7 Dawson Street Huntington Station, New York
|
11746
|
(Address of principal executive offices)
|
(Zip code)
|
AST Fund Solutions, LLC 7 Dawson Street
|
Huntington Station, NY 11746
|
(Name and address of agent for service)
|
Description
|
No. of
Shares
|
Value
|
||||||
EQUITY SECURITIES - 98.85%
|
||||||||
CLOSED-END FUNDS - 86.14%
|
||||||||
CONVERTIBLE SECURITIES - 0.54%
|
||||||||
AllianzGI Equity & Convertible Income Fund
|
46,716 | $ | 908,626 | |||||
CORE - 3.54%
|
||||||||
Adams Express Company (The)
|
78,269 | 1,015,932 | ||||||
Advent/Claymore Enhanced Growth & Income Fund
|
44,037 | 448,297 | ||||||
Cohen & Steers Dividend Majors Fund, Inc.
|
32,205 | 497,245 | ||||||
General American Investors Company, Inc.
|
39,042 | 1,375,450 | ||||||
Guggenheim Equal Weight Enhanced Equity Income Fund
|
96,351 | 1,813,326 | ||||||
Tri-Continental Corporation
|
38,091 | 764,867 | ||||||
5,915,117 | ||||||||
CORPORATE DEBT INVESTMENT GRADE-RATED - 0.70%
|
||||||||
Cutwater Select Income Fund
|
1 | 26 | ||||||
MFS Intermediate Income Trust
|
193,045 | 999,973 | ||||||
Morgan Stanley Income Securities Inc.
|
2,448 | 42,938 | ||||||
Transamerica Income Shares, Inc.
|
5,705 | 118,327 | ||||||
Western Asset/Claymore Inflation-Linked Securities & Income Fund
|
1,000 | 11,680 | ||||||
1,172,944 | ||||||||
CORPORATE DEBT INVESTMENT GRADE-RATED (LEVERAGED) - 0.00%
|
||||||||
John Hancock Income Securities Trust
|
355 | 5,148 | ||||||
DEVELOPED MARKET - 0.44%
|
||||||||
Aberdeen Israel Fund, Inc.
|
1,521 | 27,515 | ||||||
Aberdeen Singapore Fund, Inc.
|
26,484 | 330,229 | ||||||
New Ireland Fund, Inc. (The)
|
21,855 | 314,056 | ||||||
Swiss Helvetia Fund, Inc. (The)
|
4,535 | 65,213 | ||||||
737,013 | ||||||||
EMERGING MARKETS - 2.56%
|
||||||||
First Trust/Aberdeen Emerging Opportunity Fund
|
34,215 | 616,554 | ||||||
ING Emerging Markets High Dividend Equity Fund
|
156,470 | 1,869,816 | ||||||
Morgan Stanley Eastern Europe Fund, Inc.
|
1,825 | 32,850 | ||||||
Morgan Stanley India Investment Fund, Inc. *
|
77,869 | 1,520,003 | ||||||
Templeton Russia and East European Fund, Inc.
|
18,815 | 247,605 | ||||||
4,286,828 | ||||||||
EMERGING MARKETS DEBT - 1.53%
|
||||||||
Global High Income Fund Inc.
|
2,100 | 20,727 | ||||||
Morgan Stanley Emerging Markets Debt Fund, Inc.
|
2,871 | 28,423 | ||||||
Stone Harbor Emerging Markets Income Fund
|
53,264 | 985,384 | ||||||
Western Asset Emerging Markets Debt Fund Inc.
|
65,209 | 1,134,637 | ||||||
Western Asset Emerging Markets Income Fund Inc.
|
31,641 | 390,450 | ||||||
2,559,621 | ||||||||
FLEXIBLE INCOME - 0.65%
|
||||||||
MFS Charter Income Trust
|
118,539 | 1,082,261 | ||||||
ENERGY MLP - 5.13%
|
||||||||
ClearBridge Energy MLP Fund Inc.
|
68,720 | 1,830,014 | ||||||
ClearBridge Energy MLP Opportunity Fund Inc.
|
42,850 | 964,125 | ||||||
ClearBridge Energy MLP Total Return Fund Inc.
|
51,905 | 1,115,957 | ||||||
First Trust MLP and Energy Income Fund
|
29,606 | 585,903 | ||||||
Nuveen Energy MLP Total Return Fund
|
212,625 | 4,082,400 | ||||||
8,578,399 |
Description
|
No. of
Shares
|
Value
|
GENERAL & INSURED LEVERAGED - 4.75%
|
||||||||
BlackRock MuniHoldings Quality Fund II, Inc.
