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UNITED STATES
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SECURITIES AND EXCHANGE COMMISSION
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Washington, D.C. 20549
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SCHEDULE 14A INFORMATION
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Proxy Statement Pursuant to Section 14(a) of
the Securities Exchange Act of 1934 (Amendment No. ) |
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Filed by the Co-Registrants
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Filed by a Party other than the Co-Registrants
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Check the appropriate box:
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Preliminary Proxy Statement
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Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))
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Definitive Proxy Statement
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Definitive Additional Materials
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Soliciting Material Pursuant to §240.14a-12
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Fiduciary/Claymore MLP Opportunity Fund
Guggenheim Taxable Municipal Managed Duration Trust
Guggenheim Credit Allocation Fund
Guggenheim Enhanced Equity Income Fund
Guggenheim Strategic Opportunities Fund
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(Name of Co-Registrants as Specified In Their Charters)
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(Name of Person(s) Filing Proxy Statement, if other than the Co-Registrants)
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Payment of Filing Fee (Check the appropriate box):
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No fee required.
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Fee computed on table below per Exchange Act Rules 14a-6(i)(1) and 0-11.
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(1)
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Title of each class of securities to which transaction applies:
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(2)
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Aggregate number of securities to which transaction applies:
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(3)
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Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11 (set forth the amount on which the filing fee is calculated and state how it was determined):
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(4)
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Proposed maximum aggregate value of transaction:
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(5)
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Total fee paid:
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Fee paid previously with preliminary materials.
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Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.
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(1)
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Amount Previously Paid:
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(2)
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Form, Schedule or Registration Statement No.:
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(3)
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Filing Party:
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(4)
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Date Filed:
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| 1. | To elect Trustees in the following manner: |
| (a) | With respect to each of FMO, GBAB, GGM, and GPM: |
| (i) | To elect, as Class I Trustees, the Trustee nominees named in the accompanying proxy statement (Mr. Randall C. Barnes, Mr. Donald C. Cacciapaglia and Mr. Donald A. Chubb, Jr.) to serve until each Fund’s 2020 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| (b) | With respect to GOF only: |
| (i) | To elect, as Class II Trustees, the Trustee nominees named in the accompanying proxy statement (Dr. Jerry B. Farley, Mr. Robert B. Karn III, Mr. Ronald A. Nyberg, Mr. Maynard F. Oliverius and Mr. Ronald E. Toupin, Jr.) to serve until the Fund’s 2019 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| Toupin, Jr.) to serve until the Fund’s 2019 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| 2. | To transact such other business as may properly come before the Annual Meeting or any adjournments, postponements or delays thereof. |
| • | Why is a shareholder meeting being held? |
| • | What Proposal will be voted on? |
| (a) | With respect to each of FMO, GBAB, GGM, and GPM : |
| (i) | To elect, as Class I Trustees, the Trustee nominees named in this proxy statement (Mr. Randall C. Barnes, Mr. Donald C. Cacciapaglia and Mr. Donald A. Chubb, Jr.) to serve until each Fund’s 2020 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| (b) | With respect to GOF only : |
| (i) | To elect, as Class II Trustees, the Trustee nominees named in this proxy statement (Dr. Jerry B. Farley, Mr. Robert B. Karn III, Mr. Ronald A. Nyberg, Mr. Maynard F. Oliverius and Mr. Ronald E. Toupin, Jr.) to serve until the Fund’s 2019 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| • | Will my vote make a difference? |
| • | Who is asking for my vote? |
| • | How does the Board recommend that shareholders vote on the Proposal? |
| • | Who is eligible to vote? |
| • | How do I vote my Shares? |
| • | What vote is required to elect a Trustee nominee? |
| • | Why does this Proxy Statement list multiple closed-end funds? |
| • | How many shares of each Fund were outstanding as of the record date? |
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Fund
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Number of Shares Outstanding
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FMO
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33,860,123
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GBAB
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17,416,307
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GGM
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6,837,692
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GPM
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48,036,873
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GOF
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19,607,335
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| (a) | With respect to each of FMO, GBAB, GGM, and GPM : |
| (i) | To elect, as Class I Trustees, the Trustee nominees named in this proxy statement (Mr. Randall C. Barnes, Mr. Donald C. Cacciapaglia and Mr. Donald A. Chubb, Jr.) to serve until each Fund’s 2020 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
| (b) | With respect to GOF only : |
| (i) | To elect, as Class II Trustees, the Trustee nominees named in this proxy statement (Dr. Jerry B. Farley, Mr. Robert B. Karn III, Mr. Ronald A. Nyberg, Mr. Maynard F. Oliverius and Mr. Ronald E. Toupin, Jr.) to serve until the Fund’s 2019 annual meeting of shareholders or until their respective successors shall have been elected and qualified. |
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Class I Trustee
*
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Class II Trustees
**
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Class III Trustees
***
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Randall C. Barnes
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Jerry B. Farley
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Robert B. Karn III
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Donald C. Cacciapaglia
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Roman Friedrich III
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Maynard F. Oliverius
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Donald A. Chubb, Jr.
