yet, so no historical pattern of execution quality at this security is yet observable. The stock currently trades at $21.81, approximately 5.2% below the 52-week high, while the 90-day price change is +8.0%.

low
Buy
10,176 shares
$120,179
Significance 4/10

Saba Capital buys 10,176 shares of New Germany Fund at $11.81; 4th consecutive GF purchase in 6 days

Saba Capital Management purchased 10,176 shares at $11.81 on 2026-06-17, bringing holdings to 3,602,711 shares—a +0.3% increment. This is the fourth consecutive open-market purchase at GF within six calendar days (2026-06-11 through 2026-06-17), indicating repeated accumulation in a compressed timeframe. The current price of $11.77 sits near the transaction price and represents -8.2% from the 52-week high of $12.82, though the stock has recovered +14.8% over the past 90 days. Saba's cross-ticker track record shows 12 prior buys and 8 prior sells across all positions; however, same-ticker outcomes at GF cannot yet be measured (all four prior trades occurred within the past week), so direct performance assessment of this buying pattern is not yet available.

high
Buy
82,595 shares
$964,141
Significance 6/10

Saba Capital (10% owner) purchases 82,595 shares across 2 transactions for $964,141.18 at GF, expanding position 2.4% to 3.59M shares.

Saba Capital Management, LP purchased 82,595 shares in 2 separate transactions on June 15-16, 2026 at a blended average price of $11.67, increasing holdings from 3.51M shares to 3.59M shares (+2.4%). This represents sustained buying activity at the same ticker within a 14-day window: two prior purchases on June 2 and June 4 preceded these June 15-16 acquisitions, establishing a pattern of consistent accumulation. As a 10% owner, Saba's purchases carry weight proportional to its shareholding scale; however, cross-ticker trade history shows 14 prior buys and 6 prior sells, indicating a generally opportunistic rather than heavily conviction-weighted posture. Outcomes on the June 2 and June 4 purchases remain unmeasurable (less than 30 days elapsed at filing date), so no pattern of timing accuracy can yet be assessed at this ticker.

Sell
118,920 shares
$1,839,692
Significance 4/10

Saba Capital sells 118,920 ECAT shares in 2 separate transactions (59,449 @ $15.49; 59,471 @ $15.45) for $1,839,691.96; stock +1.8% (30d), +11.1% (90d).

Saba Capital Management, LP sold 118,920 shares of BlackRock ESG Capital Allocation Term Trust (ECAT) in two separate transactions on 2026-06-15 and 2026-06-16 at an average price of $15.47, reducing holdings by -0.6% to 18,360,395 shares. The sales come as ECAT has climbed +1.8% over 30 days and +11.1% over 90 days from the transaction period, with current price at $15.36 still -10.4% below the 52-week high of $17.14. Notably, Saba has executed five consecutive sells at ECAT (2026-06-02, 2026-06-04, 2026-06-05, 2026-06-09, 2026-06-10), with outcomes on these earlier transactions not yet measurable at the 30-day and 90-day horizons, suggesting an ongoing liquidity or repositioning activity. Cross-ticker track record shows 14 prior buys versus 6 prior sells, but same-ticker history at ECAT presents a series of recent dispositions without yet-established timing outcomes.

2026-06-15 MEXICO FUND INC MXF
high
Buy
34,617 shares
$768,377
Significance 6/10

Saba Capital (10% owner) acquires 34,617 shares at $21.60–$22.30 across 2 purchases totaling $768,377.20

Saba Capital Management filed two separate purchases on consecutive days, buying 5,117 shares at $21.60 on 2026-06-11 and 29,500 shares at $22.30 on 2026-06-12, for a combined investment of $768,377.20 at a blended average price of $22.20. This transaction increased holdings from 2,200,068 shares to 2,234,685 shares—a 1.6% net addition to an already substantial 10% ownership stake. The purchases occurred during price momentum: MXF traded +3.1% over 30 days and +8.9% over 90 days, currently at $22.30 (only -3.0% from its 52-week high of $23.00). Notably, this filing follows four prior buys at MXF within days (2026-06-03, 2026-06-04, 2026-06-05, 2026-06-09, 2026-06-10), reflecting sustained accumulation pressure over a compressed timeline rather than an isolated transaction. The insider's cross-ticker record shows 14 prior buys against 6 prior sells; however, none of those prior buys at MXF have measurable 90-day outcomes yet, limiting inference from historical timing accuracy at this specific ticker.

low
Buy
11,941 shares
$137,853
Significance 5/10

Saba Capital Management, LP (10% owner of GF) bought 11,941 shares across two transactions on 2026-06-11 and 2026-06-12 for $137,852.97, raising holdings to 3,509,940 shares.

Saba Capital Management, LP, a significant 10% shareholder in New Germany Fund Inc, executed 2 purchases totaling 11,941 shares for $137,852.97 at an average price of $11.54 per share. The current price of $11.65 stands 9.1% below the 52-week high of $12.82, though the stock has gained 7.4% over the past 90 days. This incremental purchase increased the fund's holdings by only 0.3% relative to pre-transaction holdings of 3,497,999 shares, suggesting a modest position adjustment rather than a material directional commitment. Prior same-ticker trades executed on 2026-06-04 and 2026-06-02 remain too recent to measure performance outcomes, and across Saba's broader cross-ticker open-market history, prior buy timing has not demonstrated a pattern of favorable 90-day outcomes.

Sell
207,617 shares
$3,155,825
Significance 4/10

Saba Capital sells 207,617 shares of ECAT at $15.20 avg for $3,155,825.41 across two transactions; fifth consecutive sale in 6 days.

Saba Capital Management, LP conducted 2 separate sales totaling 207,617 shares for $3,155,825.41 on 2026-06-11 and 2026-06-12, reducing holdings by -1.1% versus pre-transaction levels. The stock trades at $15.42, near the blended transaction price of $15.20. This transaction is the fifth sell by this insider at ECAT in a 6-day window (2026-06-02 through 2026-06-12), representing an unusually concentrated pattern of exits from the same security. As a 10% owner, the insider retains 18,479,315 shares, maintaining a substantial stake despite the recent sales activity.

2026-06-11 MEXICO FUND INC MXF
medium
Buy
14,681 shares
$313,127
Significance 4/10

Saba Capital (10% owner) buys 14,681 shares ($313.1K) in 2 tranches at MXF; stock -7.8% from 52-week high of $23.00, current $21.21

Saba Capital Management, LP executed 2 separate purchases totaling 14,681 shares for $313,126.59 at a blended average price of $21.33, increasing holdings from 2,185,387 to 2,200,068 shares. The transaction occurred near recent lows within the 52-week range of $16.43–$23.00, with the current price at $21.21 standing -7.8% from the 52-week high. At the same ticker, the insider's 5 prior buys show mixed results: only 1 of 5 prior trades were well-timed at the 90-day mark, and the most recent buy on 2026-06-02 returned -0.4% over 90 days. The cross-ticker track record for buys shows an average 90d return of +0.7% with a 50.00% win rate, providing limited confidence in timing precision.

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