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LMP Capital & Income Fund: Sit reports 8.2% voting power

The reported securities are owned by client accounts, and each adviser disclaims beneficial ownership.

(Neutral)

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Form Type
SCHEDULE 13G/A

Rhea-AI Filing Summary

LMP Capital & Income Fund Inc. (SCD) common stock is the subject of an amended ownership report in which Sit Investment Associates, Inc. and its subsidiary, Sit Fixed Income Advisors II, LLC, each report shared voting and dispositive power over 1,875,334 shares, or 8.2% of the class. The percentage is based on 22,836,701 shares outstanding as of September 30, 2026.

The advisers state that all reported shares are owned by client Accounts and disclaim beneficial ownership. They state that no more than 5% of the class is owned by any one Account subject to their advice, except as may be indicated in a joint filing with a registered investment company they manage.

Shares subject to reported shared power 1,875,334 shares Reported by both investment advisers; the shares are owned by client Accounts.
Reported ownership percentage 8.2% Based on 22,836,701 shares outstanding as of September 30, 2026.
Shares outstanding 22,836,701 shares As of September 30, 2026; basis for the reported ownership percentage.
Single-Account ownership limit stated 5% No more than this percentage is owned by any one advised Account, except as may be indicated in a specified joint filing.
beneficial ownership regulatory
"disclaim beneficial ownership of such securities"
Beneficial ownership means the person or entity that actually enjoys the benefits of owning shares or other assets — such as receiving dividends, voting rights, or price gains — even if the legal title is held in another name. For investors it matters because knowing who truly controls and profits from a company reveals who can influence decisions, exposes potential conflicts of interest or hidden concentration of power, and affects transparency and risk in the stock.
shared voting power regulatory
"Shared Voting Power 1,875,334.00"
Shared voting power occurs when two or more parties jointly have the right to vote or decide how a block of company shares is cast, like co-owners who must agree before moving a piece of furniture. Investors care because who controls voting rights affects board elections, major corporate decisions and takeover outcomes, and shared control can alter regulatory disclosures and the practical influence any holder has over a company’s direction and value.
shared dispositive power regulatory
"Shared Dispositive Power 1,875,334.00"
investment adviser regulatory
"is an investment adviser registered under section 203"
An investment adviser is a person or firm that professionally manages money and gives recommendations about buying, selling, or holding investments. Like a financial coach or guide, they have a legal duty to act in a client's best financial interest, so their advice, fees and potential conflicts can directly affect returns and risk — making their role important for investors who want informed, accountable help with portfolios.
Rule 13d-4 regulatory
"Pursuant to Rule 13d-4 of the Exchange Act"

FAQ

AI-generated questions and answers. How Rhea-AI works. Not financial advice.

How many SCD shares are reported in the amended ownership report?

Sit Investment Associates, Inc. and Sit Fixed Income Advisors II, LLC each report shared voting and dispositive power over 1,875,334 SCD common shares, equal to 8.2% of the class.

Who owns the SCD shares reported by Sit Investment Associates?

The reported shares are owned by client Accounts, while Sit Investment Associates and Sit Fixed Income Advisors II provide investment management services and disclaim beneficial ownership. The advisers state that no more than 5% of the class is owned by any one Account subject to their advice, except as may be indicated in a joint filing with a registered investment company they manage.

AI-generated analysis. How Rhea-AI works. Not financial advice.

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Learn about SEC filing dates





50208A102

(CUSIP Number)
09/30/2025

(Date of Event Which Requires Filing of this Statement)


Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)




schemaVersion:


SCHEDULE 13G





SCHEDULE 13G





SCHEDULE 13G



Sit Investment Associates, Inc.
Signature:Paul Rasmussen
Name/Title:Vice President
Date:10/02/2026
SIT FIXED INCOME ADVISORS II LLC /ADV
Signature:Paul Rasmussen
Name/Title:Vice President
Date:10/02/2026

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