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Ronald A. Nyberg
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Ronald E. Toupin, Jr.
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| * | Class I Trustees are standing for election at the Annual Meeting, and are expected to next stand for election in 2020. |
| ** | Class II Trustees are expected to next stand for election in 2018. |
| *** | Class III Trustees are expected to next stand for election in 2019. |
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Class I Trustee
*
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Class II Trustees
**
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Randall C. Barnes
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Jerry B. Farley
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Donald C. Cacciapaglia
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Robert B. Karn III
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Donald A. Chubb, Jr.
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Ronald A. Nyberg
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Roman Friedrich III
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Maynard F. Oliverius
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Ronald E. Toupin, Jr.
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| * | Class I Trustees are expected to next stand for election in 2018. |
| ** | Class II Trustees are standing for election at the Annual Meeting, and are expected to next stand for election in 2019. |
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Name, Address
(1)
and Age
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Position(s) Held
with Funds
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Term of Office and
Length of Time Served
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Principal Occupation
During The Past Five Years
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Number of Portfolios
in Fund Complex Overseen by Trustee
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Other Directorships
held by Trustee During the
Past Five Years
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INDEPENDENT TRUSTEES:
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Randall C. Barnes
Year of birth: 1951
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Trustee
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†
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Current: Private Investor (2001-present). Former: Senior Vice President & Treasurer, PepsiCo, Inc. (1993-1997), President, Pizza Hut International (1991-1993) and Senior Vice President, Strategic Planning and New Business Development, PepsiCo, Inc. (1987-1990).
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96
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Current: Purpose Investments, Inc. (2014-present).
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Donald A. Chubb, Jr.
Year of Birth: 1946
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Trustee
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†
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Current: Business broker and manager of commercial real estate, Griffith & Blair, Inc. (1997-present).
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93
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Former: Midland Care, Inc. (2011-2016).
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Jerry B. Farley
Year of Birth: 1946
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Trustee
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†
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Current: President, Washburn University (1997-present).
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93
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Current: Westar Energy, Inc. (2004-present); CoreFirst Bank & Trust (2000-present).
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Roman Friedrich III
Year of Birth: 1946
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Trustee
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†
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Current: Founder and President of Roman Friedrich & Company (1998-present).
Former: Senior Managing Director of MLV & Co., LLC (2010-2011). |
93
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Current: Zincore Metals, Inc. (2009-present).
Former: Mercator Minerals Ltd. (2013-2014); First Americas Gold Corp. (2012-2014); Blue Sky Uranium Corp. (2011-2012); Axiom Gold and Silver Corp. (2011-2012).
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Robert B. Karn III
Year of birth: 1942
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Trustee
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†
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Current: Consultant (1998-present).
Former: Arthur Andersen, LLP (1965-1997) and Managing Partner, Financial and Economic Consulting, St. Louis office (1987-1997). |
93
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Current: Peabody Energy Company (2003-present); GP Natural Resource Partners, LLC (2002-present).
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Ronald A. Nyberg
Year of birth: 1953
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Trustee
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†
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Current: Partner, Momkus McCluskey Roberts LLC (2016-present).
Former: Partner, Nyberg & Cassioppi, LLC (2000-2016); Executive Vice President, General Counsel and Corporate Secretary of Van Kampen Investments (1982-1999).
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98
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Current: Edward-Elmhurst Healthcare System (2012-present).
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Name, Address
(1)
and Age
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Position(s) Held
with Funds
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Term of Office and
Length of Time Served
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Principal Occupation
During The Past Five Years
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Number of Portfolios
in Fund Complex Overseen by Trustee
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Other Directorships
held by Trustee During the
Past Five Years
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INDEPENDENT TRUSTEES: (continued)
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Maynard F. Oliverius
Year of Birth: 1943
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Trustee
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†
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Current: Retired.
Former: President and Chief Executive Officer, Stormont-Vail HealthCare (1996- 2012). |
93
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Current: Robert J. Dole Institute of Politics (2016-present); Stormont-Vail Foundation (2013-present); University of Minnesota MHA Alumni Philanthropy Committee (2009-present) Fort Hays State University Foundation (1999-present).
Former: Topeka Community Foundation (2009-2014).
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Ronald E. Toupin, Jr.
Year of birth: 1958
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Trustee
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†
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Current: Portfolio Consultant (2010-present).
Former: Vice President, Manager and Portfolio Manager of Nuveen Asset Management (1998-1999), Vice President of Nuveen Investment Advisory Corp. (1992-1999), Vice President and Manager of Nuveen Unit Investment Trusts (1991-1999) and Assistant Vice President and Portfolio Manager of Nuveen Unit Investment Trusts (1988-1999), each of John Nuveen & Co., Inc. (1982-1999). |
95
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Former: Bennett Group of Funds (2011-2013).
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Name, Address
(1)
and Age
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Position(s) Held
with Funds
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Term of Office and
Length of Time Served
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Principal Occupation
During The Past Five Years
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Number of Portfolios
in Fund Complex Overseen by Trustee
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Other Directorships
held by Trustee During the
Past Five Years
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INTERESTED TRUSTEE:
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Donald C. Cacciapaglia
Year of birth: 1951
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Interested Trustee
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†
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Current: President and CEO, certain other funds in the Fund Complex (2012-present); Vice Chairman of Guggenheim Investments (2010-present).
Former: Chairman and CEO of Channel Capital Group Inc. (2002-2010).
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228
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Current: Clear Spring Life Insurance Company (2015-present); Guggenheim Partners Investment Management Holdings, LLC (2014-present); Guggenheim Partners Japan, Ltd. (2014-present); Delaware Life (2013-present); Guggenheim Life and Annuity Company (2011-present); Paragon Life Insurance Company of Indiana (2011-present).
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| (1) | The business address of each Trustee is Guggenheim Investments, 227 West Monroe Street, 7th Floor, Chicago, Illinois 60606. |
| † | Each Trustee is generally expected to serve a term as set forth herein under “Composition of the Board of Trustees.” Each Trustee has served as a Trustee of each respective Fund since the year shown below: |
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FMO
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GBAB
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GGM
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GPM
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GOF
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Independent Trustees
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Barnes
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2004
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2010
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2013
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2005
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2007
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Chubb
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2014
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2014
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2014
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2014
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2014
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Farley
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2014
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2014
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2014
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2014
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2014
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Friedrich
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2011
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2010
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2013
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2011
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2010
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Karn
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2004
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2010
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2013
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2011
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2010
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Nyberg
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2004
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2010
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2013
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2005
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2007
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Oliverius
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2014
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2014
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2014
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2014
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2014
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Toupin
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2004
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2010
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2013
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2005
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2007
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Interested Trustee
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Cacciapaglia
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2012
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2012
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2013
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2012
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2012
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Name, Address
(1)
and Age
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Title
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Term of Office and
Length of
Time Served
(2)
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Principal Occupation During
the Past Five Years
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Amy J. Lee
Year of birth: 1961
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Chief Legal Officer
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Since 2012
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Current: Chief Legal Officer, certain other funds in the Fund Complex (2013-present); Senior Managing Director, Guggenheim Investments (2012-present).
