The Gabelli Equity Trust Inc. Third Quarter Report September 30, 2010 |
Mario J. Gabelli, CFA |
Since | ||||||||||||||||||||||||||||||||||||
Year to | Inception | |||||||||||||||||||||||||||||||||||
Quarter | Date | 1 Year | 3 Year | 5 Year | 10 Year | 15 Year | 20 Year | (08/21/86) | ||||||||||||||||||||||||||||
Gabelli Equity Trust |
||||||||||||||||||||||||||||||||||||
NAV Total Return (b) |
18.54 | % | 11.96 | % | 20.36 | % | (6.57 | )% | 2.96 | % | 4.85 | % | 8.15 | % | 10.04 | % | 10.10 | % | ||||||||||||||||||
Investment Total Return (c) |
14.70 | 6.83 | 11.17 | (7.73 | ) | 2.57 | 4.13 | 8.23 | 10.27 | 9.50 | ||||||||||||||||||||||||||
S&P 500 Index |
11.30 | 3.91 | 10.18 | (7.15 | ) | 0.64 | (0.43 | ) | 6.45 | 9.05 | 8.94 | (d) | ||||||||||||||||||||||||
Dow Jones Industrial Average |
11.13 | 5.57 | 14.12 | (5.37 | ) | 3.11 | 2.54 | 7.92 | 10.30 | 10.34 | (d) | |||||||||||||||||||||||||
Nasdaq Composite Index |
12.30 | 4.38 | 11.60 | (4.29 | ) | 1.94 | (4.29 | ) | 5.62 | 10.12 | 7.87 |
(a) | Returns represent past performance and do not guarantee future results. Investment returns and the principal value of an investment will fluctuate. When shares are sold, they may be worth more or less than their original cost. Current performance may be lower or higher than the performance data presented. Visit www.gabelli.com for performance information as of the most recent month end. Performance returns for periods of less than one year are not annualized. Investors should carefully consider the investment objectives, risks, charges, and expenses of the Fund before investing. The Dow Jones Industrial Average is an unmanaged index of 30 large capitalization stocks. The S&P 500 and the Nasdaq Composite Indices are unmanaged indicators of stock market performance. Dividends are considered reinvested except for the Nasdaq Composite Index. You cannot invest directly in an index. | |
(b) | Total returns and average annual returns reflect changes in the NAV per share, reinvestment of distributions at NAV on the ex-dividend date, adjustments for rights offerings, spin-offs, and taxes paid on undistributed long-term capital gains and are net of expenses. Since inception return is based on an initial NAV of $9.34. | |
(c) | Total returns and average annual returns reflect changes in closing market values on the New York Stock Exchange, reinvestment of distributions, and adjustments for rights offerings, spin-offs, and taxes paid on undistributed long-term capital gains. Since inception return is based on an initial offering price of $10.00. | |
(d) | From August 31, 1986, the date closest to the Funds inception for which data is available. |
Ownership at | ||||||||
Shares/ | September 30, | |||||||
Units | 2010 | |||||||
NET PURCHASES |
||||||||
Common Stocks |
||||||||
Accor SA (a) |
14,770 | 20,000 | ||||||
AMR Corp. |
100,000 | 300,000 | ||||||
Baxter International Inc. |
3,000 | 38,000 | ||||||
Becton, Dickinson and Co. |
500 | 3,500 | ||||||
Bel Fuse Inc., Cl. A |
4,000 | 20,000 | ||||||
Cincinnati Bell Inc. |
25,000 | 825,000 | ||||||
Citigroup Inc. |
140,000 | 380,000 | ||||||
CNH Global NV |
5,000 | 25,000 | ||||||
Covidien plc |
30,000 | 55,000 | ||||||
Edenred (a) |
5,230 | 5,230 | ||||||
Frontier Communications Corp. (b) |
20,000 | 20,000 | ||||||
Gerber Scientific Inc. |
5,000 | 90,000 | ||||||
GrafTech International Ltd. |
5,000 | 90,000 | ||||||
Hellenic Telecommunications
Organization SA |
4,000 | 44,000 | ||||||
Hellenic Telecommunications
Organization SA, ADR |
3,000 | 16,000 | ||||||
Media General Inc., Cl. A |
20,000 | 200,000 | ||||||
MEMC Electronic Materials Inc. |
2,000 | 20,000 | ||||||
Millicom International Cellular SA |
10,000 | 10,000 | ||||||
NCR Corp. |
5,000 | 105,000 | ||||||
NextEra Energy Inc. |
9,000 | 32,000 | ||||||
Noble Corp. |
20,000 | 20,000 | ||||||
Northeast Utilities |
15,000 | 205,000 | ||||||
NSTAR |
10,000 | 10,000 | ||||||
Remy Cointreau SA (c) |
4,673 | 40,673 | ||||||
Research In Motion Ltd. |
5,000 | 5,000 | ||||||
Safeway Inc. |
10,000 | 10,000 | ||||||
Superior Industries International Inc. |
3,000 | 45,000 | ||||||
TECO Energy Inc. |
20,000 | 20,000 | ||||||
The Bank of New York Mellon Corp. |
15,000 | 185,038 | ||||||
The Boeing Co. |
13,000 | 123,000 | ||||||
The Kroger Co. |
10,000 | 10,000 | ||||||
UltraShort Dow30 ProShares |
200,000 | 200,000 | ||||||
Vodafone Group plc, ADR |
30,000 | 66,000 | ||||||
Waddell & Reed Financial Inc., Cl. A |
10,000 | 100,000 | ||||||
Wisconsin Energy Corp. |
4,000 | 4,000 | ||||||
Xerox Corp. |
60,000 | 60,000 | ||||||
Rights |
||||||||
Deutsche Bank AG, expire 10/05/10 (d) |
140,000 | 140,000 | ||||||
NET SALES |
||||||||
Common Stocks |
||||||||
Alcoa Inc. |
(15,000 | ) | 53,000 | |||||
Alibaba.com Ltd. |
(8,000 | ) | | |||||
American Express Co. |
(7,000 | ) | 527,000 | |||||
AMETEK Inc. |
(3,000 | ) | 243,000 | |||||
Baldor Electric Co. |
(12,000 | ) | 143,000 | |||||
Bell Aliant Regional Communications
Income Fund |
(3,000 | ) | 5,000 | |||||
Berkshire Hathaway Inc., Cl. A |
(1 | ) | 133 | |||||
BorgWarner Inc. |
(2,000 | ) | 84,000 | |||||
Boston Scientific Corp. |
(10,000 | ) | 215,000 | |||||
BP plc, ADR |
(2,000 | ) | 118,000 | |||||
Brasil Telecom SA, Cl. C, ADR |
(10,000 | ) | 15,801 | |||||
Brookfield Asset Management Inc.,
Cl. A |
(2,000 | ) | | |||||
Cablevision Systems Corp., Cl. A |
(20,000 | ) | 1,410,000 | |||||
Caterpillar Inc. |
(5,000 | ) | 15,000 | |||||
CBS Corp., Cl. A, Voting |
(5,000 | ) | 350,000 | |||||
CLARCOR Inc. |
(7,000 | ) | 158,000 | |||||
Clorox Co. |
(3,000 | ) | 9,000 | |||||
CMS Energy Corp. |
(16,000 | ) | 39,000 | |||||
Commerzbank AG, ADR |
(10,000 | ) | 126,000 | |||||
ConocoPhillips |
(16,000 | ) | 244,000 | |||||
Cooper Industries plc |
(3,000 | ) | 202,000 | |||||
Corn Products International Inc. |
(1,000 | ) | 44,000 | |||||
Corning Inc. |
(3,000 | ) | 465,000 | |||||
Dean Foods Co. |
(22,000 | ) | 150,000 | |||||
Deere & Co. |
(3,000 | ) | 432,000 | |||||
Del Monte Foods Co. |
(15,000 | ) | 45,000 | |||||
Deutsche Bank AG (d) |
(2,000 | ) | 140,000 | |||||
DIRECTV, Cl. A |
(85,000 | ) | 615,000 | |||||
Discovery Communications Inc., Cl. A |
(2,500 | ) | 129,500 | |||||
Discovery Communications Inc., Cl. C |
(2,500 | ) | 129,500 | |||||
Dr. Pepper Snapple Group Inc. |
(20,000 | ) | 100,000 | |||||
Duke Energy Corp. |
(20,000 | ) | 115,000 | |||||
Eastman Kodak Co. |
(17,000 | ) | 158,000 | |||||
Fedders Corp. |
(50,000 | ) | | |||||
Ferro Corp. |
(50,000 | ) | 465,000 | |||||
Fortress Investment Group LLC, Cl. A |
(10,000 | ) | 10,000 | |||||
GATX Corp. |
(7,000 | ) | 158,000 | |||||
GlaxoSmithKline plc, ADR |
(4,000 | ) | | |||||
Great Plains Energy Inc. |
(25,000 | ) | 25,000 |
2
Ownership at | ||||||||
September 30, | ||||||||
Shares | 2010 | |||||||
NET SALES (Continued) |
||||||||
Common Stocks (Continued) |
||||||||
Grupo Bimbo SAB de CV, Cl. A |
(20,000 | ) | 680,000 | |||||
H.J. Heinz Co. |
(6,000 | ) | 84,000 | |||||
Hitachi Ltd., ADR |
(1,000 | ) | 4,000 | |||||
IDEX Corp. |
(3,000 | ) | 304,000 | |||||
Il Sole 24 Ore |
(57,400 | ) | 1,152,600 | |||||
Independent News & Media plc |
(1 | ) | 28,323 | |||||
Interactive Brokers Group Inc., Cl. A |
(12,000 | ) | 17,000 | |||||
Interval Leisure Group Inc. |
(3,000 | ) | 37,000 | |||||
ITT Corp. |
(10,000 | ) | 240,000 | |||||
Janus Capital Group Inc. |
(25,000 | ) | 185,000 | |||||
Johnson & Johnson |
(10,000 | ) | 45,000 | |||||
JPMorgan Chase & Co. |
(6,000 | ) | 64,088 | |||||
Kraft Foods Inc., Cl. A |
(10,000 | ) | 172,278 | |||||
Macys Inc. |
(5,000 | ) | 390,000 | |||||
Marathon Oil Corp. |
(8,000 | ) | 12,000 | |||||
Marsh & McLennan Companies Inc. |
(10,000 | ) | 180,000 | |||||
Meredith Corp. |
(3,000 | ) | 117,000 | |||||
MGM Resorts International |
(5,000 | ) | 55,000 | |||||
Modine Manufacturing Co. |
(10,000 | ) | 300,000 | |||||
Monsanto Co. |
(3,000 | ) | 28,000 | |||||
Monster Worldwide Inc. |
(25,000 | ) | 30,000 | |||||
News Corp., Cl. A |
(20,000 | ) | 1,330,000 | |||||
Northrop Grumman Corp. |
(5,000 | ) | 45,000 | |||||
Pernod-Ricard SA |
(4,000 | ) | 46,000 | |||||
PetroChina Co. Ltd., ADR |
(300 | ) | 500 | |||||
Petroleo Brasileiro SA, ADR |
(3,500 | ) | | |||||
Precision Castparts Corp. |
(6,000 | ) | 98,000 | |||||
Qwest Communications
International Inc. |
(150,000 | ) | 50,000 | |||||
Rockwell Automation Inc. |
(10,000 | ) | 30,000 | |||||
Rogers Communications Inc.,
Cl. B, New York |
(1,000 | ) | 489,690 | |||||
Rolls-Royce Group plc, Cl. C (e) |
(108,000,000 | ) | | |||||
SSL International plc |
(50,000 | ) | 50,000 | |||||
SUPERVALU Inc. |
(9,000 | ) | | |||||
Swedish Match AB |
(10,000 | ) | 940,000 | |||||
T. Rowe Price Group Inc. |
(10,000 | ) | 140,000 | |||||
Telecom Italia SpA |
(50,000 | ) | 800,000 | |||||
Telefonica SA, ADR |
(5,000 | ) | 198,000 | |||||
The Blackstone Group LP |
(10,000 | ) | | |||||
The Great Atlantic &
Pacific Tea Co. Inc. |
(15,000 | ) | 185,000 | |||||
The Hershey Co. |
(6,000 | ) | 56,000 | |||||
The McGraw-Hill Companies Inc. |
(10,500 | ) | 133,500 | |||||
The Phoenix Companies Inc. |
(3,000 | ) | 24,000 | |||||
The Weir Group plc |
(20,000 | ) | 70,000 | |||||
Time Warner Cable Inc. |
(5,000 | ) | 75,000 | |||||
Trinity Industries Inc. |
(10,000 | ) | 60,000 | |||||
Tyco International Ltd. |
(5,810 | ) | 220,000 | |||||
UnitedHealth Group Inc. |
(5,000 | ) | 95,000 | |||||
Watts Water Technologies Inc., Cl. A |
(10,000 | ) | 180,000 | |||||
Whole Foods Market Inc. |
(10,000 | ) | 22,000 |
(a) | Spin-off 1 share of Edenred for every 1 share of Accor SA held. 14,770 shares of Accor SA were purchased after the spin-off. | |
(b) | Spin-off 0.240039731 shares of Frontier Communications for every 1 share of Verizon Communications Inc. held. 15,526 shares of Frontier Communications Corp. were sold after the spin-off. | |
(c) | Stock Dividend 0.0168306 shares for every 1 share held. 4,000 shares were purchased prior to the stock dividend. | |
(d) | Rights Exercised 1 share of Deutsche Bank AG, Rights expire 10/15/10 for every 1 share of Deutsche Bank AG held. 2,000 shares of Deutsche Bank AG were sold prior to the rights exercised. | |
(e) | Tender Offer $0.001 for every 1 share held. |
3
Market | ||||||||
Shares | Value | |||||||
COMMON STOCKS 99.5% |
||||||||
Food and Beverage 10.6% |
||||||||
32,000 | Brown-Forman Corp., Cl. A |
$ | 1,969,920 | |||||
6,250 | Brown-Forman Corp., Cl. B |
385,250 | ||||||
70,000 | Campbell Soup Co. |
2,502,500 | ||||||
50,000 | China Mengniu Dairy Co. Ltd. |
154,662 | ||||||
15,000 | Coca-Cola Enterprises Inc. |
465,000 | ||||||
100,000 | Constellation Brands Inc., Cl. A |
1,769,000 | ||||||
44,000 | Corn Products International Inc. |
1,650,000 | ||||||
225,000 | Danone |
13,457,855 | ||||||
600,000 | Davide Campari Milano SpA |
3,588,761 | ||||||
150,000 | Dean Foods Co. |
1,531,500 | ||||||
45,000 | Del Monte Foods Co. |
589,950 | ||||||
203,000 | Diageo plc, ADR |
14,009,030 | ||||||
100,000 | Dr. Pepper Snapple Group Inc. |
3,552,000 | ||||||
70,000 | Flowers Foods Inc. |
1,738,800 | ||||||
92,000 | Fomento Economico Mexicano SAB de CV, ADR |
4,667,160 | ||||||
50,000 | General Mills Inc. |
1,827,000 | ||||||
680,000 | Grupo Bimbo SAB de CV, Cl. A |
4,964,429 | ||||||
84,000 | H.J. Heinz Co. |
3,979,080 | ||||||
36,000 | Heineken NV |
1,866,892 | ||||||
150,000 | ITO EN Ltd. |
2,463,464 | ||||||
20,000 | ITO EN Ltd., Preference |
245,089 | ||||||
14,000 | Kellogg Co. |
707,140 | ||||||
66,000 | Kerry Group plc, Cl. A |
2,330,343 | ||||||
172,278 | Kraft Foods Inc., Cl. A |
5,316,499 | ||||||
11,500 | LVMH Moet Hennessy Louis Vuitton SA |
1,686,888 | ||||||
1,000 | MEIJI Holdings Co. Ltd. |
47,077 | ||||||
70,000 | Morinaga Milk Industry Co. Ltd. |
300,192 | ||||||
25,000 | Nestlé SA |
1,331,858 | ||||||
210,000 | PepsiCo Inc. |
13,952,400 | ||||||
46,000 | Pernod-Ricard SA |
3,840,963 | ||||||
64,000 | Ralcorp Holdings Inc. |
3,742,720 | ||||||
40,673 | Remy Cointreau SA |
2,739,386 | ||||||
10,000 | Safeway Inc. |
211,600 | ||||||
600,000 | Sara Lee Corp. |
8,058,000 | ||||||
75,000 | The Coca-Cola Co. |
4,389,000 | ||||||
20,000 | The Hain Celestial Group Inc. |
479,600 | ||||||
56,000 | The Hershey Co. |
2,665,040 | ||||||
2,000 | The J.M. Smucker Co. |
121,060 | ||||||
10,000 | The Kroger Co. |
216,600 | ||||||
129,429 | Tootsie Roll Industries Inc. |
3,220,194 | ||||||
75,000 | Tyson Foods Inc., Cl. A |
1,201,500 | ||||||
380,000 | YAKULT HONSHA Co. Ltd. |
11,735,026 | ||||||
135,670,428 | ||||||||
Cable and Satellite 8.6% |
||||||||
1,410,000 | Cablevision Systems Corp., Cl. A |
36,927,900 | ||||||
105,000 | Comcast Corp., Cl. A, Special |
1,786,050 | ||||||
615,000 | DIRECTV, Cl. A |
25,602,450 | ||||||
100,000 | DISH Network Corp., Cl. A |
1,916,000 | ||||||
30,740 | EchoStar Corp., Cl. A |
586,519 | ||||||
176,770 | Liberty Global Inc., Cl. A |
5,446,284 | ||||||
139,001 | Liberty Global Inc., Cl. C |
4,247,871 | ||||||
489,690 | Rogers Communications Inc., Cl. B, New York |
18,329,097 | ||||||
19,310 | Rogers Communications Inc., Cl. B, Toronto |
722,741 | ||||||
120,000 | Scripps Networks Interactive Inc., Cl. A |
5,709,600 | ||||||
160,000 | Shaw Communications Inc., Cl. B, New York |
3,521,600 | ||||||
40,000 | Shaw Communications Inc., Cl. B, Toronto |
880,941 | ||||||
75,000 | Time Warner Cable Inc. |
4,049,250 | ||||||
109,726,303 | ||||||||
Financial Services 7.9% |
||||||||
527,000 | American Express Co. (a) |
22,149,810 | ||||||
5,000 | Ameriprise Financial Inc. |
236,650 | ||||||
19,452 | Argo Group International Holdings Ltd. |
675,763 | ||||||
95,000 | Artio Global Investors Inc. |
1,453,500 | ||||||
88,000 | Banco Santander SA, ADR |
1,114,080 | ||||||
133 | Berkshire Hathaway Inc., Cl. A |
16,558,500 | ||||||
10,000 | Calamos Asset Management Inc., Cl. A |
115,000 | ||||||
380,000 | Citigroup Inc. |
1,482,000 | ||||||
126,000 | Commerzbank AG, ADR |
1,033,200 | ||||||
140,000 | Deutsche Bank AG |
7,690,200 | ||||||
10,000 | Fortress Investment Group LLC, Cl. A |
35,900 | ||||||
22,000 | H&R Block Inc. |
284,900 | ||||||
17,000 | Interactive Brokers Group Inc., Cl. A |
292,570 | ||||||
185,000 | Janus Capital Group Inc. |
2,025,750 | ||||||
64,088 | JPMorgan Chase & Co. |
2,439,830 | ||||||
30,000 | Kinnevik Investment AB, Cl. A |
640,471 | ||||||
178,000 | Legg Mason Inc. |
5,395,180 | ||||||
130,000 | Leucadia National Corp. |
3,070,600 | ||||||
5,000 | Loews Corp. |
189,500 | ||||||
180,000 | Marsh & McLennan Companies Inc. |
4,341,600 | ||||||
20,000 | Moodys Corp. |
499,600 | ||||||
22,000 | Och-Ziff Capital Management Group LLC, Cl. A |
327,800 | ||||||
120,000 | State Street Corp. |
4,519,200 | ||||||
20,000 | SunTrust Banks Inc. |
516,600 | ||||||
140,000 | T. Rowe Price Group Inc. |
7,009,100 | ||||||
3,000 | The Allstate Corp. |
94,650 | ||||||
185,038 | The Bank of New York Mellon Corp. |
4,835,043 |
4
Market | ||||||||
Shares | Value | |||||||
COMMON STOCKS (Continued) |
||||||||
Financial Services (Continued) |
||||||||
43,000 | The Charles Schwab Corp. |
$ | 597,700 | |||||
15,000 | The Dun & Bradstreet Corp. |
1,112,100 | ||||||
24,000 | The Phoenix Companies Inc. |
50,400 | ||||||
100,000 | Waddell & Reed Financial Inc., Cl. A |
2,736,000 | ||||||
290,000 | Wells Fargo & Co. |
7,287,700 | ||||||
100,810,897 | ||||||||
Energy and Utilities 7.1% |
||||||||
3,500 | AGL Resources Inc. |
134,260 | ||||||
68,000 | Allegheny Energy Inc. |
1,667,360 | ||||||
36,000 | Anadarko Petroleum Corp. |
2,053,800 | ||||||
68,000 | Apache Corp. |
6,647,680 | ||||||
118,000 | BP plc, ADR |
4,858,060 | ||||||
61,000 | CH Energy Group Inc. |
2,693,760 | ||||||
39,000 | CMS Energy Corp. |
702,780 | ||||||
244,000 | ConocoPhillips |
14,012,920 | ||||||
80,000 | Constellation Energy Group Inc. |
2,579,200 | ||||||
3,000 | Diamond Offshore Drilling Inc. |
203,310 | ||||||
60,000 | DPL Inc. |
1,567,800 | ||||||
115,000 | Duke Energy Corp. |
2,036,650 | ||||||
280,000 | El Paso Corp. |
3,466,400 | ||||||
265,000 | El Paso Electric Co. |
6,301,700 | ||||||
75,000 | Exxon Mobil Corp. |
4,634,250 | ||||||
25,000 | Great Plains Energy Inc. |
472,500 | ||||||
210,000 | Halliburton Co. |
6,944,700 | ||||||
12,000 | Marathon Oil Corp. |
397,200 | ||||||
10,000 | Mirant Corp. |
99,600 | ||||||
140,000 | Mirant Corp., Escrow (b) |
0 | ||||||
32,000 | NextEra Energy Inc. |
1,740,480 | ||||||
2,000 | Niko Resources Ltd., New York |
196,832 | ||||||
1,000 | Niko Resources Ltd., Toronto |
98,416 | ||||||
10,000 | NiSource Inc. |
174,000 | ||||||
20,000 | Noble Corp. |
675,800 | ||||||
205,000 | Northeast Utilities |
6,061,850 | ||||||
10,000 | NSTAR |
393,500 | ||||||
19,000 | Oceaneering International Inc. |
1,023,340 | ||||||
500 | PetroChina Co. Ltd., ADR |
58,210 | ||||||
100,000 | Progress Energy Inc., CVO |
15,000 | ||||||
190,000 | Rowan Companies Inc. |
5,768,400 | ||||||
5,000 | SJW Corp. |
123,150 | ||||||
20,000 | Southwest Gas Corp. |
671,800 | ||||||
130,000 | Spectra Energy Corp. |
2,931,500 | ||||||
20,000 | TECO Energy Inc. |
346,400 | ||||||
60,000 | The AES Corp. |
681,000 | ||||||
16,000 | Transocean Ltd. |
1,028,640 | ||||||
265,000 | Westar Energy Inc. |
6,420,950 | ||||||
4,000 | Wisconsin Energy Corp. |
231,200 | ||||||
90,114,398 | ||||||||
Diversified Industrial 6.9% |
||||||||
3,000 | Acuity Brands Inc. |
132,720 | ||||||
158,000 | Ampco-Pittsburgh Corp. |
3,921,560 | ||||||
143,000 | Baldor Electric Co. |
5,777,200 | ||||||
202,000 | Cooper Industries plc |
9,883,860 | ||||||
250,000 | Crane Co. |
9,485,000 | ||||||
220,000 | General Electric Co. |
3,575,000 | ||||||
185,000 | Greif Inc., Cl. A |
10,885,400 | ||||||
18,000 | Greif Inc., Cl. B |
1,033,200 | ||||||
420,000 | Honeywell International Inc. |
18,454,800 | ||||||
240,000 | ITT Corp. |
11,239,200 | ||||||
10,000 | Jardine Strategic Holdings Ltd. |
268,000 | ||||||
30,000 | Material Sciences Corp. |
133,800 | ||||||
98,000 | Park-Ohio Holdings Corp. |
1,303,400 | ||||||
1,000 | Pentair Inc. |
33,630 | ||||||
21,000 | Sulzer AG |
2,436,269 | ||||||
60,000 | Trinity Industries Inc. |
1,336,200 | ||||||
220,000 | Tyco International Ltd. |
8,080,600 | ||||||
87,979,839 | ||||||||
Equipment and Supplies 5.6% |
||||||||
243,000 | AMETEK Inc. |
11,608,110 | ||||||
4,000 | Amphenol Corp., Cl. A |
195,920 | ||||||
94,000 | CIRCOR International Inc. |
2,970,400 | ||||||
192,000 | Donaldson Co. Inc. |
9,048,960 | ||||||
114,500 | Flowserve Corp. |
12,528,590 | ||||||
23,000 | Franklin Electric Co. Inc. |
762,680 | ||||||
90,000 | Gerber Scientific Inc. |
555,300 | ||||||
90,000 | GrafTech International Ltd. |
1,406,700 | ||||||
304,000 | IDEX Corp. |
10,795,040 | ||||||
40,000 | Ingersoll-Rand plc |
1,428,400 | ||||||
204,000 | Lufkin Industries Inc. |
8,955,600 | ||||||
11,000 | Mueller Industries Inc. |
291,390 | ||||||
2,000 | Sealed Air Corp. |
44,960 | ||||||
70,000 | Tenaris SA, ADR |
2,689,400 | ||||||
4,000 | The Manitowoc Co. Inc. |
48,440 | ||||||
70,000 | The Weir Group plc |
1,564,768 | ||||||
180,000 | Watts Water Technologies Inc., Cl. A |
6,129,000 | ||||||
71,023,658 | ||||||||
Entertainment 5.5% |
||||||||
32,000 | Canal+ Groupe |
233,389 | ||||||
2,002 | Chestnut Hill Ventures (b) |
91,191 | ||||||
129,500 | Discovery Communications Inc., Cl. A |
5,639,725 | ||||||
129,500 | Discovery Communications Inc., Cl. C |
4,945,605 | ||||||
500 | DreamWorks
Animation SKG Inc., Cl. A |
15,955 | ||||||
690,000 | Grupo Televisa SA, ADR |
13,054,800 | ||||||
29,000 | Liberty Media Corp. Starz, Cl. A |
1,881,520 | ||||||
359,500 | Madison Square Garden Inc., Cl. A |
7,578,260 | ||||||
10,000 | Regal Entertainment Group, Cl. A |
131,200 |
5
Shares/ | Market | |||||||
Units | Value | |||||||
COMMON STOCKS (Continued) |
||||||||
Entertainment (Continued) |
||||||||
10,000 | The Walt Disney Co. |
$ | 331,100 | |||||
280,000 | Time Warner Inc. |
8,582,000 | ||||||
110,000 | Tokyo Broadcasting System Holdings Inc. |
1,415,189 | ||||||
125,000 | Universal Entertainment Corp. |
2,722,209 | ||||||
300,000 | Viacom Inc., Cl. A |
12,027,000 | ||||||
400,000 | Vivendi |
10,933,282 | ||||||
69,582,425 | ||||||||
Telecommunications 4.9% |
||||||||
65,000 | BCE Inc. |
2,112,500 | ||||||
5,000 | Bell Aliant Regional Communications Income Fund |
125,717 | ||||||
45,480 | Brasil Telecom SA, ADR |
902,778 | ||||||
15,801 | Brasil Telecom SA, Cl. C, ADR |
136,205 | ||||||
1,100,000 | BT Group plc |
2,419,177 | ||||||
7,040,836 | Cable & Wireless Jamaica Ltd. (c) |
30,442 | ||||||
825,000 | Cincinnati Bell Inc. |
2,202,750 | ||||||
155,000 | Deutsche Telekom AG, ADR |
2,112,650 | ||||||
5,000 | Fastweb SpA |
122,216 | ||||||
20,000 | Frontier Communications Corp. |
163,400 | ||||||
44,000 | Hellenic Telecommunications Organization SA |
316,711 | ||||||
16,000 | Hellenic Telecommunications Organization SA, ADR |
56,480 | ||||||
95,000 | Koninklijke KPN NV |
1,469,279 | ||||||
50,000 | Qwest Communications International Inc. |
313,500 | ||||||
1,150,000 | Sprint Nextel Corp. |
5,324,500 | ||||||
184,000 | Tele Norte Leste Participacoes SA, ADR |
2,590,720 | ||||||
38,000 | Telecom Argentina SA, ADR |
804,840 | ||||||
800,000 | Telecom Italia SpA |
1,117,867 | ||||||
198,000 | Telefonica SA, ADR |
14,681,700 | ||||||
52,000 | Telefonos de Mexico SAB de CV, Cl. L, ADR |
776,360 | ||||||
265,000 | Telephone & Data Systems Inc. |
8,692,000 | ||||||
350,000 | Telephone & Data Systems Inc., Special |
9,922,500 | ||||||
15,000 | TELUS Corp. |
666,537 | ||||||
148,000 | Verizon Communications Inc. |
4,823,320 | ||||||
61,884,149 | ||||||||
Consumer Products 4.5% |
||||||||
65,000 | Avon Products Inc. |
2,087,150 | ||||||
17,000 | Christian Dior SA |
2,222,047 | ||||||
12,000 | Church & Dwight Co. Inc. |
779,280 | ||||||
9,000 | Clorox Co. |
600,840 | ||||||
158,000 | Eastman Kodak Co. |
663,600 | ||||||
105,000 | Energizer Holdings Inc. |
7,059,150 | ||||||
120,000 | Fortune Brands Inc. |
5,907,600 | ||||||
2,266 | Givaudan SA |
2,315,233 | ||||||
60,000 | Hanesbrands Inc. |
1,551,600 | ||||||
30,000 | Harley-Davidson Inc. |
853,200 | ||||||
4,000 | Jarden Corp. |
124,520 | ||||||
8,000 | Mattel Inc. |
187,680 | ||||||
13,000 | National Presto Industries Inc. |
1,384,110 | ||||||
10,000 | Oil-Dri Corp. of America |
215,100 | ||||||
78,000 | Pactiv Corp. |
2,572,440 | ||||||
56,000 | Reckitt Benckiser Group plc |
3,079,832 | ||||||
33,000 | Svenska Cellulosa AB, Cl. B |
501,829 | ||||||
940,000 | Swedish Match AB |
25,074,662 | ||||||
57,179,873 | ||||||||
Automotive: Parts and Accessories 3.6% |
||||||||
84,000 | BorgWarner Inc. |
4,420,080 | ||||||
158,000 | CLARCOR Inc. |
6,103,540 | ||||||
215,000 | Dana Holding Corp. |
2,648,800 | ||||||
275,000 | Genuine Parts Co. |
12,262,250 | ||||||
195,000 | Johnson Controls Inc. |
5,947,500 | ||||||
135,000 | Midas Inc. |
1,027,350 | ||||||
300,000 | Modine Manufacturing Co. |
3,891,000 | ||||||
128,000 | OReilly Automotive Inc. |
6,809,600 | ||||||
175,000 | Standard Motor Products Inc. |
1,842,750 | ||||||
45,000 | Superior Industries International Inc. |
777,600 | ||||||
45,730,470 | ||||||||
Health Care 3.5% |
||||||||
12,000 | Abbott Laboratories |
626,880 | ||||||
14,046 | Allergan Inc. |
934,480 | ||||||
38,000 | Amgen Inc. |
2,094,180 | ||||||
38,000 | Baxter International Inc. |
1,812,980 | ||||||
3,500 | Becton, Dickinson and Co. |
259,350 | ||||||
35,000 | Biogen Idec Inc. |
1,964,200 | ||||||
215,000 | Boston Scientific Corp. |
1,317,950 | ||||||
85,000 | Bristol-Myers Squibb Co. |
2,304,350 | ||||||
1,000 | Cephalon Inc. |
62,440 | ||||||
55,000 | Covidien plc |
2,210,450 | ||||||
30,000 | Henry Schein Inc. |
1,757,400 | ||||||
15,000 | Hospira Inc. |
855,150 | ||||||
45,000 | Johnson & Johnson |
2,788,200 | ||||||
74,000 | Life Technologies Corp. |
3,455,060 | ||||||
56,000 | Mead Johnson Nutrition Co. |
3,186,960 | ||||||
100,000 | Merck & Co. Inc. |
3,681,000 | ||||||
10,000 | Nobel Biocare Holding AG |
179,616 | ||||||
98,000 | Novartis AG, ADR |
5,651,660 | ||||||
50,000 | SSL International plc |
909,548 | ||||||
95,000 | UnitedHealth Group Inc. |
3,335,450 | ||||||
8,000 | Watson Pharmaceuticals Inc. |
338,480 |
6
Market | ||||||||
Shares | Value | |||||||
COMMON STOCKS (Continued) |
||||||||
Health Care (Continued) |
||||||||
65,000 | William Demant Holding A/S |
$ | 4,796,407 | |||||
7,000 | Zimmer Holdings Inc. |
366,310 | ||||||
44,888,501 | ||||||||
Machinery 2.5% |
||||||||
15,000 | Caterpillar Inc. |
1,180,200 | ||||||
25,000 | CNH Global NV |
916,000 | ||||||
432,000 | Deere & Co. |
30,144,960 | ||||||
32,241,160 | ||||||||
Publishing 2.4% |
||||||||
10,000 | Idearc Inc. (b) |
33 | ||||||
1,152,600 | Il Sole 24 Ore |
2,077,238 | ||||||
28,323 | Independent News & Media plc |
24,518 | ||||||
200,000 | Media General Inc., Cl. A |
1,792,000 | ||||||
117,000 | Meredith Corp. |
3,897,270 | ||||||
1,330,000 | News Corp., Cl. A |
17,369,800 | ||||||
20,000 | News Corp., Cl. B |
301,200 | ||||||
332 | Seat Pagine Gialle SpA |
69 | ||||||
27,000 | The E.W. Scripps Co., Cl. A |
212,760 | ||||||
133,500 | The McGraw-Hill Companies Inc. |
4,413,510 | ||||||
30,088,398 | ||||||||
Consumer Services 2.3% |
||||||||
100,000 | IAC/InterActiveCorp. |
2,627,000 | ||||||
198,000 | Liberty Media Corp. Interactive, Cl. A |
2,714,580 | ||||||
1,010,000 | Rollins Inc. |
23,613,800 | ||||||
28,955,380 | ||||||||
Retail 2.1% |
||||||||
100,000 | AutoNation Inc. |
2,325,000 | ||||||
500 | AutoZone Inc. |
114,455 | ||||||
40,000 | Coldwater Creek Inc. |
210,800 | ||||||
50,000 | Costco Wholesale Corp. |
3,224,500 | ||||||
115,000 | CVS Caremark Corp. |
3,619,050 | ||||||
10,108 | Dennys Corp. |
31,436 | ||||||
29,000 | HSN Inc. |
867,100 | ||||||
390,000 | Macys Inc. |
9,005,100 | ||||||
50,000 | Sally Beauty Holdings Inc. |
560,000 | ||||||
185,000 | The Great Atlantic & Pacific Tea Co. Inc. |
732,600 | ||||||
50,000 | Wal-Mart Stores Inc. |
2,676,000 | ||||||
90,000 | Walgreen Co. |
3,015,000 | ||||||
22,000 | Whole Foods Market Inc. |
816,420 | ||||||
27,197,461 | ||||||||
Business Services 2.1% |
||||||||
6,000 | ACCO Brands Corp. |
34,500 | ||||||
18,000 | Ascent Media Corp., Cl. A |
480,780 | ||||||
140,000 | Clear Channel Outdoor Holdings Inc., Cl. A |
1,600,200 | ||||||
180,000 | Contax Participacoes SA, ADR |
565,200 | ||||||
100,000 | Diebold Inc. |
3,109,000 | ||||||
200,000 | G4S plc |
799,899 | ||||||
1,000 | Hertz Global Holdings Inc. |
10,590 | ||||||
12,000 | Jardine Matheson Holdings Ltd. |
541,680 | ||||||
92,000 | Landauer Inc. |
5,761,960 | ||||||
40,500 | MasterCard Inc., Cl. A |
9,072,000 | ||||||
30,000 | Monster Worldwide Inc. |
388,800 | ||||||
340,000 | The Interpublic Group of Companies Inc. |
3,410,200 | ||||||
8,000 | Visa Inc., Cl. A |
594,080 | ||||||
26,368,889 | ||||||||
Aerospace 2.0% |
||||||||
630,000 | BBA Aviation plc |
1,864,526 | ||||||
30,899 | Kaman Corp. |
809,863 | ||||||
4,000 | Lockheed Martin Corp. |
285,120 | ||||||
45,000 | Northrop Grumman Corp. |
2,728,350 | ||||||
1,200,000 | Rolls-Royce Group plc |
11,376,414 | ||||||
123,000 | The Boeing Co. |
8,184,420 | ||||||
25,248,693 | ||||||||
Hotels and Gaming 2.0% |
||||||||
20,000 | Accor SA |
730,294 | ||||||
200,000 | Gaylord Entertainment Co. |
6,100,000 | ||||||
70,000 | Genting Singapore plc |
99,004 | ||||||
