Fund |
Class
A |
Class
C |
Institutional
Class |
Class
P |
Class
R6 |
Guggenheim
Core Bond Fund
|
SIUSX |
SDICX |
GIUSX |
SIUPX |
GICRX* |
Guggenheim
Floating Rate Strategies Fund |
GIFAX |
GIFCX |
GIFIX |
GIFPX |
GIFSX |
Guggenheim
High Yield Fund |
SIHAX |
SIHSX |
SHYIX |
SIHPX |
SHYSX |
Guggenheim
Limited Duration Fund |
GILDX |
GILFX |
GILHX |
GILPX |
GIKRX |
Guggenheim
Macro Opportunities Fund |
GIOAX |
GIOCX |
GIOIX |
GIOPX |
GIOSX |
Guggenheim
Municipal Income Fund |
GIJAX |
GIJCX |
GIJIX |
GIJPX |
GIJRX* |
Guggenheim
Total Return Bond Fund |
GIBAX |
GIBCX |
GIBIX |
GIBLX |
GIBRX |
Guggenheim
Ultra Short Duration Fund |
GIYAX |
— |
GIYIX |
GIYPX* |
GIYRX* |
1 | |
1 | |
55 | |
55 | |
57 | |
57 | |
58 | |
58 | |
65 | |
66 | |
67 | |
69 | |
69 | |
69 | |
69 | |
69 | |
70 | |
70 | |
71 | |
71 | |
79 | |
80 | |
81 | |
81 | |
81 | |
81 | |
81 | |
81 | |
81 | |
85 | |
86 | |
87 | |
87 | |
88 | |
88 | |
89 | |
90 | |
90 | |
91 | |
91 | |
95 | |
96 | |
96 | |
96 |
98 | |
103 | |
106 | |
107 | |
107 | |
109 | |
110 | |
112 | |
113 | |
114 | |
114 | |
115 | |
115 | |
116 | |
116 | |
119 | |
120 | |
120 | |
121 | |
121 | |
122 | |
122 | |
122 | |
123 | |
124 | |
124 | |
124 | |
124 | |
125 | |
125 | |
126 | |
127 | |
127 | |
127 | |
127 | |
A-1 |
Individual/Entity |
Frequency |
Time
Lag |
Bloomberg |
Quarterly |
60
calendar days |
FactSet |
Monthly |
30
calendar days |
Lipper |
Monthly |
30
calendar days |
Morningstar |
Monthly |
30
calendar days |
State
Street |
Monthly |
60
calendar days |
Thompson
Financial |
Quarterly |
30
calendar days |
Vickers
Stock Research |
Monthly |
30
calendar days |
Name,
Address*
and
Year
of Birth
of
Trustees |
Position(s)
Held
with
Trust |
Term
of
Office
and
Length
of
Time
Served** |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustees
During
Past
5
Years*** |
Independent
Trustees | |||||
Randall
C. Barnes
(1951) |
Trustee
and
Chair
of the
Valuation
Oversight
Committee |
Since
2014
(Trustee)
Since
2020
(Chair
of the
Valuation
Oversight
Committee) |
Current:
Private Investor
(2001-present).
Former:
Senior Vice
President
and Treasurer,
PepsiCo,
Inc.
(1993-1997);
President,
Pizza
Hut International
(1991-1993);
Senior Vice
President,
Strategic
Planning
and New
Business
Development,
PepsiCo,
Inc.
(1987-1990). |
127 |
Current:
Advent
Convertible
and Income
Fund
(2005-present);
Purpose
Investments
Funds
(2013-present).
Former:
Guggenheim
Energy
& Income Fund
(2015-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2004-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2005-2021);
Guggenheim
Credit
Allocation
Fund
(2013-2021). |
Angela
Brock-Kyle
(1959) |
Trustee |
Since
2019 |
Current:
Retired.
Former:
Founder and
Chief
Executive Officer,
B.O.A.R.D.S.
(consulting
firm)
(2013-2023); Senior
Leader,
TIAA (financial
services
firm)
(1987-2012). |
126 |
Current:
Hunt
Companies,
Inc. (2019-
present);
Mutual Fund
Directors
Forum (2022-
present);
Bowhead
Specialty
Holdings Inc.
(May
2024-present).
Former:
Bowhead
Insurance
GP, LLC
(2020-Sept.
2024);
Guggenheim
Energy &
Income
Fund
(2019-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2019-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2019-2021);
Guggenheim
Credit
Allocation
Fund
(2019-2021);
Infinity
Property
& Casualty
Corp.
(2014-2018). |
Name,
Address*
and
Year
of Birth
of
Trustees |
Position(s)
Held
with
Trust |
Term
of
Office
and
Length
of
Time
Served** |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustees
During
Past
5
Years*** |
Thomas
F. Lydon, Jr.
(1960) |
Trustee
and
Chair
of the
Contracts
Review
Committee |
Since
2019
(Trustee)
Since
2020
(Chair
of the
Contracts
Review
Committee) |
Current:
President,
Global
Trends
Investments
(registered
investment
adviser)
(1996-present);
CEO,
Lydon
Media (2016-
present).
Former:
Vice Chairman,
VettaFi,
a wholly owned
subsidiary
of The TMX
Group
(financial advisor
content,
research, index
and
digital distribution
provider)
(2022-Apr.
2024);
CEO, ETF Flows,
LLC
(financial advisor
education
and research
provider)
(2019-2023);
Director,
GDX Index
Partners,
LLC (index
provider)
(2021-2023). |
126 |
Current:
The 2023 ETF
Series
Trust (4) (2023-
present);
The 2023 ETF
Series
Trust II (1)
(2023-present);
US
Global
Investors, Inc.
(GROW)
(1995-
present).
Former:
Guggenheim
Energy
& Income Fund
(2019-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2019-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2019-2021);
Guggenheim
Credit
Allocation
Fund
(2019-2021);
Harvest
Volatility
Edge Trust (3)
(2017-2019). |
Ronald
A. Nyberg
(1953) |
Trustee
and
Chair
of the
Nominating
and
Governance
Committee |
Since
2014 |
Current:
Of Counsel
(formerly
Partner),
Momkus
LLP (law firm)
(2016-present).
Former:
Partner, Nyberg
&
Cassioppi, LLC (law
firm)
(2000-2016);
Executive
Vice President,
General
Counsel, and
Corporate
Secretary, Van
Kampen
Investments
(1982-1999). |
127 |
Current:
Advent
Convertible
and Income
Fund
(2003-present).
Former:
PPM Funds
(2018-2024);
Endeavor
Health
(2012-2024);
Guggenheim
Energy &
Income
Fund
(2015-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2004-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2005-2021);
Guggenheim
Credit
Allocation
Fund
(2013-2021);
Western
Asset
Inflation-Linked
Opportunities
& Income
Fund
(2004-2020);
Western
Asset Inflation-
Linked
Income Fund
(2003-2020). |
Name,
Address*
and
Year
of Birth
of
Trustees |
Position(s)
Held
with
Trust |
Term
of
Office
and
Length
of
Time
Served** |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustees
During
Past
5
Years*** |
Sandra
G. Sponem
(1958) |
Trustee
and
Chair
of the
Audit
Committee |
Since
2019
(Trustee)
Since
2020
(Chair
of the
Audit
Committee) |
Current:
Retired.
Former:
Senior Vice
President
and Chief
Financial
Officer, M.A.
Mortenson
Companies,
Inc.
(construction and real
estate
development
company)
(2007-2017). |
126 |
Current:
SPDR Series
Trust
(85) (2018-
present);
SPDR Index
Shares
Funds (25)
(2018-present);
SSGA
Active
Trust (32) (2018-
present).
Former:
Guggenheim
Energy
& Income Fund
(2019-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2019-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2019-2021);
Guggenheim
Credit
Allocation
Fund
(2019-2021);
SSGA
Master
Trust (1)
(2018-2020). |
Ronald
E. Toupin, Jr.
(1958) |
Trustee,
Chair
of the
Board
and
Chair
of the
Executive
Committee |
Since
2014 |
Current:
Portfolio
Consultant
(2010-
present);
Member,
Governing
Council,
Independent
Directors
Council
(2013-present);
Governor,
Board of
Governors,
Investment
Company
Institute (2018-
present).
Former:
Member,
Executive
Committee,
Independent
Directors
Council
(2016-2018);
Vice
President, Manager
and
Portfolio Manager,
Nuveen
Asset
Management
(1998-1999);
Vice
President,
Nuveen
Investment
Advisory
Corp.
(1992-1999); Vice
President
and Manager,
Nuveen
Unit Investment
Trusts
(1991-1999); and
Assistant
Vice President
and
Portfolio Manager,
Nuveen
Unit Investment
Trusts
(1988-1999), each
of
John Nuveen & Co.,
Inc.
(registered broker-
dealer)
(1982-1999). |
126 |
Former:
Guggenheim
Energy
& Income Fund
(2015-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2004-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2005-2021);
Guggenheim
Credit
Allocation
Fund
(2013-2021);
Western
Asset
Inflation-Linked
Opportunities
& Income
Fund
(2004-2020);
Western
Asset Inflation-
Linked
Income Fund
(2003-2020). |
Name,
Address*
and
Year
of Birth
of
Trustees |
Position(s)
Held
with
Trust |
Term
of
Office
and
Length
of
Time
Served** |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustees
During
Past
5
Years*** |
Interested
Trustee | |||||
Amy
J. Lee****
(1961) |
Trustee,
Vice
President
and
Chief
Legal
Officer |
Since
2018
(Trustee)
Since
2014
(Chief
Legal
Officer)
Since
2007
(Vice
President) |
Current:
Interested
Trustee,
certain other
funds
in the Fund
Complex
(2018-present);
Chief
Legal Officer,
certain
other funds in the
Fund
Complex (2014-
present);
Vice President,
certain
other funds in the
Fund
Complex (2007-
present);
Senior
Managing
Director,
Guggenheim
Investments
(2012-present).
Former:
President and/or
Chief
Executive Officer,
certain
other funds in the
Fund
Complex (2017-
2019);
Vice President,
Associate
General
Counsel
and Assistant
Secretary,
Security
Benefit
Life Insurance
Company
and Security
Benefit
Corporation
(2004-2012). |
126 |
Former:
Guggenheim
Energy
& Income Fund
(2018-2023);
Fiduciary/
Claymore
Energy
Infrastructure
Fund
(2018-2022);
Guggenheim
Enhanced
Equity
Income Fund
(2018-
2021);
Guggenheim
Credit
Allocation
Fund
(2018-2021). |
Name,
Address*
and
Year of
Birth
of the
Officers |
Position(s)
Held
with
the Trust |
Term
of Office
and
Length of
Time
Served** |
Principal
Occupation(s) During
the
Past 5 Years |
Brian
E. Binder
(1972) |
President
and
Chief
Executive
Officer |
Since
2018 |
Current:
President, Mutual Funds
Boards,
Guggenheim Investments
(2022-present);
President and
Chief
Executive Officer, certain
other
funds in the Fund Complex
(2018-present);
President, Mutual
Funds
Board and Senior
Managing
Director, Guggenheim
Funds
Investment Advisors, LLC
and
Security Investors, LLC
(2018-present);
Board Member,
Guggenheim
Partners Investment
Funds
plc (2022-present); Board
Member,
Guggenheim Global
Investments
plc (2022-present);
Board
Member, Guggenheim
Partners
Fund Management
(Europe)
Limited (2018-present);
Board
Member and Chairman,
Guggenheim
Credit Income Fund
(2024-present).
Former:
Senior Managing Director
and
Chief Administrative Officer,
Guggenheim
Investments
(2018-2022);
Managing Director
and
President, Deutsche Funds,
and
Head of US Product, Trading
and
Fund Administration,
Deutsche
Asset Management
(2013-2018);
Managing Director,
Chairman
of North American
Executive
Committee and Head of
Business
Management and
Consulting,
Invesco Ltd.
(2010-2012). |
James
Howley
(1972) |
Chief
Accounting Officer, Chief Financial Officer,
Principal
Financial and Accounting Officer, and
Treasurer |
Since
2022 |
Current:
Managing Director,
Guggenheim
Investments (2004-
present);
Chief Financial Officer,
Chief
Accounting Officer, and
Treasurer,
certain other funds in
the
Fund Complex (2022-present).
Former:
Assistant Treasurer,
certain
other funds in the Fund
Complex
(2006-2022); Manager,
Mutual
Fund Administration of
Van
Kampen Investments, Inc.
(1996-2004). |
Mark
E. Mathiasen
(1978) |
Secretary |
Since
2014 |
Current:
Secretary, certain other
funds
in the Fund Complex (2007-
present);
Managing Director,
Guggenheim
Investments (2007-
present). |
Name,
Address*
and
Year of
Birth
of the
Officers |
Position(s)
Held
with
the Trust |
Term
of Office
and
Length of
Time
Served** |
Principal
Occupation(s) During
the
Past 5 Years |
Glenn
McWhinnie
(1969) |
Assistant
Treasurer |
Since
2016 |
Current:
Vice President,
Guggenheim
Investments (2009-
present);
Assistant Treasurer,
certain
other funds in the Fund
Complex
(2016-present). |
Michael
Megaris
(1984) |
Assistant
Secretary |
Since
2014 |
Current:
Assistant Secretary,
certain
other funds in the Fund
Complex
(2014-present);
Managing
Director, Guggenheim
Investments
(2012-present). |
Elisabeth
Miller
(1968) |
Chief
Compliance
Officer |
Since
2012 |
Current:
Chief Compliance
Officer,
certain other funds in the
Fund
Complex (2012-present);
Senior
Managing Director,
Guggenheim
Investments (2012-
present);
Senior Managing
Director,
Guggenheim Funds
Distributors,
LLC (2014-present).
Former:
Chief Compliance Officer,
Security
Investors, LLC and
Guggenheim
Funds Investment
Advisors,
LLC (2012-2018); Chief
Compliance
Officer, Guggenheim
Distributors,
LLC (2009-2014);
Senior
Manager, Security
Investors,
LLC (2004-2014);
Senior
Manager, Guggenheim
Distributors,
LLC (2004-2014). |
Margaux
Misantone
(1978) |
AML
Officer |
Since
2017 |
Current:
Chief Compliance
Officer,
Security Investors, LLC
and
Guggenheim Funds
Investment
Advisors, LLC (2018-
present);
AML Officer, Security
Investors,
LLC and certain other
funds
in the Fund Complex (2017-
present);
Managing Director,
Guggenheim
Investments (2015-
present).
Former:
Assistant Chief
Compliance
Officer, Security
Investors,
LLC and Guggenheim
Funds
Investment Advisors, LLC
(2015-2018). |
Name,
Address*
and
Year of
Birth
of the
Officers |
Position(s)
Held
with
the Trust |
Term
of Office
and
Length of
Time
Served** |
Principal
Occupation(s) During
the
Past 5 Years |
Kimberly
J. Scott
(1974) |
Assistant
Treasurer |
Since
2014 |
Current:
Director, Guggenheim
Investments
(2012-present);
Assistant
Treasurer, certain other
funds
in the Fund Complex (2012-
present).
Former:
Financial Reporting
Manager,
Invesco, Ltd.
(2010-2011);
Vice President/
Assistant
Treasurer, Mutual Fund
Administration
for Van Kampen
Investments,
Inc./Morgan Stanley
Investment
Management
(2009-2010);
Manager of Mutual
Fund
Administration, Van Kampen
Investments,
Inc./Morgan Stanley
Investment
Management
(2005-2009). |
Jon
Szafran
(1989) |
Assistant
Treasurer |
Since
2017 |
Current:
Director, Guggenheim
Investments
(2017-present);
Assistant
Treasurer, certain other
funds
in the Fund Complex (2017-
present).
Former:
Assistant Treasurer of
Henderson
Global Funds and
Manager
of US Fund
Administration,
Henderson Global
Investors
(North America) Inc.
(“HGINA”)
(2017); Senior Analyst
of
US Fund Administration,
HGINA
(2014-2017); Senior
Associate
of Fund Administration,
Cortland
Capital Market Services,
LLC
(2013-2014); Experienced
Associate,
PricewaterhouseCoopers
LLP
(2012-2013). |
Name
of Independent Trustees |
Aggregate
Compensation
from
the Trust |
Aggregate
Compensation
from
the Fund Complex*,
including
the Family of
Funds |
Randall
C. Barnes |
$120,725 |
$466,750 |
Angela
Brock-Kyle |
$112,840 |
$342,500 |
Thomas
F. Lydon, Jr. |
$120,725 |
$366,250 |
Ronald
A. Nyberg |
$120,725 |
$464,750 |
Sandra
G. Sponem |
$127,362 |
$386,250 |
Ronald
E. Toupin, Jr. |
$152,265 |
$461,250 |
Name
of Independent
Trustee |
Name
of Fund |
Dollar
Range
of
Equity Securities
in
the Funds |
Aggregate Dollar Range of
Equity
Securities in all
Registered
Investment
Companies
Overseen by
Trustee in Fund Complex*,
Including
the Family of
Funds |
Randall
C. Barnes |
N/A |
None |
Over
$100,000 |
Angela
Brock-Kyle |
Macro
Opportunities Fund |
$10,001-$50,000 |
Over
$100,000 |
Total
Return Bond Fund |
$10,001-$50,000 | ||
Thomas
F. Lydon, Jr. |
N/A |
None |
$10,001-$50,000 |
Ronald
A. Nyberg |
N/A |
None |
Over
$100,000 |
Sandra
G. Sponem |
Total
Return Bond Fund |
$50,001-$100,000 |
Over
$100,000 |
Ronald
E. Toupin, Jr. |
Floating
Rate Strategies
Fund |
$10,001-$50,000 |
Over
$100,000 |
Macro
Opportunities Fund |
Over
$100,000 | ||
Total
Return Bond Fund |
Over
$100,000 |
Name
of Interested
Trustee |
Name
of Fund |
Dollar
Range of
Equity Securities in
the
Funds |
Aggregate Dollar Range of
Equity
Securities in all
Registered
Investment
Companies
Overseen by
Trustee in Fund Complex*,
Including
the Family of
Funds |
Amy
J. Lee |
Macro
Opportunities Fund |
$1-$10,000 |
$1-$10,000 |
Name
of Shareholder1
|
Address
of Shareholder |
Fund |
Class
|
Percent |
UMB
Bank N.A.2
Security
Financial Resources |
5801
SW 6th Ave.
Topeka,
KS 66636 |
Core
Bond Fund |
A |
56.96% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Core
Bond Fund |
A |
7.01% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Core
Bond Fund |
A |
5.54% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Core
Bond Fund |
C |
20.41% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Core
Bond Fund |
C |
12.97% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Core
Bond Fund |
C |
11.15% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Core
Bond Fund |
C |
10.17% |
Centennial
Bank Trust |
P.O.
Box 7514
Jonesboro,
AR 72403 |
Core
Bond Fund |
C |
9.34% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Core
Bond Fund |
C |
8.13% |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Core
Bond Fund |
C |
7.24% |
American
Enterprise Investment Services |
707
2nd Avenue South
Minneapolis,
MN 55402 |
Core
Bond Fund |
C |
6.85% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Core
Bond Fund |
Inst. |
21.48% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Core
Bond Fund |
Inst. |
17.08% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Core
Bond Fund |
Inst. |
16.49% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Core
Bond Fund |
Inst. |
13.07% |
American
Enterprise Investment Services |
707
2nd Avenue South
Minneapolis,
MN 55402 |
Core
Bond Fund |
Inst. |
10.43% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Core
Bond Fund |
Inst. |
7.10% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Core
Bond Fund |
Inst. |
6.18% |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Core
Bond Fund |
P |
50.56% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Core
Bond Fund |
P |
46.33% |
Morgan
Stanley Smith Barney LLC2
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Floating
Rate
Strategies
Fund |
A |
31.62% |
UMB
Bank N.A.
Security
Financial Resources |
5801
SW 6th
Ave.
Topeka,
KS 66636 |
Floating
Rate
Strategies
Fund |
A |
22.51% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Floating
Rate
Strategies
Fund |
A |
8.69% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Floating
Rate
Strategies
Fund |
A |
7.48% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Floating
Rate
Strategies
Fund |
A |
5.44% |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Floating
Rate
Strategies
Fund |
C |
24.26% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Floating
Rate
Strategies
Fund |
C |
22.15% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Floating
Rate
Strategies
Fund |
C |
13.58% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Floating
Rate
Strategies
Fund |
C |
9.12% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Floating
Rate
Strategies
Fund |
C |
6.68% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Floating
Rate
Strategies
Fund |
C |
5.68% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Floating
Rate
Strategies
Fund |
Inst. |
27.08% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Floating
Rate
Strategies
Fund |
Inst. |
13.73% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Floating
Rate
Strategies
Fund |
Inst. |
12.34% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Floating
Rate
Strategies
Fund |
Inst. |
11.53% |
UBS
Financial Services Inc.
FEBO
Customers |
1000
Harbor Blvd.
Weehawken,
NJ 07086 |
Floating
Rate
Strategies
Fund |
Inst. |
9.89% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Floating
Rate
Strategies
Fund |
Inst. |
7.68% |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Floating
Rate
Strategies
Fund |
P |
65.82% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Floating
Rate
Strategies
Fund |
P |
28.86% |
Series
F (Floating Rate Strategies Series)2
|
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Floating
Rate
Strategies
Fund |
R6 |
75.73% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Floating
Rate
Strategies
Fund |
R6 |
9.08% |
Voya
Retirement Insurance & Annuity
Company |
One
Orange Way
Windsor,
CT 06095 |
Floating
Rate
Strategies
Fund |
R6 |
8.11% |
J.P.
Morgan Securities LLC |
4
Chase Metrotech Center
Brooklyn,
NY 11245 |
Floating
Rate
Strategies
Fund |
R6 |
6.61% |
UMB
Bank N.A.2
Security
Financial Resources |
5801
SW 6th Ave.
Topeka,
KS 66636 |
High
Yield Fund |
A |
44.86% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
High
Yield Fund |
A |
7.07% |
SBL
Variable Annuity Account XIV
Security
Benefit Life Insurance Company |
5801
SW 6th Ave.
Topeka,
KS 66636 |
High
Yield Fund |
A |
5.74% |
Wells
Fargo Clearing Services, LLC2
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
High
Yield Fund |
C |
33.27% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
High
Yield Fund |
C |
26.19% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
High
Yield Fund |
C |
16.99% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
High
Yield Fund |
C |
6.98% |
LPL
Financial2
|
4707
Executive Drive
San
Diego, CA 92121 |
High
Yield Fund |
Inst. |
28.58 |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
High
Yield Fund |
Inst. |
17.77 |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
High
Yield Fund |
Inst. |
15.12 |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
High
Yield Fund |
Inst. |
11.71 |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
High
Yield Fund |
Inst. |
7.69 |
American
Enterprise Investment Services |
707
2nd Avenue South
Minneapolis,
MN 55402 |
High
Yield Fund |
Inst. |
5.07 |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
High
Yield Fund |
P |
55.08% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
High
Yield Fund |
P |
34.74% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
High
Yield Fund |
P |
5.87% |
State
Street Bank2
|
1
Lincoln Street
Boston,
MA 02111 |
High
Yield Fund |
R6 |
81.75% |
Matrix
Trust Company |
717
17th Street, Suite 1300
Denver,
CO 80202 |
High
Yield Fund |
R6 |
6.93% |
J.P.
Morgan Securities LLC |
4
Chase Metrotech Center
Brooklyn,
NY 11245 |
High
Yield Fund |
R6 |
5.29% |
Wells
Fargo Clearing Services, LLC2
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Limited
Duration
Fund |
A |
29.31% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Limited
Duration
Fund |
A |
21.15% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Limited
Duration
Fund |
A |
11.57% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Limited
Duration
Fund |
A |
8.88% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Limited
Duration
Fund |
A |
7.24% |
Morgan
Stanley Smith Barney LLC2
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Limited
Duration
Fund |
C |
28.08% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Limited
Duration
Fund |
C |
16.28% |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Limited
Duration
Fund |
C |
10.92% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Limited
Duration
Fund |
C |
7.68% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Limited
Duration
Fund |
C |
7.33% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Limited
Duration
Fund |
C |
6.08% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Limited
Duration
Fund |
Inst. |
24.03% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Limited
Duration
Fund |
Inst. |
22.36% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Limited
Duration
Fund |
Inst. |
18.33% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Limited
Duration
Fund |
Inst. |
7.47% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Limited
Duration
Fund |
Inst. |
5.42% |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Limited
Duration
Fund |
P |
52.84% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Limited
Duration
Fund |
P |
41.89% |
Guggenheim
Macro Opportunities Fund2
|
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Limited
Duration
Fund |
R6 |
36.00% |
Guggenheim
Total Return Bond Fund2
|
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Limited
Duration
Fund |
R6 |
35.28% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Limited
Duration
Fund |
R6 |
17.24% |
J.P.