Former: Vice President, Associate General Counsel & Assistant Secretary, Security Benefit Life Insurance Company and Security Benefit Corporation (2004-2012);
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Name, Address
(1)
and Age
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Title
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Term of Office and
Length of
Time Served
(2)
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Principal Occupation During
the Past Five Years
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William H. Belden, III
Year of birth: 1965
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Vice President
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Since 2014
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Current: Vice President, certain other funds in the Fund Complex (2006-present); Managing Director, Guggenheim Funds Investment Advisors, LLC (2005- present).
Former: Vice President of Management, Northern Trust Global Investments (1999-2005).
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Bryan Stone
Year of birth: 1979
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Vice President
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Since 2014
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Current: Vice President, certain other funds in the Fund Complex (2014-present); Director, Guggenheim Investments (2013-present).
Former: Senior Vice President, Neuberger Berman Group LLC (2009-2013); Vice President, Morgan Stanley (2002-2009).
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Joanna Catalucci
Year of birth: 1966
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Chief Compliance Officer
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Since 2012
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Current: Chief Compliance Officer, certain funds in the Fund Complex (2012-present); Senior Managing Director, Guggenheim Investments (2012-present); Anti-Money Laundering Compliance Officer, certain funds in the Fund Complex (2016-present).
Former: Chief Compliance Officer & Secretary, certain other funds in the Fund Complex (2008-2012); Senior Vice President & Chief Compliance Officer, Security Investors, LLC and certain affiliates (2010-2012); Chief Compliance Officer and Senior Vice President, Rydex Advisors, LLC and certain affiliates (2010-2011).
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John Sullivan
Year of birth: 1955
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Chief Financial Officer, Chief Accounting Officer and Treasurer
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Since 2010
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Current: Chief Financial Officer, Chief Accounting Officer and Treasurer of certain funds in the Fund Complex (2010-present); Senior Managing Director, Guggenheim Investments (2010-present).
Former: Managing Director and Chief Compliance Officer, each of the funds in the Van Kampen Investments fund complex (2004-2010); Managing Director and Head of Fund Accounting and Administration, Morgan Stanley Investment Management (2002-2004); Chief Financial Officer and Treasurer, Van Kampen Funds (1996-2004).
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Mark E. Mathiasen
Year of birth: 1978
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Secretary
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Since 2007
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Current: Secretary, certain other funds in the Fund Complex (2007-present); Managing Director, Guggenheim Investments (2007-present).
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Michael P. Megaris
Year of birth: 1984
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Assistant Secretary
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Since 2014
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Current: Assistant Secretary, certain other funds in the Fund Complex (2014-present); Senior Associate, Guggenheim Investments (2012-present).
Former: J.D., University of Kansas School of Law (2009-2012).
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Name, Address
(1)
and Age
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Title
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Term of Office and
Length of
Time Served
(2)
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Principal Occupation During
the Past Five Years
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James Howley
Year of birth: 1972
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Assistant Treasurer
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Since 2007
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Current: Director, Guggenheim Investments (2004-present). Assistant Treasurer, certain other funds in the Fund Complex (2006-present).
Former: Manager, Mutual Fund Administration of Van Kampen Investments, Inc. (1996-2004).
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Kimberly Scott
Year of Birth: 1974
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Assistant Treasurer
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Since 2012
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Current: Vice President, Guggenheim Investments (2012-present); Assistant Treasurer, certain other funds in the Fund Complex (2012-present).
Former: Financial Reporting Manager for Invesco, Ltd. (2010-2011); Vice President/Assistant Treasurer, Mutual Fund Administration for Van Kampen Investments, Inc./Morgan Stanley Investment Management (2009-2010); Manager- Mutual Fund Administration for Van Kampen Investments, Inc./Morgan Stanley Investment Management (2005-2009).
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Adam Nelson
Year of Birth: 1979
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Assistant Treasurer
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Since 2015
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Current
:
Vice President, Guggenheim Investments (2015-present); Assistant Treasurer, certain other funds in the Fund Complex (2015-present).
Former
:
Assistant Vice President and Fund Administration Director, State Street Corporation (2013-2015); Fund Administration Assistant Director, State Street (2011-2013); Fund Administration Manager, State Street (2009-2011).
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Keith Kemp
Year of Birth: 1960
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Assistant Treasurer
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Since 2016
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Current: Treasurer and Assistant Treasurer, certain other funds in the Fund Complex (2010-present); Managing Director, Guggenheim Partners Investment Management, LLC (2015-present); Chief Financial Officer, Guggenheim Specialized Products, LLC (2016-present).
Former: Managing Director and Director, Transparent Value, LLC (2010-2016); Director, Guggenheim Investments (2010-2015); Chief Operating Officer, Macquarie Capital Investment Management (2007-2009).
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Glenn McWhinnie
Year of birth: 1969
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Assistant Treasurer
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Since 2016
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Current: Vice President, Guggenheim Investments (2009-present).
Former: Tax Compliance Manager, Ernst & Young LLP (1996-2009).
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| (1) | The business address of each officer of the Funds is Guggenheim Investments, 227 West Monroe Street, 7th Floor, Chicago, Illinois 60606, unless otherwise noted. |
| (2) | Officers serve at the pleasure of the Board and until his or her successor is appointed and qualified or until his or her resignation or removal. The year set forth above is the earliest year in which the officer was appointed as an officer of any Fund. |
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Fund
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Fiscal Year End
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Board Meetings
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Audit Committee Meetings
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Nominating and Governance Meetings
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Contract Review Committee Meetings
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Valuation Oversight Committee Meetings*
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FMO
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11/30/2016
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5
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7
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4
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2
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0
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GBAB
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5/31/2016
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7
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6
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5
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2
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0
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GGM
|
5/31/2016
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7
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6
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5
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2
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0
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GPM
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12/31/2016
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5
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4
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4
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2
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0
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GOF
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5/31/2016
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7
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6
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5
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2
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0
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FMO
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GBAB
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GGM
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GPM
(1)
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GOF
|
Aggregate dollar range of equity securities in all funds in the Fund Complex Overseen
by the Trustee
|
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Independent Trustees
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Barnes
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Over $100,000
|
None
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Over $100,000
|
None
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Over $100,000
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Over $100,000
|
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Chubb
|
$1-$10,001
|
$1-$10,001
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$1-$10,001
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$1-$10,001
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$10,001-$50,000
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Over $100,000
|
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Farley
|
None
|
None
|
None
|
None
|
None
|
Over $100,000
|
|
Friedrich
|
None
|
None
|
$10,001-$50,000
|
None
|
$10,001-$50,000
|
Over $100,000
|
|
Karn
|
$10,001-$50,000
|
None
|
$10,001-$50,000
|
None
|
$10,001-$50,000
|
Over $100,000
|
|
Nyberg
|
$10,001-$50,000
|
$10,001-$50,000
|
$1-$10,001
|
$10,001-$50,000
|
$10,001-$50,000
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Over $100,000
|
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Oliverius
|
$1-$10,001
|
None
|
None
|
None
|
Over $100,000
|
Over $100,000
|
|
Toupin
|
$10,001-$50,000
|
$10,001-$50,000
|
$10,001-$50,000
|
$10,001-$50,000
|
$10,001-$50,000
|
Over $100,000
|
|
Interested Trustee
|
||||||
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Cacciapaglia
|
None
|
None
|
$10,001-$50,000
|
None
|
Over $100,000
|
Over $100,000
|
| (1) | On March 20, 2017, two closed-end funds in the Fund Complex (each a “Target Fund”) were merged with and into GPM, and shares of each Target Fund held by the Trustees at such time were converted into shares of GPM. Based on each Trustee’s holdings of shares of each Target Fund as of December 31, 2016, after giving effect to such conversion, each Trustee would have held shares of GPM in the following dollar ranges: Barnes – None; Chubb – $10,001-$50,000; Farley – None; Friedrich – None; Karn – $10,001-$50,000; Nyberg – $10,001-$50,000; Oliverius – $50,001-$100,000; Toupin – $10,001-$50,000; Cacciapaglia – None. |
|
FMO
|
GBAB
|
GGM
|
GPM
|
GOF
|
|
|
Independent Trustees
|
|||||
|
Barnes
|
26,513
|
None
|
31,429
|
None
|
83,657
|
|
Chubb
|
500
|
1,000
|
500
|
500
|
1,000
|
|
Farley
|
None
|
None
|
None
|
None
|
None
|
|
Friedrich
|
None
|
None
|
450
|
None
|
913
|
|
Karn
|
1,000
|
None
|
1,000
|
None
|
1,000
|
|
Nyberg
|
1,053
|
505
|
495
|
1,456
|
1,015
|
|
Oliverius
|
500
|
None
|
None
|
None
|
25,780
|
|
Toupin
|
1,780
|
848
|
997
|
2,948
|
1,158
|
|
Interested Trustee
|
|||||
|
Cacciapaglia
|
None
|
None
|
2,185
|
None
|
5,154
|
|
Trustee
|
Aggregate Compensation
from each Fund |
Pension or Retirement
Benefits Accrued as Part of Fund Expenses (1) |
Estimated Annual
Benefits Upon Retirement (1) |
Total Compensation
From
the Fund Complex
(2)
|
|
Randall C. Barnes
|
†
|
None
|
None
|
$359,500
|
|
Donald A. Chubb
|
†
|
None
|
None
|
$267,500
|
|
Jerry B. Farley
|
†
|
None
|
None
|
$265,000
|
|
Roman Friedrich III
|
†
|
None
|
None
|
$277,500
|
|
Robert B. Karn III
|
†
|
None
|
None
|
$290,000
|
|
Ronald A. Nyberg
|
†
|
None
|
None
|
$439,500
|
|
Maynard F. Oliverius
|
†
|
None
|
None
|
$267,500
|
|
Ronald E. Toupin, Jr.
|
†
|
None
|
None
|
$410,000
|
| (1) | The Funds do not accrue or pay retirement or pension benefits to Trustees as of the date hereof. |
| (2) | The amounts shown in this column represent the aggregate compensation paid by all of the funds in the Fund Complex for the calendar year ended December 31, 2016. Because the funds in the Fund Complex have different fiscal year ends, the amounts shown in this column are presented on a calendar year basis. |
| † | The amount of aggregate compensation payable by each Fund for the calendar year ended December 31, 2016 is shown in the table below: |
|
FMO
|
GBAB
|
GGM
|
GPM
|
GOF
|
|
|
Independent Trustees
|
|||||
|
Barnes
|
$
16,833
|
$15,374
|
$8,761
|
$9,379
|
$13,118
|
|
Chubb
|
$16,995
|
$15,519
|
$8,844
|
$9,467
|
$13,243
|
|
Farley
|
$16,833
|
$15,374
|
$8,761
|
$9,379
|
$13,118
|
|
Friedrich
|
$17,635
|
$16,104
|
$9,177
|
$9,824
|
$13,742
|
|
Karn
|
$18,433
|
$16,836
|
$9,594
|
$10,270
|
$14,365
|
|
Nyberg
|
$17,473
|
$15,959
|
$9,094
|
$9,735
|
$13,617
|
|
Oliverius
|
$16,995
|
$15,519
|
$8,844
|
$9,467
|
$13,243
|
|
Toupin
|
$20,674
|
$18,882
|
$10,760
|
$11,518
|
$16,111
|
|
V.B.2.
|
Pre-approve any engagement of the independent auditors to provide any non-prohibited services, other than “prohibited non-audit services,” to the Trust, including the fees and other compensation to be paid to the independent auditors (unless an exception is available under Rule 2-01 of Regulation S-X).
|
|
(a)
|
The categories of services to be reviewed and considered for pre-approval include the following (collectively, “Identified Services”):
|
|
·
|
Annual financial statement audits
|
|
·
|
Seed audits (related to new product filings, as required)
|
|
·
|
SEC and regulatory filings and consents
|
|
·
|
Accounting consultations
|
|
·
|
Fund merger/reorganization support services
|
|
·
|
Other accounting related matters
|
|
·
|
Agreed upon procedures reports
|
|
·
|
Attestation reports
|
|
·
|
Other internal control reports
|
|
·
|
Recurring tax services:
|
|
o
|
Preparation of Federal and state income tax returns, including extensions
|
|
o
|
Preparation of calculations of taxable income, including fiscal year tax designations
|
|
o
|
Preparation of annual Federal excise tax returns (if applicable)
|
|
o
|
Preparation of calendar year excise distribution calculations
|
|
o
|
Calculation of tax equalization on an as-needed basis
|
|
o
|
Preparation of the estimated excise distribution calculations on an as-needed basis
|
|
o
|
Preparation of quarterly Federal, state and local and franchise tax estimated tax payments on an as-needed basis
|
|
o
|
Preparation of state apportionment calculations to properly allocate Fund taxable income among the states for state tax filing purposes
|
|
o
|
Provision of tax compliance services in India for Funds with direct investments in India
|
|
o
|
Assistance with management’s identification of passive foreign investment companies (PFICs) for tax purposes
|
|
·
|
Permissible non-recurring tax services upon request:
|
|
o
|
Assistance with determining ownership changes which impact a Fund’s utilization of loss carryforwards
|
|
o
|
Assistance with calendar year shareholder reporting designations on Form 1099
|
|
o
|
Assistance with corporate actions and tax treatment of complex securities and structured products
|
|
o
|
Assistance with IRS ruling requests and calculation of deficiency dividends
|
|
o
|
Conduct training sessions for the Adviser’s internal tax resources
|
|
o
|
Assistance with Federal, state, local and international tax planning and advice regarding the tax consequences of proposed or actual transactions
|
|
o
|
Tax services related to amendments to Federal, state and local returns and sales and use tax compliance
|
|
o
|
RIC qualification reviews
|
|
o
|
Tax distribution analysis and planning
|
|
o
|
Tax authority examination services
|
|
o
|
Tax appeals support services
|
|
o
|
Tax accounting methods studies
|
|
o
|
Fund merger, reorganization and liquidation support services
|
|
o
|
Tax compliance, planning and advice services and related projects
|
|
(b)
|
The Committee has pre-approved Identified Services for which the estimated fees are less than $25,000.
|
|
(c)
|
For Identified Services with estimated fees of $25,000 or more, but less than $50,000, the Chair or any member of the Committee designated by the Chair is hereby authorized to pre-approve such services on behalf of the Committee.
|
|
(d)
|
For Identified Services with estimated fees of $50,000 or more, such services require pre-approval by the Committee.
|
|
(e)
|
All
requests for Identified Services to be provided by the independent auditor that were pre-approved by the Committee shall be submitted to the Chief Accounting Officer (“CAO”) of the Trust by the independent auditor using the pre-approval request form attached as Appendix C to the Audit Committee Charter. The Trust’s CAO will determine whether such services are included within the list of services that have received the general pre-approval of the Committee.
|
|
(f)
|
The independent auditors or the CAO of the Trust (or an officer of the Trust who reports to the CAO) shall report to the Committee at each of its regular quarterly meetings all audit, audit-related and permissible non-audit services initiated since the last such report (unless the services were contained in the initial audit plan, as previously presented to, and approved by, the Committee). The report shall include a general description of the services and projected fees, and the means by which such services were approved by the Committee (including the particular category of Identified Services under which pre-approval was obtained).
|
|
V.B.3.
|
Pre-approve any engagement of the independent auditors, including the fees and other compensation to be paid to the independent auditors, to provide any non-audit services to the Adviser (or any “control affiliate” of the Adviser providing ongoing services to the Trust), if the engagement relates directly to the operations and financial reporting of the Trust (unless an exception is available under Rule 2-01 of Regulation S-X).
|
|
(a)
|
The Chair or any member of the Committee designated by the Chair may grant the pre-approval for non-audit services to the Adviser (or any “control affiliate” of the Adviser providing ongoing services to the Trust) relating directly to the operations and financial reporting of the Trust for which the estimated fees are less than $25,000. All such delegated pre-approvals shall be presented to the Committee no later than the next Committee meeting.
|
|
(b)
|
For non-audit services to the Adviser (or any “control affiliate” of the Adviser providing ongoing services to the Trust) relating directly to the operations and financial reporting of the Trust for which the estimated fees are $25,000 or more, such services require pre-approval by the Committee.
|
|
Non-Audit Fees
|
|||||||
|
Fund
|
Fiscal
Year End |
Audit Fees
|
Audit
Related
|
Tax
|
Other
|
Total
Non-Audit |
Total
|
|
FMO
|
11/30
|
$48,901
|
$7,700
|
$124,100
|
$0
|
$131,800
|
$180,701
|
|
GBAB
|
5/31
|
$49,867
|
$0
|
$10,323
|
$0
|
$10,323
|
$60,190
|
|
GGM
|
5/31
|
$46,075
|
$0
|
$10,323
|
$0
|
$10,323
|
$56,398
|
|
GPM
|
12/31
|
$25,451
|
$3,950
|
$8,195
|
$0
|
$12,145
|
$37,596
|
|
GOF
|
5/31
|
$65,640
|
$22,050
|
$12,988
|
$0
|
$35,038
|
$100,678
|
|
Non-Audit Fees
|
|||||||
|
Fund
|
Fiscal
Year End |
Audit Fees
|
Audit
Related
|
Tax
|
Other
|
Total
Non-Audit |
Total
|
|
FMO
|
11/30
|
$47,460
|
$24,000
|
$116,300
|
$0
|
$140,300
|
$187,760
|
|
GBAB
|
5/31
|
$48,398
|
$0
|
$10,026
|
$0
|
$10,026
|
$58,424
|
|
GGM
|
5/31
|
$35,280
|
$0
|
$10,022
|
$0
|
$10,022
|
$45,302
|
|
GPM
|
12/31
|
$24,693
|
$0
|
$7,957
|
$0
|
$7,957
|
$32,650
|
|
GOF
|
5/31
|
$63,649
|
$24,000
|
$12,610
|
$0
|
$36,610
|
$96,584
|
|
Fund
|
Shareholder Name
and Address |
Class of Shares
|
Share Holdings
|
Percentage Owned
|
|
FMO
|
First Trust Portfolios L.P., First Trust Advisors L.P., and The Charger Corporation
120 East Liberty Drive, Suite 400
Wheaton, IL 60187
|
Common
|
3,942,580
|
11.72%
|
|
GBAB
|
Guggenheim Capital, LLC: 227 West Monroe Street, Chicago, IL 60606
Guggenheim Partners, LLC: 227 West Monroe Street, Chicago, IL 60606
GI Holdco II LLC: 330 Madison Avenue, New York, NY 10017
GI Holdco LLC: 330 Madison Avenue, New York, NY 10017
Guggenheim Partners Investment Management Holdings, LLC: 330 Madison Avenue, New York, NY 10017
Guggenheim Partners Investment Management, LLC: 100 Wilshire Boulevard, 5th Floor, Santa Monica, CA 904011
|
Common
|
1,177,888
|
6.76%
|
|
GGM
|
First Trust Portfolios L.P., First Trust Advisors L.P., and The Charger Corporation
120 East Liberty Drive, Suite 400
Wheaton, IL 60187
|
Common
|
1,243,302
|
18.57%
|
|
GPM
|
Advisors Asset Management, Inc.
18925 Base Camp Road
Monument, CO 80132
|
Common
|
3,016,687
|
6.28%**
|
|
First Trust Portfolios LP
120 East Liberty Drive, Suite 400
Wheaton, IL 60187
|
Common
|
2,763,127**
|
5.75%**
|
|
|
GOF
|
None
|
| * | The information contained in this table is based on the Funds' review of Schedule 13D, Schedule 13G and other regulatory filings made on or before March 28, 2017. |
| ** | After giving effect to the merger of the Target Funds with and into GPM and the conversion of shares of each Target Fund into shares of GPM. |
|
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No information found
* THE VALUE IS THE MARKET VALUE AS OF THE LAST DAY OF THE QUARTER FOR WHICH THE 13F WAS FILED.
| FUND | NUMBER OF SHARES | VALUE ($) | PUT OR CALL |
|---|
| DIRECTORS | AGE | BIO | OTHER DIRECTOR MEMBERSHIPS |
|---|
No information found
No Customers Found
No Suppliers Found
Price
Yield
| Owner | Position | Direct Shares | Indirect Shares |
|---|