37,000 | Interval Leisure Group Inc. |
498,390 | ||||||
1,500,087 | Ladbrokes plc |
3,162,393 | ||||||
90,000 | Las Vegas Sands Corp. |
3,136,500 | ||||||
3,900,000 | Mandarin Oriental International Ltd. |
6,669,000 | ||||||
55,000 | MGM Resorts International |
620,400 | ||||||
42,000 | Orient-Express Hotels Ltd., Cl. A |
468,300 | ||||||
100,000 | Pinnacle Entertainment Inc. |
1,115,000 | ||||||
34,000 | Starwood Hotels & Resorts Worldwide Inc. |
1,786,700 | ||||||
200,000 | The Hongkong & Shanghai Hotels Ltd. |
352,114 | ||||||
2,000 | Wynn Resorts Ltd. |
173,540 | ||||||
24,911,635 | ||||||||
Aviation: Parts and Services 1.9% |
||||||||
350,000 | Curtiss-Wright Corp. |
10,605,000 | ||||||
330,000 | GenCorp Inc. |
1,623,600 | ||||||
98,000 | Precision Castparts Corp. |
12,480,300 | ||||||
24,708,900 | ||||||||
7
Market | ||||||||
Shares | Value | |||||||
COMMON STOCKS (Continued) |
||||||||
Specialty Chemicals 1.8% |
||||||||
13,000 | Ashland Inc. |
$ | 634,010 | |||||
30,000 | E.I. du Pont de Nemours and Co. |
1,338,600 | ||||||
465,000 | Ferro Corp. |
5,993,850 | ||||||
4,000 | FMC Corp. |
273,640 | ||||||
45,000 | H.B. Fuller Co. |
894,150 | ||||||
70,000 | International Flavors & Fragrances Inc. |
3,396,400 | ||||||
275,000 | Omnova Solutions Inc. |
1,977,250 | ||||||
240,000 | Sensient Technologies Corp. |
7,317,600 | ||||||
100,000 | Zep Inc. |
1,744,000 | ||||||
23,569,500 | ||||||||
Communications Equipment 1.5% |
||||||||
465,000 | Corning Inc. |
8,500,200 | ||||||
75,000 | Motorola Inc. |
639,750 | ||||||
250,000 | Thomas & Betts Corp. |
10,255,000 | ||||||
19,394,950 | ||||||||
Metals and Mining 1.4% |
||||||||
15,000 | Agnico-Eagle Mines Ltd. |
1,065,450 | ||||||
53,000 | Alcoa Inc. |
641,830 | ||||||
88,000 | Barrick Gold Corp. |
4,073,520 | ||||||
4,000 | Freeport-McMoRan Copper & Gold Inc. |
341,560 | ||||||
74,000 | Ivanhoe Mines Ltd. |
1,732,340 | ||||||
52,000 | New Hope Corp. Ltd. |
253,816 | ||||||
155,000 | Newmont Mining Corp. |
9,735,550 | ||||||
17,844,066 | ||||||||
Wireless Communications 1.4% |
||||||||
88,000 | America Movil SAB de CV, Cl. L, ADR |
4,693,040 | ||||||
16,070 | Clearwire Corp., Cl. A |
130,006 | ||||||
10,000 | Millicom International Cellular SA |
959,500 | ||||||
1,500 | NTT DoCoMo Inc. |
2,497,604 | ||||||
32,165 | Tim Participacoes SA, ADR |
1,061,123 | ||||||
115,400 | United States Cellular Corp. |
5,304,938 | ||||||
56,938 | Vivo Participacoes SA, ADR |
1,547,005 | ||||||
66,000 | Vodafone Group plc, ADR |
1,637,460 | ||||||
17,830,676 | ||||||||
Electronics 1.2% |
||||||||
4,000 | Advanced Micro Devices Inc. |
28,440 | ||||||
20,000 | Bel Fuse Inc., Cl. A |
418,600 | ||||||
4,000 | Hitachi Ltd., ADR |
175,120 | ||||||
180,000 | Intel Corp. |
3,461,400 | ||||||
35,000 | Koninklijke Philips Electronics NV |
1,096,200 | ||||||
75,000 | LSI Corp. |
342,000 | ||||||
20,000 | MEMC Electronic Materials Inc. |
238,400 | ||||||
20,000 | Molex Inc., Cl. A |
349,600 | ||||||
2,000 | Rovi Corp. |
100,820 | ||||||
275,000 | Texas Instruments Inc. |
7,463,500 | ||||||
62,000 | Tyco Electronics Ltd. |
1,811,640 | ||||||
15,485,720 | ||||||||
Environmental Services 1.1% |
||||||||
220,000 | Republic Services Inc. |
6,707,800 | ||||||
190,000 | Waste Management Inc. |
6,790,600 | ||||||
13,498,400 | ||||||||
Agriculture 0.9% |
||||||||
285,000 | Archer-Daniels-Midland Co. |
9,097,200 | ||||||
28,000 | Monsanto Co. |
1,342,040 | ||||||
15,000 | Syngenta AG, ADR |
746,850 | ||||||
10,000 | The Mosaic Co. |
587,600 | ||||||
11,773,690 | ||||||||
Broadcasting 0.9% |
||||||||
350,000 | CBS Corp., Cl. A, Voting |
5,565,000 | ||||||
2,000 | Cogeco Inc. |
61,230 | ||||||
25,334 | Corus Entertainment Inc., Cl. B, New York |
529,227 | ||||||
6,666 | Corus Entertainment Inc., Cl. B, Toronto |
139,941 | ||||||
40,000 | Gray Television Inc. |
80,400 | ||||||
5,000 | Gray Television Inc., Cl. A |
9,500 | ||||||
77,000 | Liberty Media Corp. Capital, Cl. A |
4,008,620 | ||||||
45,000 | LIN TV Corp., Cl. A |
199,800 | ||||||
100,000 | Television Broadcasts Ltd. |
570,961 | ||||||
11,164,679 | ||||||||
Automotive 0.8% |
||||||||
125,000 | Navistar International Corp. |
5,455,000 | ||||||
96,750 | PACCAR Inc. |
4,658,513 | ||||||
10,113,513 | ||||||||
Computer Software and Services 0.6% |
||||||||
45,000 | AOL Inc. |
1,113,750 | ||||||
10,000 | Check Point Software Technologies Ltd. |
369,300 | ||||||
105,000 | NCR Corp. |
1,431,150 | ||||||
5,000 | Research In Motion Ltd. |
243,450 | ||||||
30,000 | Rockwell Automation Inc. |
1,851,900 | ||||||
165,000 | Yahoo! Inc. |
2,338,050 | ||||||
7,347,600 | ||||||||
Transportation 0.5% |
||||||||
300,000 | AMR Corp. |
1,881,000 | ||||||
158,000 | GATX Corp. |
4,632,560 | ||||||
3,000 | Grupo TMM SA, Cl. A, ADR |
8,790 | ||||||
6,522,350 | ||||||||
8
Market | ||||||||
Shares | Value | |||||||
COMMON STOCKS (Continued) |
||||||||
Real Estate 0.4% |
||||||||
55,500 | Griffin Land & Nurseries Inc. |
$ | 1,467,420 | |||||
170,000 | The St. Joe Co. |
4,227,900 | ||||||
5,695,320 | ||||||||
Closed-End Funds 0.4% |
||||||||
31,500 | Royce Value Trust Inc. |
382,410 | ||||||
104,000 | The Central Europe and Russia Fund Inc. |
3,886,480 | ||||||
70,957 | The New Germany Fund Inc. |
1,022,490 | ||||||
5,291,380 | ||||||||
Exchange Traded Funds 0.4% |
||||||||
200,000 | UltraShort Dow30 ProShares |
4,900,000 | ||||||
Real Estate Investment Trusts 0.1% |
||||||||
2,000 | Camden Property Trust |
95,940 | ||||||
24,984 | Rayonier Inc. |
1,252,198 | ||||||
1,348,138 | ||||||||
Manufactured Housing and
Recreational Vehicles 0.1% |
||||||||
6,400 | Martin Marietta Materials Inc. |
492,608 | ||||||
10,000 | Nobility Homes Inc. |
97,250 | ||||||
33,000 | Skyline Corp. |
668,580 | ||||||
1,258,438 | ||||||||
Computer Hardware 0.0% |
||||||||
60,000 | Xerox Corp. |
621,000 | ||||||
Commercial Services 0.0% |
||||||||
5,230 | Edenred |
103,596 | ||||||
TOTAL COMMON STOCKS |
1,268,074,473 | |||||||
CONVERTIBLE PREFERRED STOCKS 0.1% |
||||||||
Telecommunications 0.1% |
||||||||
23,000 | Cincinnati Bell Inc., 6.750% Cv. Pfd., Ser. B |
897,000 | ||||||
RIGHTS 0.1% |
||||||||
Financial Services 0.1% |
||||||||
140,000 | Deutsche Bank AG, expire 10/05/10 |
695,800 | ||||||
WARRANTS 0.0% |
||||||||
Retail 0.0% |
||||||||
169,811 | Talbots Inc., expire 04/06/15 |
475,471 | ||||||
Energy and Utilities 0.0% |
||||||||
12,183 | Mirant Corp., Ser. A, expire 01/03/11 |
184 | ||||||
TOTAL WARRANTS |
475,655 | |||||||
Principal | ||||||||
Amount | ||||||||
CONVERTIBLE CORPORATE BONDS 0.3% |
||||||||
Diversified Industrial 0.2% |
||||||||
$ | 2,000,000 | Griffon Corp., Sub. Deb. Cv., 4.000%, 01/15/17 (d) |
2,130,000 | |||||
Retail 0.1% |
||||||||
2,000,000 | The Great Atlantic & Pacific Tea Co. Inc., Cv., 5.125%, 06/15/11 |
1,457,500 | ||||||
TOTAL CONVERTIBLE
CORPORATE BONDS |
3,587,500 | |||||||
CORPORATE BONDS 0.0% |
||||||||
Consumer Products 0.0% |
||||||||
1,000,000 | Pillowtex Corp., Sub. Deb., 9.000%, 12/15/10 (b) |
0 | ||||||
U.S. GOVERNMENT OBLIGATIONS 0.0% |
||||||||
300,000 | U.S. Treasury Bills, 0.135% to 0.145%, 11/18/10 to 12/23/10 |
299,929 | ||||||
TOTAL INVESTMENTS 100.0% (Cost $985,467,557) |
$ | 1,274,030,357 | ||||||
Aggregate tax cost |
$ | 1,004,609,090 | ||||||
Gross unrealized appreciation |
$ | 409,619,932 | ||||||
Gross unrealized depreciation |
(140,198,665 | ) | ||||||
Net unrealized appreciation/depreciation |
$ | 269,421,267 | ||||||
9
Number of | Expiration | Unrealized | ||||||||||
Contracts | Date | Depreciation | ||||||||||
FUTURES CONTRACTS SHORT POSITION 0.0% |
||||||||||||
375 | S & P 500 Emini Futures |
12/17/2010 | $ | (177,025 | ) | |||||||
(a) | Security, or a portion thereof, with a value of $4,203,000 were pledged as collateral for futures contracts. | |
(b) | Security fair valued under procedures established by the Board of Directors. The procedures may include reviewing available financial information about the company and reviewing the valuation of comparable securities and other factors on a regular basis. At September 30, 2010, the market value of fair valued securities amounted to $91,224 or 0.01% of total investments. | |
(c) | At September 30, 2010, the Fund held an investment in a restricted security amounting to $30,442 or 0.00% of total investments, which was valued under methods approved by the Board of Directors as follows: |
09/30/10 | ||||||||||||||||
Acquisition | Acquisition | Acquisition | Carrying Value | |||||||||||||
Shares | Issuer | Date | Cost | Per Unit | ||||||||||||
7,040,836 | Cable & Wireless Jamaica Ltd. |
09/30/93 | $ | 128,658 | $ | 0.0043 |
(d) | Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. This security may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2010, the market value of the Rule 144A security amounted to $2,130,000 or 0.17% of total investments. | |
| Non-income producing security. | |
| Represents annualized yield at date of purchase. | |
ADR | American Depositary Receipt | |
CVO | Contingent Value Obligation |
% of | ||||||||
Market | Market | |||||||
Geographic Diversification | Value | Value | ||||||
North America |
80.0 | % | $ | 1,019,647,388 | ||||
Europe |
14.7 | 186,867,597 | ||||||
Latin America |
2.9 | 37,214,956 | ||||||
Japan |
1.7 | 21,600,970 | ||||||
Asia/Pacific |
0.7 | 8,699,446 | ||||||
Total Investments |
100.0 | % | $ | 1,274,030,357 | ||||
10
| Level 1 quoted prices in active markets for identical securities; | ||
| Level 2 other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.); and | ||
| Level 3 significant unobservable inputs (including the Funds determinations as to the fair value of investments). |
11
Valuation Inputs | ||||||||||||||||
Level 1 | Level 2 | Level 3 | Total | |||||||||||||
Quoted | Other Significant | Significant | Market Value | |||||||||||||
Prices | Observable Inputs | Unobservable Inputs | at 9/30/10 | |||||||||||||
INVESTMENTS IN SECURITIES: |
||||||||||||||||
ASSETS (Market Value): |
||||||||||||||||
Common Stocks: |
||||||||||||||||
Energy and Utilities |
$ | 90,099,398 | $ | 15,000 | $ | 0 | $ | 90,114,398 | ||||||||
Entertainment |
69,491,234 | | 91,191 | 69,582,425 | ||||||||||||
Telecommunications |
61,853,707 | 30,442 | | 61,884,149 | ||||||||||||
Publishing |
30,088,365 | | 33 | 30,088,398 | ||||||||||||
Other Industries (a) |
1,016,405,103 | | | 1,016,405,103 | ||||||||||||
Total Common Stocks |
1,267,937,807 | 45,442 | 91,224 | 1,268,074,473 | ||||||||||||
Convertible Preferred Stocks (a) |
897,000 | | | 897,000 | ||||||||||||
Rights (a) |
695,800 | | | 695,800 | ||||||||||||
Warrants (a) |
475,655 | | | 475,655 | ||||||||||||
Convertible Corporate Bonds |
| 3,587,500 | | 3,587,500 | ||||||||||||
Corporate Bonds |
| | 0 | 0 | ||||||||||||
U.S. Government Obligations |
| 299,929 | | 299,929 | ||||||||||||
TOTAL
INVESTMENTS IN SECURITIES
ASSETS |
$ | 1,270,006,262 | $ | 3,932,871 | $ | 91,224 | $ | 1,274,030,357 | ||||||||
OTHER FINANCIAL INSTRUMENTS: |
||||||||||||||||
ASSETS (Unrealized Appreciation): * |
||||||||||||||||
EQUITY CONTRACT |
||||||||||||||||
Contract for Difference Swap Agreement |
$ | | $ | 57,955 | $ | | $ | 57,955 | ||||||||
LIABILITIES (Unrealized Depreciation): * |
||||||||||||||||
EQUITY CONTRACTS |
||||||||||||||||
Futures Contracts Sold (b) |
(177,025 | ) | | | (177,025 | ) | ||||||||||
TOTAL OTHER FINANCIAL INSTRUMENTS |
$ | (177,025 | ) | $ | 57,955 | $ | | $ | (119,070 | ) | ||||||
(a) | Please refer to the Schedule of Investments (SOI) for the industry classifications of these portfolio holdings. | |
(b) | Represents cumulative unrealized depreciation of futures contracts as reported in the Notes to the SOI. | |
* | Other financial instruments are derivatives not reflected in the SOI, such as futures, forwards, and swaps, which are valued at the unrealized appreciation/depreciation of the instrument. |
12
Net change | ||||||||||||||||||||||||||||||||||||
in unrealized | ||||||||||||||||||||||||||||||||||||
appreciation/ | ||||||||||||||||||||||||||||||||||||
depreciation | ||||||||||||||||||||||||||||||||||||
Change in | during the | |||||||||||||||||||||||||||||||||||
Balance | Accrued | Realized | unrealized | Net | Transfers | Transfers | Balance | period on Level 3 | ||||||||||||||||||||||||||||
as of | discounts/ | gain/ | appreciation/ | purchases/ | into | out of | as of | investments held | ||||||||||||||||||||||||||||
12/31/09 | (premiums) | (loss) | depreciation | (sales) | Level 3 | Level 3 | 9/30/10 | at 9/30/10 | ||||||||||||||||||||||||||||
INVESTMENTS IN SECURITIES: |
||||||||||||||||||||||||||||||||||||
ASSETS (Market Value): |
||||||||||||||||||||||||||||||||||||
Common Stocks: |
||||||||||||||||||||||||||||||||||||
Energy and Utilities |
$ | 0 | $ | | $ | | $ | | $ | | $ | | $ | | $ | 0 | $ | | ||||||||||||||||||
Entertainment |
67,527 | | | 23,664 | | | | 91,191 | 23,664 | |||||||||||||||||||||||||||
Equipment and Supplies |
0 | | (71,252 | ) | 71,252 | (0 | ) | | | | | |||||||||||||||||||||||||
Publishing |
| | | | | 33 | | 33 | | |||||||||||||||||||||||||||
Total Common Stocks |
67,527 | | (71,252 | ) | 94,916 | (0 | ) | 33 | | 91,224 | 23,664 | |||||||||||||||||||||||||
Corporate Bonds |
0 | | | | | | | 0 | | |||||||||||||||||||||||||||
TOTAL INVESTMENTS IN SECURITIES |
$ | 67,527 | $ | | $ | (71,252 | ) | $ | 94,916 | $ | (0 | ) | $ | 33 | $ | | $ | 91,224 | $ | 23,664 | ||||||||||||||||
| The Funds policy is to recognize transfers into and transfers out of Level 3 as of the beginning of the reporting period. |
13
14
15
During the period ended September 30, 2010, the Fund had no investments in interest rate swap agreements. |
Notional | Equity Security | Interest Rate/ | Termination | Net Unrealized | ||||||||||||
Amount | Received | Equity Security Paid | Date | Appreciation | ||||||||||||
Market Value | One month LIBOR plus 90 bps plus | |||||||||||||||
Appreciation on: | Market Value Depreciation on: | |||||||||||||||
$1,643,254 (180,000 Shares) |
Rolls-Royce Group plc | Rolls-Royce Group plc | 6/27/11 | $ | 57,955 |
16
Net Unrealized | ||||
Appreciation/(Depreciation) at | ||||
September 30, 2010 | ||||
Asset Derivatives: |
||||
Equity Contract |
$ | 57,955 | ||
Liability Derivatives: |
||||
Equity Contracts |
$ | (177,025 | ) |
17
18
Directors |
Mario J. Gabelli, CFA |
Chairman & Chief Executive Officer, |
GAMCO Investors, Inc. |
Dr. Thomas E. Bratter |
President & Founder, John Dewey Academy |
Anthony J. Colavita |
President, |
Anthony J. Colavita, P.C. |
James P. Conn |
Former Managing Director & |
Chief Investment Officer, |
Financial Security Assurance Holdings Ltd. |
Frank J. Fahrenkopf, Jr. |
President & Chief Executive Officer, |
American Gaming Association |
Arthur V. Ferrara |
Former Chairman & Chief Executive Officer, |
Guardian Life Insurance Company of America |
Anthony R. Pustorino |
Certified Public Accountant, |
Professor Emeritus, Pace University |
Salvatore J. Zizza |
Chairman, Zizza & Co., Ltd. |
Officers | ||||
Bruce N. Alpert |
||||
President |
||||
Carter W. Austin |
||||
Vice President |
||||
Peter D. Goldstein |
||||
Chief Compliance Officer |
||||
Molly A.F. Marion |
||||
Vice President & Ombudsman |
||||
Agnes Mullady |
||||
Treasurer & Secretary |
||||
Investment Adviser |
||||
Gabelli Funds, LLC |
||||
One Corporate Center |
||||
Rye, New York 10580-1422 |
||||
Custodian |
||||
The Bank of New York Mellon |
||||
Counsel |
||||
Willkie Farr & Gallagher LLP |
||||
Transfer Agent and Registrar |
||||
Computershare Trust Company, N.A. |
||||
Stock Exchange Listing |
5.875% | 6.20% | |||||||||||
Common | Preferred | Preferred | ||||||||||
NYSE-Symbol: |
GAB | GAB PrD | GAB PrF | |||||||||
Shares Outstanding: |
180,862,988 | 2,363,860 | 5,850,402 |
(a) | The registrants principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrants disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the 1940 Act) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)). | ||
(b) | There were no changes in the registrants internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrants last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrants internal control over financial reporting. |
By (Signature and Title)*
|
/s/ Bruce N. Alpert
|
By (Signature and Title)*
|
/s/ Bruce N. Alpert
|
|||
Date 11/26/10 | ||||
By (Signature and Title)*
|
/s/ Agnes Mullady
|
* | Print the name and title of each signing officer under his or her signature. |