Morgan Securities LLC |
4
Chase Metrotech Center
Brooklyn,
NY 11245 |
Limited
Duration
Fund |
R6 |
8.99% |
Morgan
Stanley Smith Barney LLC2
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Macro
Opportunities
Fund |
A |
26.87% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Macro
Opportunities
Fund |
A |
12.63% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Macro
Opportunities
Fund |
A |
12.03% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Macro
Opportunities
Fund |
A |
9.36% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Macro
Opportunities
Fund |
A |
7.99% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Macro
Opportunities
Fund |
A |
6.45% |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Macro
Opportunities
Fund |
A |
5.55% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Macro
Opportunities
Fund |
C |
23.67% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Macro
Opportunities
Fund |
C |
21.04% |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Macro
Opportunities
Fund |
C |
9.98% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Macro
Opportunities
Fund |
C |
7.73% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Macro
Opportunities
Fund |
C |
7.65% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Macro
Opportunities
Fund |
C |
6.96% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Macro
Opportunities
Fund |
C |
5.62% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Macro
Opportunities
Fund |
C |
5.21% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Macro
Opportunities
Fund |
Inst. |
23.54% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Macro
Opportunities
Fund |
Inst. |
14.78% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Macro
Opportunities
Fund |
Inst. |
13.32% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Macro
Opportunities
Fund |
Inst. |
11.84% |
UBS
Financial Services Inc.
FEBO
Customers |
1000
Harbor Blvd.
Weehawken,
NJ 07086 |
Macro
Opportunities
Fund |
Inst. |
10.22% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Macro
Opportunities
Fund |
Inst. |
5.21% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Macro
Opportunities
Fund |
P |
65.48% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Macro
Opportunities
Fund |
P |
21.82% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Macro
Opportunities
Fund |
P |
5.60% |
J.P.
Morgan Securities LLC2
|
4
Chase Metrotech Center
Brooklyn,
NY 11245 |
Macro
Opportunities
Fund |
R6 |
89.23% |
RBC
Capital Markets, LLC2
|
250
Nicollet Mall, Suite 1400
Minneapolis,
MN 55401 |
Municipal
Income
Fund |
A |
36.46% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Municipal
Income
Fund |
A |
13.31% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Municipal
Income
Fund |
A |
11.47% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Municipal
Income
Fund |
A |
10.00% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Municipal
Income
Fund |
A |
6.20% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Municipal
Income
Fund |
A |
5.49% |
Raymond
James2
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Municipal
Income
Fund |
C |
29.11% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Municipal
Income
Fund |
C |
19.02% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Municipal
Income
Fund |
C |
16.73% |
UBS
Financial Services Inc.
FEBO
Customers |
1000
Harbor Blvd.
Weehawken,
NJ 07086 |
Municipal
Income
Fund |
C |
10.12% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Municipal
Income
Fund |
C |
9.42% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Municipal
Income
Fund |
C |
7.82% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Municipal
Income
Fund |
C |
7.77% |
LPL
Financial2
|
4707
Executive Drive
San
Diego, CA 92121 |
Municipal
Income
Fund |
Inst. |
53.65% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Municipal
Income
Fund |
Inst. |
20.44% |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Municipal
Income
Fund |
Inst. |
6.00% |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Municipal
Income
Fund |
P |
53.98% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Municipal
Income
Fund |
P |
36.56% |
Guggenheim
Funds Distributors, LLC |
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Municipal
Income
Fund |
P |
9.10% |
UMB
Bank N.A.
Security
Financial Resources |
5801
SW 6th Ave.
Topeka,
KS 66636 |
Total
Return
Bond
Fund |
A |
21.28% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Total
Return
Bond
Fund |
A |
20.57% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Total
Return
Bond
Fund |
A |
11.21% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Total
Return
Bond
Fund |
A |
7.12% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Total
Return
Bond
Fund |
A |
5.67% |
American
Enterprise Investment Services |
707
2nd Avenue South
Minneapolis,
MN 55402 |
Total
Return
Bond
Fund |
A |
5.20% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Total
Return
Bond
Fund |
A |
5.02% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Total
Return
Bond
Fund |
C |
21.59 |
Wells
Fargo Clearing Services, LLC
FEBO
Customers |
2801
Market Street
St.
Louis, MO 63103 |
Total
Return
Bond
Fund |
C |
19.60 |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Total
Return
Bond
Fund |
C |
12.73 |
Raymond
James
Omnibus
for Mutual Funds |
880
Carillon Parkway
St.
Petersburg, FL 33716 |
Total
Return
Bond
Fund |
C |
9.94 |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Total
Return
Bond
Fund |
C |
8.58 |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Total
Return
Bond
Fund |
C |
7.91 |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Total
Return
Bond
Fund |
Inst. |
27.48% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Total
Return
Bond
Fund |
Inst. |
18.29% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Total
Return
Bond
Fund |
Inst. |
10.98% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Total
Return
Bond
Fund |
Inst. |
7.88% |
Merrill
Lynch, Pierce, Fenner & Smith, Inc.
FEBO
Customers |
4800
Deer Lake Drive East, 3rd Floor
Jacksonville,
FL 32246 |
Total
Return
Bond
Fund |
Inst. |
5.92% |
LPL
Financial |
4707
Executive Drive
San
Diego, CA 92121 |
Total
Return
Bond
Fund |
Inst. |
5.67% |
Charles
Schwab & Co. Inc.2
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Total
Return
Bond
Fund |
P |
49.67% |
National
Financial Services LLC2
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Total
Return
Bond
Fund |
P |
45.80% |
Pershing
LLC2
|
1
Pershing Plaza
Jersey
City, NJ 07399 |
Total
Return
Bond
Fund |
R6 |
26.56% |
J.P.
Morgan Securities LLC |
4
Chase Metrotech Center
Brooklyn,
NY 11245 |
Total
Return
Bond
Fund |
R6 |
15.23% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Total
Return
Bond
Fund |
R6 |
13.99% |
SEI
Private Trust Company |
1
Freedom Valley Drive
Oaks,
PA 19456 |
Total
Return
Bond
Fund |
R6 |
11.49% |
DCGT
FEBO
Customers |
711
High Street
Des
Moines, IA 50392 |
Total
Return
Bond
Fund |
R6 |
6.38% |
Empower
Trust
FEBO
Customers |
8515
E. Orchard Rd. 2T2
Greenwood
Village, CO 80111 |
Total
Return
Bond
Fund |
R6 |
5.80% |
Morgan
Stanley Smith Barney LLC2
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Ultra
Short
Duration
Fund |
A |
73.23% |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Ultra
Short
Duration
Fund |
A |
10.98% |
UBS
Financial Services Inc.
