NYSE · IGA

VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND (IGA)

$10.13−1.65%
Close Sep 28, 2026 · split-adjusted
Sep 28, 2026$10.13▲ 2.74% in range
Sep 29, 2025Low $9.30 · High $10.75Sep 28, 2026
What changed · written from our data
As of Sep 28, 2026

VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND closed at $10.13 on Sep 28, down 1.65%, 5.8% below its 52-week closing high. Volume of 75.8K shares was 0.88× its 20-day average (close to normal).

Split-adjusted performance: -4.1% over one month, +8.9% over six months, +2.7% over one year.

Short interest was 71.7K shares at the Sep 15 settlement, up 53.7% from the prior report (0.5% of float, 1.0 days to cover).

Market cap$155.4M15.3M shares
Revenue · quarter——
Diluted EPS——
P/E · TTM—
Net margin—
Dividend yield10.07%$0.085 last paid
52-week range9.30 – 10.75−5.8% from high
Volume75.8K0.88× 20-day avg
Volatility · 60d11.2%Annualised
Short % of float0.5%1.0 days to cover
Net cash—
Next earnings—Not scheduled
Split-adjusted performance
1W −5.8%1M −4.1%3M +3.6%6M +8.9%YTD +4.2%1Y +2.7%3Y +20.5%5Y +1.1%

Earnings reactions

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Rank within industry

Not enough peers to rank

6-month momentum—
Revenue growth—
Net margin—
Value (low P/E)—
Size—

Short interest

Details →
Shares short71.7K+53.7% vs prior
Days to cover1.0Settled Sep 15
% of float0.5%
Short vol. 10d47.8%of daily volume

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Quick answers

What does VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND do?
Voya Global Advantage and Premium Opportunity Fund is a United States-based diversified, closed-end management investment company. The fund has two investment objectives.
What is IGA's market cap?
$155.41M, based on the Sep 28 close of $10.13.
Does VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND pay a dividend?
Yes. The latest regular dividend was $0.085 per share (ex-date Sep 1), an annualised yield of 10.07%.
How much of IGA is sold short?
71.7K shares, 0.5% of float, as of Sep 15, 2026.

About VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND

Voya Global Advantage and Premium Opportunity Fund is a United States-based diversified, closed-end management investment company. The fund has two investment objectives. Its primary objective is to provide a high level of income, while the secondary objective is to seek capital appreciation. To achieve these objectives, the fund invests at least 80% of its managed assets in a portfolio of common stocks from various countries around the world, including the United States. Additionally, it uses an integrated derivatives strategies.

Listed Oct 27, 2005voyainvestments.com

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology