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[ ]
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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 previously paid. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.
|
|
(1) Electing two Class III Trustees, to hold office for the term
indicated; and
|
|
(2) Transacting such other business as may properly come before
the Annual Meeting and any adjournment(s) or postponement(s) thereof.
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NOMINEE
|
CLASS
|
EXPIRATION OF TERM IF ELECTED*
|
|
Ronald E. Toupin, Jr.
|
Class III
|
2018 Annual Meeting
|
|
Jane E. Trust
|
Class III
|
2018 Annual Meeting
|
|
*
|
Each Trustee holds office until the annual meeting for the year in which his or her term expires and
until his or her successor shall be elected and shall qualify, subject, however, to prior death,
resignation, retirement, disqualification or removal from office.
|
|
Term of
|
Number of
|
|||||||
|
Office
|
Principal
|
Portfolios In
|
Other
|
Shares of
|
||||
|
and
|
Occupations | Fund Complex* |
Directorships
|
the Fund
|
||||
|
Position(s)
|
Length
|
During
|
Overseen by
|
Held by
|
Beneficially
|
|||
|
Name
|
Held With
|
of Time
|
the Past
|
Trustee or
|
Trustee or
|
Owned on
|
||
|
and Age
|
Fund
|
Served
|
5 Years
|
Nominee
|
Nominee* |
April 30, 2015
|
||
|
Independent Trustees
|
||||||||
|
Michael Larson
55
|
Trustee and Chairperson
of the Board of Trustees
(1)(2)
|
Term expires in 2016;
served since May 2004
|
Chief Investment
Officer for
William H.
Gates III
(1994–present).
|
2
|
Republic Services,
Inc. (2009-present);
Grupo Televisa,
S.A.B.
(2009-present);
Autonation, Inc.
(2010-present). Fomento Economico
Mexicano, SAB (2011-
present);
EcoLab, Inc.
(2012-present).
|
4,534**
|
||
|
Ronald A.
Nyberg
61
|
Nominee
and
Trustee
(1)(2)
|
Term expires in 2017;
served since August 2003
|
Partner, Nyberg &
Cassioppi, LLC
(2000-present).
Formerly, Executive
Vice President,
General Counsel,
and Corporate
Secretary of Van Kampen
Investments
(1982-1999).
|
93
|
None
|
809
|
||
|
Ronald E.
Toupin, Jr.
56
|
Trustee
(1)
(2)
|
Term expires at the
Annual Meeting; served
since
August 2003
|
Portfolio Consultant
(2010-present). Formerly,
Vice President, Manager
and Portfolio Manager of
Nuveen Asset Management
(1998-1999), Vice President
and Portfolio Manager of Nuveen Investment Advisory
Corporation (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 &
Company, Inc.
(1982-1999).
|
90
|
Bennett Group of
Funds (2011-2013)
|
919
|
||
|
Term of
|
Number of
|
|||||
|
Office
|
Principal
|
Portfolios In
|
Other
|
Shares of
|
||
|
and
|
Occupations | Fund Complex* |
Directorships
|
the Fund
|
||
|
Position(s)
|
Length
|
During
|
Overseen by
|
Held by
|
Beneficially
|
|
|
Name
|
Held With
|
of Time
|
the Past
|
Trustee or
|
Trustee or
|
Owned on
|
|
and Age
|
Fund
|
Served
|
5 Years
|
Nominee
|
Nominee* |
April 30, 2015
|
|
Interested Trustee
|
||||||||
|
Jane E. Trust
(3)
52
|
Nominee
and
Trustee
|
Term
expires at
the Annual
Meeting;
served
since
April 2015
|
Managing Director
of Legg Mason and
Co., LLC (2015-
present); officer
and/or Trustee/Director of
certain
mutual funds
associated with Legg Mason
Partners
Fund Advisor, LLC;
Senior Vice President,
Legg Mason Partners
Fund Advisor, LLC
(2015-present).
Formerly, Director,
Legg Mason Capital
Management, LLC
(2007-2014);
Managing Director,
Legg Mason
Investment Counsel
& Trust Co.
(2000-2007).
|
157
|
None
|
None
|
||
|
(1)
|
Member of the Audit Committee of the Board of Trustees.
|
|
(2)
|
Member of the Governance and Nominating Committee of the Board of Trustees.
|
|
(3)
|
Ms. Trust is an “interested trustee” (as defined above) of the Fund because of her position as
Managing Director of Legg Mason & Co., LLC and her positions with subsidiaries of, and ownership
of shares of common stock of, Legg Mason, Inc., the parent company of the Fund’s investment
managers, Western Asset Management Company (“Western Asset” or the “Manager”), Western Asset
Management Company Pte. Ltd., Western Asset Management Company Limited and Western Asset
Management Company Ltd (together, the “Investment Managers”).
|
|
*
|
Each Trustee also serves as a Trustee of Western Asset/Claymore Inflation-Linked Opportunities &
Income Fund, a closed-end investment company. Western Asset serves as adviser to Western
Asset/Claymore Inflation-Linked Opportunities & Income Fund. Messrs. Nyberg and Toupin also
serve as Trustees of Fiduciary/Claymore MLP Opportunity Fund, Guggenheim Build America Bonds
Managed Duration Trust, Guggenheim Equal Weight Enhanced Equity Income Fund, Guggenheim
Enhanced Equity Strategy Fund, Guggenheim Strategic Opportunities Fund, Guggenheim Enhanced
Equity Income Fund, Guggenheim Credit Allocation Fund and Managed Duration Investment Grade
Municipal Fund, each of which is a closed-end management investment company serviced by
Guggenheim Funds Distributors, LLC (“Guggenheim Distributors”) or managed by Guggenheim
Funds Investment Advisors, LLC (“Guggenheim Advisors” or the “Investment Adviser”), Claymore
Exchange-Traded Fund Trust (consisting of 29 separate portfolios), Claymore Exchange-Traded Fund
Trust 2 (consisting of 13 separate portfolios), Guggenheim Funds Trust (consisting of 18 separate
portfolios), Guggenheim Strategy Funds Trust (consisting of 4 separate portfolios), and Guggenheim
Variable Funds Trust (consisting of 16 separate portfolios), each of which is an open-end management
investment company managed by Guggenheim Advisors, an affiliate of Guggenheim Distributors, the
Fund’s servicing agent, Security Investors, LLC or Guggenheim Partners Investment Management,
LLC. Additionally, Mr. Nyberg serves as Trustee for Advent Claymore Convertible Securities and
Income Fund, Advent/Claymore Enhanced Growth & Income Fund and Advent Claymore
Convertible Securities and Income Fund II, each of which is a closed-end investment company
managed or serviced by Guggenheim Advisors or its affiliates. Ms. Trust serves as an officer and/or
Trustee/Director of 157 open- and closed-end management investment companies associated with
Legg Mason & Co. or its affiliates. Each of these Funds is considered part of the same Fund Complex as the Fund.
|
|
**
|
As discussed below under “Share Ownership Information”, Mr. Larson disclaims beneficial
ownership of the shares of the Fund beneficially owned by Cascade Investment, L.L.C. and William H. Gates III.
|
|
Aggregate Dollar Range
|
||
|
of Equity Securities in all
|
||
|
Funds Overseen or to
|
||
|
Dollar Range
|
be Overseen by Trustee
|
|
|
Name of
|
of Equity
|
or Nominee in Family
|
|
Trustee or Nominee
|
Securities in the Fund
|
of Investment Companies
|
|
Independent Trustees
|
||
|
Michael Larson
|
$50,001-$100,000
|
Over $100,000
|
|
Ronald A. Nyberg
|
$1-$10,000
|
Over $100,000
|
|
Ronald E. Toupin, Jr.