FEBO
Customers |
1000
Harbor Blvd.
Weehawken,
NJ 07086 |
Ultra
Short
Duration
Fund |
A |
5.56% |
Pershing
LLC |
1
Pershing Plaza
Jersey
City, NJ 07399 |
Ultra
Short
Duration
Fund |
A |
5.14% |
Guggenheim
Macro Opportunities Fund |
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Ultra
Short
Duration
Fund |
Inst. |
14.66% |
Morgan
Stanley Smith Barney LLC
FEBO
Customers |
1
New York Plaza, 12th Floor
New
York, NY 10004 |
Ultra
Short
Duration
Fund |
Inst. |
12.88% |
Name
of Shareholder1 |
Address
of Shareholder |
Fund |
Class
|
Percent |
Charles
Schwab & Co. Inc.
FEBO
Customers |
211
Main Street
San
Francisco, CA 94105 |
Ultra
Short
Duration
Fund |
Inst. |
10.74% |
National
Financial Services LLC
FEBO
Customers |
499
Washington Boulevard
Jersey
City, NJ 07310 |
Ultra
Short
Duration
Fund |
Inst. |
9.90% |
Guggenheim
Limited Duration Fund |
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Ultra
Short
Duration
Fund |
Inst. |
9.14% |
Guggenheim
Total Return Bond Fund |
227
W. Monroe St., Suite 4900
Chicago,
IL 60606 |
Ultra
Short
Duration
Fund |
Inst. |
8.38% |
UBS
Financial Services Inc.
FEBO
Customers |
1000
Harbor Blvd.
Weehawken,
NJ 07086 |
Ultra
Short
Duration
Fund |
Inst. |
7.61% |
Rydex
NASDAQ-100®
Fund |
805
King Farm Blvd., Suite 600
Rockville,
MD 20850 |
Ultra
Short
Duration
Fund |
Inst. |
7.55% |
Amount
of Investment |
Sales
Charge | ||
Percentage of
Offering Price |
Percentage of Net
Amount
Invested |
Percentage
Reallowable to Dealers | |
Less
than $50,000 |
4.00% |
4.17% |
3.25% |
$50,000
but less than
$100,000 |
3.75% |
3.90% |
3.00% |
$100,000
but less than
$250,000 |
2.75% |
2.83% |
2.20% |
$250,000
but less than
$1,000,000 |
1.75% |
1.78% |
1.40% |
$1,000,000
or greater |
None |
None |
None* |
Amount
of Investment |
Sales
Charge | ||
Percentage of
Offering Price |
Percentage of Net
Amount
Invested |
Percentage
Reallowable to Dealers | |
Less
than $50,000 |
3.00% |
3.09% |
2.50% |
$50,000
but less than
$100,000 |
2.75% |
2.83% |
2.25% |
$100,000
but less than
$250,000 |
2.25% |
2.30% |
1.75% |
$250,000
but less than
$1,000,000 |
1.25% |
1.27% |
1.00% |
$1,000,000
or greater |
None |
None |
None* |
Amount
of Investment |
Sales
Charge | ||
Percentage of
Offering Price |
Percentage of Net
Amount
Invested |
Percentage
Reallowable to Dealers | |
Less
than $100,000 |
2.25% |
2.30% |
2.00% |
$100,000
to $249,999 |
1.25% |
1.27% |
1.00% |
$250,000
or greater |
None |
None |
None* |
Compensation
to Guggenheim Funds Distributors, LLC | |||
|
Class
A |
Class
C |
Class
P |
Core
Bond Fund |
$312,195
|
$217,844
|
$63,394
|
Floating
Rate Strategies Fund |
$345,797
|
$311,340
|
$109,749
|
High
Yield Fund |
$116,997
|
$86,938
|
$11,993
|
Limited
Duration Fund |
$1,008,797
|
$508,089
|
$114,175
|
Macro
Opportunities Fund |
$727,863
|
$1,023,761
|
$117,816
|
Municipal
Income Fund |
$51,081
|
$8,175
|
$309
|
Total
Return Bond Fund |
$1,136,036
|
$1,509,815
|
$897,683
|
Ultra
Short Duration Fund |
$205,846
|
$0 |
$0 |
Financial
Intermediary |
Dollar
Amount of Compensation* |
Morgan
Stanley Smith Barney |
$2,887,512
|
Wells
Fargo Advisors, LLC |
$1,252,092
|
UBS
Financial Services, Inc. |
$1,169,729
|
LPL
Financial |
$1,106,218
|
Raymond
James |
$992,451
|
American
Enterprise Investment Services |
$694,400
|
Merrill
Lynch |
$263,885
|
PNC
Investments LLC |
$259,541
|
Citigroup
Global Markets |
$61,141
|
Fidelity |
$59,033
|
Charles
Schwab |
$21,554
|
RBC
Capital Markets |
$15,998
|
Financial
Intermediary |
Dollar
Amount of Compensation* |
Empower
Financial Services |
$12,700
|
Principal
Life |
$4,000 |
Contractual
Management Fees
(expressed as a percentage of average daily net assets, calculated daily
and
paid
monthly)1
| |
Core
Bond Fund |
0.39% |
Floating
Rate Strategies Fund |
0.65% |
High
Yield Fund |
0.60% |
Limited
Duration Fund |
0.39% |
Macro
Opportunities Fund |
0.89% |
Municipal
Income Fund |
0.50% |
Total
Return Bond Fund |
0.39% |
Ultra
Short Duration Fund |
0.25% |
Fund |
|
Class |
|
Expense Cap |
Core
Bond Fund |
|
A
C
Institutional
P
R6 |
|
0.79%
1.54%
0.50%
0.79%
0.50% |
Floating
Rate Strategies Fund |
|
A
C
Institutional
P
R6 |
|
1.02%
1.77%
0.78%
1.02%
0.78% |
High
Yield Fund1
|
|
A
C