|
69,501 | $ | 885,443 | |||||
Eaton Vance National Municipal Opportunities Trust
|
7,056 | 136,816 | ||||||
Eaton Vance Tax-Advantaged Bond and Option Strategies Fund
|
16,836 | 233,347 | ||||||
Invesco Advantage Municipal Income Trust II
|
133,008 | 1,461,758 | ||||||
Invesco Municipal Opportunity Trust
|
50,199 | 612,428 | ||||||
Invesco Municipal Trust
|
31,550 | 381,755 | ||||||
Invesco Trust for Investment Grade Municipals
|
119,422 | 1,528,602 | ||||||
Invesco Value Municipal Income Trust
|
0 | 7 | ||||||
Managed Duration Investment Grade Municipal Fund
|
700 | 9,016 | ||||||
MFS Investment Grade Municipal Trust
|
28,806 | 258,102 | ||||||
Nuveen Dividend Advantage Municipal Fund 3
|
113,826 | 1,491,121 | ||||||
Nuveen Dividend Advantage Municipal Income Fund
|
33,515 | 446,755 | ||||||
Nuveen Quality Municipal Fund, Inc.
|
506 | 6,457 | ||||||
Nuveen Select Quality Municipal Fund, Inc.
|
37,570 | 497,427 | ||||||
7,949,034 | ||||||||
GENERAL BOND - 0.39%
|
||||||||
Eaton Vance Limited Duration Income Fund
|
3,309 | 50,462 | ||||||
MFS Multimarket Income Trust
|
91,553 | 597,841 | ||||||
648,303 | ||||||||
GLOBAL - 11.90%
|
||||||||
Alpine Global Dynamic Dividend Fund
|
205,305 | 2,055,103 | ||||||
Alpine Global Total Dynamic Dividend Fund
|
973,729 | 8,169,586 | ||||||
Calamos Global Dynamic Income Fund
|
127,331 | 1,144,706 | ||||||
Clough Global Allocation Fund
|
10,902 | 165,492 | ||||||
Delaware Enhanced Global Dividend and Income Fund
|
159,250 | 1,958,775 | ||||||
Gabelli Global Utility & Income Trust (The)
|
30,250 | 601,370 | ||||||
ING Infrastructure, Industrials and Materials Fund
|
11,301 | 198,672 | ||||||
Nuveen Global Value Opportunities Fund
|
127,175 | 1,665,993 | ||||||
Virtus Total Return Fund
|
240,019 | 1,060,884 | ||||||
Wells Fargo Advantage Global Dividend Opportunity Fund
|
366,859 | 2,887,180 | ||||||
19,907,761 | ||||||||
GLOBAL INCOME - 1.65%
|
||||||||
Aberdeen Global Income Fund, Inc.
|
13,811 | 150,264 | ||||||
First Trust/Aberdeen Global Opportunity Income Fund
|
13,647 | 190,376 | ||||||
Legg Mason BW Global Income Opportunities Fund Inc.
|
40,796 | 716,378 | ||||||
Nuveen Global Income Opportunities Fund
|
32,372 | 374,544 | ||||||
Nuveen Multi-Currency Short-Term Government Income Fund
|
125,855 | 1,320,219 | ||||||
2,751,781 | ||||||||
HIGH CURRENT YIELD (LEVERAGED) - 1.86%
|
||||||||
BlackRock Corporate High Yield Fund VI, Inc.
|
21,933 | 268,899 | ||||||
BlackRock Debt Strategies Fund, Inc.
|
5,972 | 24,485 | ||||||
DWS High Income Opportunities Fund, Inc.
|
71,016 | 1,037,544 | ||||||
DWS High Income Trust
|
62,785 | 589,551 | ||||||
First Trust Strategic High Income Fund II
|
15,432 | 245,832 | ||||||
Franklin Universal Trust
|
52,076 | 375,468 | ||||||
Invesco High Income Trust II
|
13,322 | 220,079 | ||||||
MFS Intermediate High Income Fund
|
38,669 | 114,074 | ||||||
Neuberger Berman High Yield Strategies Fund Inc.
|
17,142 | 233,474 | ||||||
3,109,406 | ||||||||
HIGH YIELD - 0.71%
|
||||||||
First Trust High Income Long/Short Fund
|
50,939 | 903,148 | ||||||
Western Asset High Income Opportunity Fund Inc.
|
16,097 | 97,387 | ||||||
Western Asset Managed High Income Fund Inc.
|
31,664 | 181,435 | ||||||
1,181,970 | ||||||||
HIGH YIELD MUNICIPAL DEBT - 0.20%
|
||||||||
MFS High Income Municipal Trust
|
70,947 | 336,998 |
Description
|
No. of
Shares
|
Value
|
INCOME & PREFERRED STOCK - 4.79%
|
||||||||
Calamos Strategic Total Return Fund
|
377,477 | $ | 4,197,544 | |||||
Cohen & Steers Limited Duration Preferred and Income Fund, Inc.
|
8,922 | 212,344 | ||||||
John Hancock Preferred Income Fund II
|
1,343 | 26,806 | ||||||
John Hancock Premium Dividend Fund
|
67,256 | 870,965 | ||||||
LMP Capital and Income Fund Inc.
|
88,642 | 1,427,136 | ||||||
Nuveen Quality Preferred Income Fund
|
26,525 | 213,526 | ||||||
Nuveen Quality Preferred Income Fund 3
|
92,642 | 775,413 | ||||||
Nuveen Tax-Advantaged Dividend Growth Fund
|
18,322 | 280,327 | ||||||
8,004,061 | ||||||||
LOAN PARTICIPATION - 2.79%
|
||||||||
BlackRock Floating Rate Income Strategies Fund, Inc
|
12,400 | 180,668 | ||||||
BlackRock Floating Rate Income Trust
|
8,434 | 120,100 | ||||||
Eaton Vance Floating-Rate Income Trust
|
84,847 | 1,332,098 | ||||||
First Trust Senior Floating Rate Income Fund II
|
43,356 | 626,494 | ||||||
ING Prime Rate Trust
|
57,295 | 332,311 | ||||||
Nuveen Credit Strategies Income Fund
|
181,439 | 1,725,485 | ||||||
Nuveen Senior Income Fund
|
48,244 | 345,427 | ||||||
4,662,583 | ||||||||
NATURAL RESOURCES - 9.38%
|
||||||||
BlackRock Energy and Resources Trust
|
79,431 | 1,918,259 | ||||||
BlackRock Real Asset Equity Trust
|
597,924 | 5,321,524 | ||||||
BlackRock Resources & Commodities Strategy Trust
|
457,446 | 5,260,629 | ||||||
ING Risk Managed Natural Resources Fund
|
111,278 | 1,175,096 | ||||||
Petroleum & Resources Corporation
|
71,977 | 2,009,598 | ||||||
15,685,106 | ||||||||
OPTION ARBITRAGE/OPTIONS STRATEGIES - 5.29%
|
||||||||
BlackRock Enhanced Equity Dividend Trust
|
10,900 | 86,546 | ||||||
BlackRock Global Opportunities Equity Trust
|
250,786 | 3,668,999 | ||||||
BlackRock International Growth and Income Trust
|
445,042 | 3,587,038 | ||||||
ING Asia Pacific High Dividend Equity Income Fund
|
56,960 | 725,101 | ||||||
ING Global Advantage and Premium Opportunity Fund
|
64,489 | 771,288 | ||||||
8,838,972 | ||||||||
PACIFIC EX JAPAN - 2.34%
|
||||||||
Aberdeen Greater China Fund, Inc.
|
100,460 | 971,448 | ||||||
China Fund, Inc. (The)
|
129,290 | 2,574,164 | ||||||
Taiwan Fund, Inc. *
|
19,452 | 366,670 | ||||||
3,912,282 | ||||||||
REAL ESTATE - 15.91%
|
||||||||
Alpine Global Premier Properties Fund
|
305,154 | 2,151,336 | ||||||
CBRE Clarion Global Real Estate Income Fund
|
638,869 | 5,334,556 | ||||||
Cohen & Steers Preferred Securities and Income Fund, Inc.
|
459,844 | 7,817,348 | ||||||
Cohen & Steers Quality Income Realty Fund, Inc.
|
542,870 | 5,716,421 | ||||||
Cohen & Steers Total Return Realty Fund, Inc.
|
27,829 | 356,489 | ||||||
LMP Real Estate Income Fund Inc.
|
128,601 | 1,394,035 | ||||||
Neuberger Berman Real Estate Securities Income Fund Inc.
|
361,756 | 1,707,488 | ||||||
Nuveen Diversified Dividend and Income Fund
|
105,519 | 1,234,572 | ||||||
Nuveen Real Estate Income Fund
|
4,600 | 49,266 | ||||||
RMR Asia Pacific Real Estate Fund
|
45,838 | 850,752 | ||||||
26,612,263 | ||||||||
SECTOR EQUITY - 1.13%
|
||||||||
First Trust Specialty Finance and Financial Opportunities Fund
|
4,900 | 37,730 | ||||||
GAMCO Natural Resources, Gold & Income Trust by Gabelli
|
133,934 | 1,387,556 | ||||||
John Hancock Financial Opportunities Fund
|
19,207 | 462,312 | ||||||
1,887,598 | ||||||||
U.S. MORTGAGE - 0.53%
|
||||||||
First Trust Mortgage Income Fund
|
37,099 | 583,938 | ||||||
Nuveen Mortgage Opportunity Term Fund
|
3,000 | 70,410 | ||||||
Nuveen Mortgage Opportunity Term Fund 2
|
9,618 | 224,580 | ||||||
878,928 | ||||||||
UTILITY - 7.43%
|
||||||||
BlackRock EcoSolutions Investment Trust
|
133,019 | 1,070,803 | ||||||
BlackRock Utility and Infrastructure Trust
|
133,645 | 2,533,909 | ||||||
Brookfield Global Listed Infrastructure Income Fund Inc.
|
93,767 | 2,001,925 | ||||||
Cohen & Steers Infrastructure Fund, Inc.
|
55,885 | 1,233,941 | ||||||
Duff & Phelps Global Utility Income Fund Inc.
|
91,745 | 1,815,634 | ||||||
Reaves Utility Income Fund
|
136,085 | 3,776,359 | ||||||
12,432,571 | ||||||||
TOTAL CLOSED-END FUNDS
|
144,045,574 |
Description
|
No. of
Shares
|
Value
|
COMMODITY POOL - 0.07%
|
||||||||
Nuveen Diversified Commodity Fund
|
7,729 | $ | 122,736 | |||||
CONSUMER DISCRETIONARY - 1.82%
|
||||||||
Comcast Corporation - Class A
|
24,358 | 1,218,387 | ||||||
DIRECTV *
|
4,000 | 305,680 | ||||||
Johnson Controls, Inc.
|
7,000 | 331,240 | ||||||
Macy's, Inc.
|
2,000 | 118,580 | ||||||
Time Warner Cable Inc.
|
2,000 | 274,360 | ||||||
Walt Disney Company (The)
|
10,000 | 800,700 | ||||||
3,048,947 | ||||||||
CONSUMER STAPLES - 0.67%
|
||||||||
Archer-Daniels-Midland Company
|
4,000 | 173,560 | ||||||
Kroger Co. (The)
|
4,000 | 174,600 | ||||||
Wal-Mart Stores, Inc.
|
10,000 | 764,300 | ||||||
1,112,460 | ||||||||
ENERGY - 1.20%
|
||||||||
ConocoPhillips
|
8,000 | 562,800 | ||||||
Devon Energy Corporation
|
3,000 | 200,790 | ||||||
EOG Resources, Inc.
|
2,000 | 392,340 | ||||||
Marathon Oil Corporation
|
2,000 | 71,040 | ||||||
Schlumberger Limited
|
8,000 | 780,000 | ||||||
2,006,970 | ||||||||
FINANCIALS - 2.31%
|
||||||||
Allstate Corporation (The)
|
3,000 | 169,740 | ||||||
American International Group, Inc.
|
8,000 | 400,080 | ||||||
Bank of America Corporation
|
30,000 | 516,000 | ||||||
Bank of New York Mellon Corporation (The)
|
6,000 | 211,740 | ||||||
BB&T Corporation
|
5,000 | 200,850 | ||||||
Capital One Financial Corporation
|
3,000 | 231,480 | ||||||
JPMorgan Chase & Co.
|
20,000 | 1,214,200 | ||||||
Marsh & McLennan Companies, Inc.
|
4,000 | 197,200 | ||||||
MetLife, Inc.
|
9,000 | 475,200 | ||||||
Prudential Financial, Inc.
|
3,000 | 253,950 | ||||||
3,870,440 | ||||||||
HEALTH CARE - 1.75%
|
||||||||
Abbott Laboratories
|
13,000 | 500,630 | ||||||
AbbVie Inc.
|
3,000 | 154,200 | ||||||
Allergan, Inc.
|
2,500 | 310,250 | ||||||
Amgen Inc.
|
4,000 | 493,360 | ||||||
Boston Scientific Corporation *
|
2,000 | 27,040 | ||||||
Cardinal Health, Inc.
|
6,000 | 419,880 | ||||||
Medtronic, Inc.
|
6,000 | 369,240 | ||||||
St. Jude Medical, Inc.
|
3,000 | 196,170 | ||||||
Wellpoint, Inc.
|
4,500 | 447,975 | ||||||
2,918,745 | ||||||||
INDUSTRIALS - 2.04%
|
||||||||
Deere & Company
|
3,000 | 272,400 | ||||||
General Dynamics Corporation
|
3,000 | 326,760 | ||||||
General Electric Company
|
90,000 | 2,330,100 | ||||||
Lockheed Martin Corporation
|
3,000 | 489,720 | ||||||
3,418,980 |
Description
|
No. of
Shares
|
Value
|
INFORMATION TECHNOLOGY - 2.40%
|
||||||||
Corning, Inc.
|
9,000 | $ | 187,380 | |||||
Hewlett-Packard Company
|
12,400 | 401,264 | ||||||
Intel Corporation
|
20,000 | 516,200 | ||||||
Microsoft Corporation
|
22,000 | 901,780 | ||||||
Oracle Corporation
|
15,000 | 613,650 | ||||||
QUALCOMM Incorporated
|
14,500 | 1,143,470 | ||||||
Yahoo! Inc. *
|
7,000 | 251,300 | ||||||
4,015,044 | ||||||||
MATERIALS - 0.31%
|
||||||||
Dow Chemical Company (The)
|
10,500 | 510,195 | ||||||
UTILITIES - 0.14%
|
||||||||
Exelon Corporation
|
7,000 | 234,920 | ||||||
TOTAL EQUITY SECURITIES (cost - $156,789,573)
|
165,305,011 | |||||||
SHORT-TERM INVESTMENTS - 1.65%
|
||||||||
MONEY MARKET FUNDS - 1.65%
|
||||||||
Fidelity Institutional Money Market Government Portfolio - Class I, 0.01%^ (cost - $2,763,340)
|
2,763,340 | 2,763,340 | ||||||
TOTAL INVESTMENTS - 100.51% (cost - $159,552,913)
|
168,068,351 | |||||||
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.51)%
|
(846,071 | ) | ||||||
NET ASSETS - 100.00%
|
$ | 167,222,280 |
*
|
Non-income producing security.
|
^
|
The rate shown is the 7-day effective yield as of March 31, 2014.
|
Cost of portfolio investments
|
$ | 159,590,893 | ||
Gross unrealized appreciation
|
$ | 10,145,032 | ||
Gross unrealized depreciation
|
(1,667,574 | ) | ||
Net unrealized appreciation
|
$ | 8,477,458 |
·
|
Level 1 - quoted unadjusted prices for identical instruments in active markets to which the Fund has access at the date of measurement.
|
·
|
Level 2 - quoted prices for similar instruments in active markets; quoted prices for identical or similar instruments in markets that are not active; and model-derived valuations in which all significant inputs and significant value drivers are observable in active markets. Level 2 inputs are those in markets for which there are few transactions, the prices are not current, little public information exists or instances where prices vary substantially over time or among brokered market makers.
|
·
|
Level 3 - model derived valuations in which one or more significant inputs or significant value drivers are unobservable. Unobservable inputs are those inputs that reflect the Fund's own assumptions that market participants would use to price the asset or liability based on the best available information.
|
VALUATION INPUTS
|
INVESTMENTS
IN
SECURITIES
|
OTHER FINANCIAL INSTRUMENTS*
|
||||||
Level 1 – Quoted Prices
|
||||||||
Equity Investments
|
$ | 165,305,011 | $ | - | ||||
Short-Term Investments
|
2,763,340 | - | ||||||
Level 2 – Other Significant Observable Inputs
|
- | - | ||||||
Level 3 – Significant Unobservable Inputs
|
- | - | ||||||
Total
|
$ | 168,068,351 | $ | - |
*
|
Other financial instruments include futures, forwards and swap contracts, if any.
|
By (Signature and Title)*
|
/s/ Ralph W. Bradshaw
|
||
Ralph W. Bradshaw, President and Chairman
|
|||
(Principal Executive Officer)
|
|||
Date
|
May 16, 2014
|
||
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
|
|||
By (Signature and Title)*
|
/s/ Ralph W. Bradshaw
|
||
Ralph W. Bradshaw, President and Chairman
|
|||
(Principal Executive Officer)
|
|||
Date
|
May 16, 2014
|
||
By (Signature and Title)*
|
/s/ Frank J. Maresca
|
||
Frank J. Maresca, Treasurer (Principal Financial Officer)
|
|||
Date
|
May 16, 2014
|