|
$1-$10,000
|
$10,001-$50,000
|
|
Interested Trustee
|
||
|
Jane E. Trust
|
None
|
None
|
|
Total
|
||||
|
Pension or
|
Compensation
|
|||
|
Retirement
|
Estimated
|
from the
|
||
|
Aggregate
|
Benefits
|
Annual
|
Fund and its
|
|
|
Compensation
|
Accrued as
|
Benefits
|
Fund Complex
|
|
|
Name of Trustee
|
from
|
Part of Fund’s
|
Upon
|
Paid to
|
|
or Nominee
|
the Fund
|
Expenses
|
Retirement
|
Trustees
(1)
|
|
Independent Trustees
|
||||
|
Michael Larson
|
$34,000
|
$0
|
$0
|
$68,000
|
|
Ronald A. Nyberg
|
$32,000
|
$0
|
$0
|
$394,875
|
|
Ronald E. Toupin, Jr.
|
$32,000
|
$0
|
$0
|
$316,750
|
|
Interested Trustee
|
||||
|
Kenneth D. Fuller
(2)
|
$0
|
$0
|
$0
|
$0
|
|
Jane E. Trust
(3)
|
$0
|
$0
|
$0
|
$0
|
|
(1)
|
Represents aggregate compensation paid to each Trustee during the fiscal year ended December 31,
2014 for serving as Trustees to the Fund and other funds in the Fund Complex. Messrs. Larson,
Nyberg and Toupin and Ms. Trust serve as Trustees to 2, 93, 90 and 157 funds in the Fund Complex,
respectively.
|
|
|
|
|
(2)
|
Mr. Fuller resigned as a Trustee effective April 1, 2015.
|
|
(3)
|
Ms. Trust was appointed as a Trustee effective April 1, 2015.
|
|
Shares of
|
||||
|
the Fund
|
||||
|
Principal
|
Beneficially
|
|||
|
Term of Office
|
Occupation(s)
|
Owned on
|
||
|
Name
|
Position(s) Held
|
and Length
|
During
|
December 31,
|
|
and Age
|
with Fund
|
of Time Served
(1)
|
the Past 5 Years
|
2014
|
|
Jane E. Trust
52
|
Trustee and
President
|
Served since
April 2015
|
Managing Director
of Legg Mason and Co., LLC
(2015-
present); officer
and/or Trustee/
Director of certain
mutual funds
associated with Legg Mason Partners
Fund Advisor, LLC;
Senior Vice President,
Legg Mason Partners
Fund Advisor, LLC
(2015-present).
Formerly, Director, Legg Mason
Capital
Management, LLC
(2007-2014);
Managing Director,
Legg Mason Investment
Counsel
& Trust Co.
(2000-2007).
|
None
|
|
Charles A. Ruys
de Perez
57
|
Vice President
|
Served since
May 2007
|
General Counsel of Western Asset Management Company (2007-present). Formerly: Chief Compliance Officer, Putnam Investments (2004-2007); Managing Director and Senior Counsel of Putnam Investments (2001-2004). |
None
|
|
Shares of
|
||||
|
the Fund
|
||||
|
Principal
|
Beneficially
|
|||
|
Term of Office
|
Occupation(s)
|
Owned on
|
||
|
Name
|
Position(s) Held
|
and Length
|
During
|
December 31,
|
|
and Age
|
with Fund
|
of Time Served
(1)
|
the Past 5 Years
|
2014
|
|
Richard F. Sennett
44
55 Water Street
New York,
NY 10041
|
Chief Financial
Officer and
Treasurer
|
Served since
December 2011
|
Chief Financial Officer
and Treasurer of certain mutual funds associated with Legg Mason & Co. or its affiliates (since 2011 and since 2013); Managing Director of Legg Mason & Co. and Senior Manager of the Treasury Policy group for Legg Mason & Co.'s Global Fiduciary Platform (2011-present);
formerly, Chief Accountant within the SEC's Division
of Investment Management
(2007-2011); formerly,
Assistant Chief Accountant
within the SEC’s Division
of Investment Management
(2002-2007).
|
None
|
|
Todd F. Kuehl
45
100 International
Drive
Baltimore, MD
21202
|
Chief
Compliance
Officer
|
Served since
February 2007
|
Managing Director of
Legg Mason & Co. (2011-present); Chief
Compliance Officer of certain
mutual funds
associated with Legg Mason & Co. or its
affiliates (2006-present);
formerly, Chief Compliance
Officer of Legg Mason Private Portfolio Group
(prior to 2010); Branch Chief,
Division of Investment
Management, U.S. Securities
and Exchange Commission
(2002-2006).
|
None
|
|
Mark E.