Institutional
P
R6 |
|
0.94%
1.69%
0.69%
0.94%
0.69% |
Fund |
|
Class |
|
Expense Cap |
Limited
Duration Fund |
|
A
C
Institutional
P
R6 |
|
0.75%
1.50%
0.50%
0.75%
0.50% |
Macro
Opportunities Fund |
|
A
C
Institutional
P
R6 |
|
1.36%
2.11%
0.95%
1.36%
0.95% |
Municipal
Income Fund |
|
A
C
Institutional
P
R6 |
|
0.80%
1.55%
0.55%
0.80%
0.55% |
Total
Return Bond Fund |
|
A
C
Institutional
P
R6 |
|
0.79%
1.54%
0.50%
0.79%
0.50% |
Ultra
Short Duration Fund |
|
A
Institutional
P
R6 |
|
0.58%
0.33%
0.58%
0.33% |
Fund |
Fiscal
Year/
Period |
Investment
Advisory
Fees
Paid |
Investment
Advisory
Fees
Waived
by and
Reimbursements
from
Investment
Manager* |
Accounting
and
Administrative
Service
Fees
Paid |
Core Bond
Fund |
2024 |
$7,370,510
|
$1,104,214
|
$735,084
|
2023 |
$5,175,537
|
$1,339,560
|
$550,331
| |
2022 |
$5,788,622 |
$1,554,039 |
$893,202 | |
Floating
Rate Strategies Fund |
2024 |
$6,571,231
|
$970,372
|
$397,997
|
2023 |
$6,968,297
|
$1,187,745
|
$447,441
| |
2022 |
$7,873,587 |
$1,043,179 |
$720,264 | |
High Yield
Fund |
2024 |
$1,163,127
|
$257,419
|
$83,591
|
2023 |
$1,106,317
|
$90,843
|
$84,432
| |
2022 |
$1,603,619 |
$125,283 |
$171,200 | |
Limited
Duration Fund |
2024 |
$16,628,051
|
$2,472,272
|
$1,653,572
|
2023 |
$16,083,765
|
$3,733,192
|
$1,694,311
| |
2022 |
$21,572,847 |
$4,304,085 |
$3,308,297 | |
Macro
Opportunities Fund |
2024 |
$57,449,778
|
$7,453,388
|
$2,526,543
|
2023 |
$51,846,776
|
$8,288,356
|
$2,396,713
| |
2022 |
$66,611,239 |
$9,243,002 |
$4,556,515 | |
Municipal
Income Fund |
2024 |
$135,565
|
$224,224
|
$19,532
|
2023 |
$258,691
|
$217,744
|
$30,229
| |
2022 |
$320,076 |
$256,181 |
$47,327 | |
Total
Return Bond Fund |
2024 |
$90,987,861
|
$13,865,981
|
$9,004,962
|
2023 |
$76,742,003
|
$17,077,254
|
$8,036,992
| |
2022 |
$92,491,890 |
$22,281,402 |
$14,216,829 | |
Ultra Short
Duration Fund |
2024 |
$1,263,605
|
$121,808
|
$160,642
|
2023 |
$1,421,922
|
$330,393
|
$180,007
| |
2022 |
$2,364,218 |
$287,761 |
$292,728 |
|
Registered
Investment
Companies |
Other Pooled
Investment
Vehicles |
Other
Accounts | |||
Portfolio
Manager |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Adam
J. Bloch |
23 |
$46,089
|
10 |
$3,142 |
41 |
$24,565 |
Steven
H. Brown |
21 |
$47,088 |
10 |
$3,142 |
41 |
$24,565 |
Kris
L. Dorr |
4 |
$1,307
|
0 |
N/A |
0 |
N/A |
Thomas
J. Hauser |
5 |
$1,256
|
53 |
$9,029 |
26 |
$10,659 |
Christopher
Keywork
|
2 |
$1,006
|
1 |
$2 |
0 |
N/A |
Allen
Li |
2 |
$550 |
0 |
N/A |
0 |
N/A |
Evan
Serdensky |
17 |
$45,845
|
3 |
$1,644 |
38 |
$23,463 |
|
Registered
Investment
Companies |
Other Pooled
Investment
Vehicles |
Other
Accounts | |||
Portfolio
Manager |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Anne
B. Walsh |
21 |
$47,088
|
10 |
$3,142 |
59 |
$128,802
|
John
Walsh
|
2 |
$237 |
0 |
N/A |
0 |
N/A |
|
Registered
Investment
Companies |
Other Pooled Investment
Vehicles |
Other
Accounts | |||
Portfolio
Manager |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Number |
Total Assets
(in
millions) |
Adam
J. Bloch |
0 |
N/A |
3 |
$1,672 |
1 |
$116 |
Steven
H. Brown |
0 |
N/A |
3 |
$1,672 |
1 |
$116 |
Thomas
J. Hauser |
1 |
$13 |
35 |
$5,543 |
8 |
$503 |
Christopher
Keywork
|
0 |
N/A |
1 |
$2 |
0 |
N/A |
Evan
Serdensky |
0 |
N/A |
1 |
$210 |
1 |
$116 |
Anne
B. Walsh |
0 |
N/A |
3 |
$1,672 |
1 |
$116 |
Name
of Portfolio
Manager |
Name
of Fund |
Dollar
Range of Equity Securities
in
the Funds |
Adam
J. Bloch |
Core Bond
Fund
|
$100,001–$500,000 |
Limited
Duration Fund |
$100,001–$500,000 | |
Macro
Opportunities Fund |
$100,001–$500,000 | |
Total
Return Bond Fund |
$100,001–$500,000 | |
Steven
Brown |
Core Bond
Fund |
$100,001–$500,000 |
Floating
Rate Strategies Fund |
$100,001-$500,000 | |
High Yield
Fund |
$100,001-$500,000 | |
Limited
Duration Fund |
$100,001–$500,000 | |
Macro
Opportunities Fund |
$100,001–$500,000 | |
Total
Return Bond Fund |
$100,001-$500,000 | |
Thomas
Hauser |
Floating
Rate Strategies Fund |
$100,001-$500,000 |
High Yield
Fund |
$100,001-$500,000 | |
Allen
Li |
Municipal
Income Fund |
$10,001-$50,000 |
Anne
B. Walsh |
Core Bond
Fund |
$500,001-$1,000,000 |
Floating
Rate Strategies Fund |
$100,001-$500,000 | |
Macro
Opportunities Fund |
$100,001-$500,000 | |
Total
Return Bond Fund |
$100,001-$500,000 |
Fund |
Guggenheim
Funds Distributors, LLC—Gross Underwriting
Commissions | ||
2024 |
2023 |
2022 | |
Core
Bond Fund |
$102,606 |
$88,620 |
$53,116 |
Floating
Rate Strategies Fund |
$149,153 |
$114,154 |
$269,348 |
High
Yield Fund |
$43,049 |
$23,896 |
$22,280 |
Limited
Duration Fund |
$1,894,845 |
$862,944 |
$844,441 |
Macro
Opportunities Fund |
$551,072 |
$116,388 |
$241,310 |
Municipal
Income Fund |
$589 |
$25,790 |
$43,341 |
Total
Return Bond Fund |
$511,085 |
$677,498 |
$334,080 |
Ultra
Short Duration Fund |
$0 |
$0 |
$0 |
Fund |
Guggenheim
Funds Distributors, LLC—Net Underwriting
Commissions | ||
2024 |
2023 |
2022 | |
Core
Bond Fund |
$10,375 |
$12,110 |
$7,925 |
Floating
Rate Strategies Fund |
$3,930 |
$7,606 |
$4,738 |
High
Yield Fund |
$9,535 |
$4,712 |
$4,560 |
Limited
Duration Fund |
$11,551 |
$2,175 |
$3,129 |
Macro
Opportunities Fund |
$49,222 |
$9,689 |
$29,763 |
Municipal
Income Fund |
$183 |
$2,997 |
$271 |
Total
Return Bond Fund |
$56,285 |
$46,439 |
$39,928 |
Ultra
Short Duration Fund |
$0 |
$0 |
$0 |
Fund |
Guggenheim
Funds Distributors, LLC—Compensation on
Redemptions | ||
2024 |
2023 |
2022 | |
Core
Bond Fund |
$268 |
$4 |
$156 |
Floating
Rate Strategies Fund |
$674 |
$859 |
$151 |
High
Yield Fund |
$0 |
$0 |
$0 |
Limited
Duration Fund |
$10,011 |
$2,165 |
$17,977 |
Macro
Opportunities Fund |
$155 |
$0 |
$6,821 |
Municipal
Income Fund |
$0 |
$0 |
$0 |
Total
Return Bond Fund |
$3,381 |
$11,123 |
$4,923 |
Ultra
Short Duration Fund |
$0 |
$0 |
$0 |
Funds |
Portfolio
Turnover Rate | |
2024 |
2023 | |
Core
Bond Fund |
89% |
88% |
Floating
Rate Strategies Fund |
37% |
23% |
High
Yield Fund |
45% |
31% |
Limited
Duration Fund |
42% |
28% |
Macro
Opportunities Fund |
24% |
32% |
Municipal
Income Fund |
59% |
11% |
Total
Return Bond Fund |
70% |
90% |
Ultra
Short Duration Fund |
10% |
2% |
Fund |
Year |
Fund
Total
Brokerage
Commissions
Paid |
Core
Bond Fund |
2024
2023
2022 |
$3,349
$3,404
$4,392 |
Floating
Rate Strategies Fund |
2024
2023
2022 |
$5,098
$15,776
$15,997 |
High
Yield Fund |
2024
2023
2022 |
$0
$1,175
$13 |
Limited
Duration Fund |
2024
2023
2022 |
$7,875
$4,189
$24,131 |
Macro
Opportunities Fund |
2024
2023
2022 |
$83,840
$138,134
$163,118 |
Municipal
Income Fund |
2024
2023
2022 |
$0
$4,522
$2,497 |
Fund |
Year |
Fund
Total
Brokerage
Commissions
Paid |
Total
Return Bond Fund |
2024
2023
2022 |
$43,846
$38,109
$207,544 |
Ultra
Short Duration Fund |
2024
2023
2022 |
$0
$0
$1,812 |
Fund |
Issuer/Regular
Broker-Dealer |
Aggregate
Amount of Securities
Owned |
Core
Bond Fund |
Bank of
America Corp. |
$1,632,316 |
Citigroup,
Inc. |
$5,117,298 | |
Jefferies
Financial Group, Inc. |
$7,630,513 | |
JPMorgan
Chase & Co. |
$3,278,774 | |
Morgan
Stanley |
$6,571,590 | |
Wells Fargo
& Co. |
$6,281,225 | |
Floating
Rate Strategies Fund |
Nomura
Securities Co. |
$356,673 |
High
Yield Fund |
Citigroup,
Inc. |
$827,990 |
Goldman
Sachs Group, Inc. |
$510,596 | |
Jefferies
Financial Group, Inc. |
$1,473,756 | |
Limited
Duration Fund |
Bank of
America Corp. |
$36,209,086 |
Goldman
Sachs Group, Inc. |
$42,634,444 | |
Jefferies
Financial Group, Inc. |
$4,088,485 | |
JPMorgan
Chase & Co. |
$21,934,903 | |
Morgan
Stanley |
$355,055 | |
Nomura
Securities Co. |
$237,782 | |
Wells Fargo
& Co. |
$11,760,060 |
Fund |
Issuer/Regular
Broker-Dealer |
Aggregate
Amount of Securities
Owned |
Macro
Opportunities Fund |
Bank of
America Corp. |
$13,407,163 |
Citigroup,
Inc. |
$43,747,067 | |
Goldman
Sachs Group, Inc. |
$35,300,285 | |
Jefferies
Financial Group, Inc. |
$21,868,642 | |
Nomura
Securities Co. |
$918,270 | |
Wells Fargo
& Co. |
$33,637,124 | |
Total
Return Bond Fund |
Bank of
America Corp. |
$52,604,919 |
Barclays
plc |
$1,007,690 | |
Citigroup,
Inc. |
$71,297,411 | |
Goldman
Sachs Group, Inc. |
$63,388,160 | |
Jefferies
Financial Group, Inc. |
$105,750,117 | |
JPMorgan
Chase & Co. |
$54,782,678 | |
Morgan
Stanley |
$61,127,186 | |
Nomura
Securities Co. |
$356,673 | |
Wells Fargo
& Co. |
$83,279,000 | |
Ultra
Short Duration Fund |
Bank of
America Corp. |
$4,079,617 |
Citigroup,
Inc. |
$2,555,018 | |
Goldman
Sachs Group, Inc. |
$5,018,740 |