Insider · CIK 0001510281

Saba Capital Management, L.P.

CIK 0001510281 Name as filed on the most recent filing

Filed as Saba Capital Management, L.P. (3,510)

5,513 transaction lines · from 3,510 filings · filed 2014-06-02 to 2026-08-25 The span is the filing dates this catalog holds, not the entity's full filing history. Absence here is not evidence of absence at the SEC.

How this page attributes a trade

A line appears here when the filing that carries it names this CIK as a reporting owner, not only when the parser picked this CIK as the line's primary owner. That is why a joint filing appears on both owners' pages rather than vanishing from the second one. The catalog never merges two CIKs into one person and never splits one CIK into two: identity here is the SEC's own identifier and nothing else.

01

Issuers this insider has filed against

Ordered by last-seen filing date, newest first. Roles are as filed on the Form 4 and are not normalised. The 40 most recent are shown; the catalog may hold more for this insider.

Fault

This container could not be filled from the store. It is showing nothing because a read failed, not because no insider filed: those are different facts and this catalog will not let one stand in for the other. The last ingest the store recorded was 2026-08-27 05:24 UTC.

No issuer is recorded

The catalog holds no filing linking this CIK to an issuer.

02

Transactions

Every stored Form 4 line naming this reporting owner, newest transaction date first. Each row links to the filing it came from.

633 transactions · Newest transaction date first, id breaking the tie.

Fault

This container could not be filled from the store. It is showing nothing because a read failed, not because no insider filed: those are different facts and this catalog will not let one stand in for the other. The last ingest the store recorded was 2026-08-27 05:24 UTC.

Transactions filed by this insider
Direction Date Code Company Value USD Filing
2026-03-31 P, Open-market purchase NEW Germany Fund IncGF 60,588, acquired Open Form 4 filing 0001510281-26-000138
2026-03-31 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 3,082,069, disposed Open Form 4 filing 0001510281-26-000137
2026-03-31 P, Open-market purchase Mexico Fund IncMXF 12,300, acquired Open Form 4 filing 0001510281-26-000139
2026-03-30 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 511,975, disposed Open Form 4 filing 0001510281-26-000137
2026-03-30 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 377,920, acquired Open Form 4 filing 0001510281-26-000140
2026-03-30 P, Open-market purchase Mexico Fund IncMXF 11,251, acquired Open Form 4 filing 0001510281-26-000139
2026-03-27 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,201,614, disposed Open Form 4 filing 0001510281-26-000136
2026-03-27 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 1,136,793, acquired Open Form 4 filing 0001510281-26-000133
2026-03-27 P, Open-market purchase Mexico Fund IncMXF 54,317, acquired Open Form 4 filing 0001510281-26-000134
2026-03-26 P, Open-market purchase NEW Germany Fund IncGF 32,243, acquired Open Form 4 filing 0001510281-26-000135
2026-03-26 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 521,595, disposed Open Form 4 filing 0001510281-26-000136
2026-03-26 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 861,163, acquired Open Form 4 filing 0001510281-26-000133
2026-03-26 P, Open-market purchase Mexico Fund IncMXF 22,065, acquired Open Form 4 filing 0001510281-26-000134
2026-03-25 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 524,383, acquired Open Form 4 filing 0001510281-26-000132
2026-03-25 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 568,445, disposed Open Form 4 filing 0001510281-26-000130
2026-03-25 P, Open-market purchase Mexico Fund IncMXF 96,913, acquired Open Form 4 filing 0001510281-26-000131
2026-03-24 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 207,728, acquired Open Form 4 filing 0001510281-26-000132
2026-03-24 P, Open-market purchase Mexico Fund IncMXF 54,496, acquired Open Form 4 filing 0001510281-26-000131
2026-03-23 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 826,708, acquired Open Form 4 filing 0001510281-26-000129
2026-03-23 P, Open-market purchase NEW Germany Fund IncGF 287,688, acquired Open Form 4 filing 0001510281-26-000127
2026-03-23 P, Open-market purchase Mexico Fund IncMXF 99,021, acquired Open Form 4 filing 0001510281-26-000128
2026-03-20 P, Open-market purchase NEW Germany Fund IncGF 41,647, acquired Open Form 4 filing 0001510281-26-000126
2026-03-20 P, Open-market purchase Mexico Fund IncMXF 56,932, acquired Open Form 4 filing 0001510281-26-000125
2026-03-19 P, Open-market purchase Virtus Dividend, Interest & Premium Strategy FundNFJ 349,838, acquired Open Form 4 filing 0001510281-26-000124
2026-03-18 P, Open-market purchase NEW Germany Fund IncGF 169,071, acquired Open Form 4 filing 0001510281-26-000123
2026-03-18 P, Open-market purchase Mexico Fund IncMXF 101,900, acquired Open Form 4 filing 0001510281-26-000122
2026-03-13 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 478,240, disposed Open Form 4 filing 0001510281-26-000120
2026-03-13 P, Open-market purchase Mexico Fund IncMXF 52,546, acquired Open Form 4 filing 0001510281-26-000121
2026-03-12 P, Open-market purchase Mexico Fund IncMXF 9,280, acquired Open Form 4 filing 0001510281-26-000117
2026-03-12 P, Open-market purchase NEW Germany Fund IncGF 2,419, acquired Open Form 4 filing 0001510281-26-000118
2026-03-12 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,596,343, disposed Open Form 4 filing 0001510281-26-000119
2026-03-11 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 797,975, disposed Open Form 4 filing 0001510281-26-000119
2026-03-10 P, Open-market purchase NEW Germany Fund IncGF 90,213, acquired Open Form 4 filing 0001510281-26-000115
2026-03-10 P, Open-market purchase Mexico Fund IncMXF 21,045, acquired Open Form 4 filing 0001510281-26-000116
2026-03-10 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 694,592, disposed Open Form 4 filing 0001510281-26-000114
2026-03-09 P, Open-market purchase NEW Germany Fund IncGF 26,717, acquired Open Form 4 filing 0001510281-26-000115
2026-03-09 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 384,859, disposed Open Form 4 filing 0001510281-26-000114
2026-03-06 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 309,096, disposed Open Form 4 filing 0001510281-26-000111
2026-03-05 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,866,069, disposed Open Form 4 filing 0001510281-26-000111
2026-03-05 P, Open-market purchase Mexico Fund IncMXF 95,603, acquired Open Form 4 filing 0001510281-26-000113
2026-03-05 S, Open-market sale Pimco Dynamic Income Strategy FundPDX 45,518, disposed Open Form 4 filing 0001510281-26-000112
2026-03-04 S, Open-market sale Voya Asia Pacific High Dividend Equity Income FundIAE 322,936, disposed Open Form 4 filing 0001510281-26-000110
2026-03-04 S, Open-market sale Pimco Dynamic Income Strategy FundPDX 210,163, disposed Open Form 4 filing 0001510281-26-000109
2026-03-04 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,179,456, disposed Open Form 4 filing 0001510281-26-000108
2026-03-03 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 2,604,286, disposed Open Form 4 filing 0001510281-26-000108
2026-03-02 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 3,710,886, disposed Open Form 4 filing 0001510281-26-000107
2026-03-02 S, Open-market sale Pimco Dynamic Income Strategy FundPDX 334,711, disposed Open Form 4 filing 0001510281-26-000106
2026-02-27 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,210,056, disposed Open Form 4 filing 0001510281-26-000104
2026-02-26 S, Open-market sale BlackRock ESG Capital Allocation Term TrustECAT 1,926,909, disposed Open Form 4 filing 0001510281-26-000104
2026-02-26 S, Open-market sale Pimco Dynamic Income Strategy FundPDX 74,407, disposed Open Form 4 filing 0001510281-26-000105

This column is intentionally blank

No transaction line is stored for this reporting owner, though the catalog holds filings naming them. That happens when the filings report only holdings or only positions the store does not carry, and when a parse failed; each filing page states its own parse status.

Codes on this page
P, Open-market purchase
Open-market purchase
S, Open-market sale
Open-market sale
Relationships on this page
%, Ten percent owner
Ten percent owner

Every value is as reported on the Form 4, totalled to the dollar. Share counts, the price per share and the full list of reporting owners are on each filing's own page, which every row here opens.

What this insider's stored lines contain

Exact counts over every stored line for this entity. This is a statement of composition, not a filter: the only filter this page offers is the open-market one above, because that is the only one an index serves today.

  • Open-market purchase 310
  • Open-market sale 323
  • Option exercise 0
  • Grant or award 0
  • Tax withholding 0
  • Disposition to the issuer 0
  • In-the-money option exercise 0

How to cite this page

ebomi catalog. Saba Capital Management, L.P., insider transactions. Retrieved 2026-08-27 from https://ebomi.com/insider/0001510281

Balogh, A. Insider trading. Scientific Data 10, 237 (2023) doi:10.1038/s41597-023-02147-6

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