Mathiasen
36
227 West Monroe Street
Chicago, IL 60606
|
Secretary
|
Served since
November
2010
|
Managing Director of
Guggenheim Partners, LLC
(2012-present); Secretary
of certain other funds in
the Fund complex.
|
None
|
|
(1)
|
Each officer holds office until his or her respective successor is chosen and qualified, or in each case until he or she sooner dies, resigns, is removed with or without cause or becomes disqualified.
|
|
Share
|
Percentage
|
|
|
Shareholder Name and Address
|
Holdings
|
Owned
|
|
Cascade Investment, L.L.C.
(1)(2)
|
6,632,888
|
22.8%
|
|
2365 Carillon Point,
|
||
|
Kirkland, WA 98033
|
||
|
First Trust Portfolios L.P
(3)
|
4,580,326
|
15.71%
|
|
First Trust Advisors L.P.
|
||
|
The Charger Corporation
|
||
|
120 East Liberty Drive, Suite 400
|
||
|
Wheaton, IL 60187
|
||
|
1607 Capital Partners, LLC
(4)
|
1,750,905
|
6.01%
|
|
4991 Lake Brooke Drive
|
||
|
Suite 125
|
||
|
Glen Allen, VA 23060
|
|
(1)
|
Based on information obtained from a Schedule 13D filed with the Securities and Exchange
Commission on January 20, 2015.
|
|
|
|
|
(2)
|
Mr. Larson is the Business Manager of Cascade Investment, L.L.C. (“Cascade”), but disclaims any beneficial ownership of the shares beneficially owned by Cascade. All shares beneficially owned
|
|
by Cascade may be deemed to be beneficially owned by William H. Gates III, as the sole member of Cascade.
|
|
|
|
|
|
(3)
|
Based on information obtained from a Schedule 13G filed with the Securities and Exchange
Commission on February 6, 2015.
|
|
|
|
|
(4)
|
Based on information obtained from a Schedule 13G filed with the Securities and Exchange Commission on February 17, 2015.
|
|
Audit
|
Audit-Related
|
All Other
|
||
|
Fiscal year ended
|
Fees
|
Fees
|
Tax Fees
|
Fees
|
|
December 31, 2013
|
$40,178
|
$0
|
$4,335
|
$506
|
|
December 31, 2014
|
$26,701
|
$0
|
$4,800
|
$569
|
|
PROXY VOTING INSTRUCTIONS
|
|
TELEPHONE
-
Call toll-free
1-800-PROXIES
(1-800-776-9437) in the United
|
||
|
States or
1-718-921-8500
from foreign countries from any touch-tone
|
||
|
telephone and follow the instructions. Have your proxy card available when
|
||
|
you call.
|
COMPANY NUMBER
|
|
|
|
||
|
Vote by phone until 11:59 PM EST the day before the meeting.
|
||
|
|
ACCOUNT NUMBER | |
|
MAIL
-
Sign, date and mail your proxy card in the envelope provided as soon
|
|
|
|
as possible.
|
||
|
IN PERSON
-
You may vote your shares in person by attending the Annual
|
||
|
Meeting.
|
||
|
|
||
|
GO GREEN
-
e-Consent makes it easy to go paperless. With e-Consent, you can
|
||
| quickly access your proxy material, statements and other eligible documents | ||
|
online, while reducing costs, clutter and paper waste. Enroll today via
|
||
|
www.amstock.com to enjoy online access.
|
||
|
NOTICE OF INTERNET AVAILABILITY OF PROXY MATERIAL
:
The Notice of Meeting, proxy statement and proxy
card are available at http://www.materials.proxyvote.com/Guggenheim2015WIA.pdf
|
|
20200000000000000000
6
|
060315
|
|
1. ELECTION OF CLASS III TRUSTEES:
|
In their discretion, the proxies are authorized to vote upon such other business as may properly
|
|||
| come before the Annual Meeting or any adjournment(s) or postponement(s) thereof. This proxy | ||||
|
NOMINEE:
|
when properly executed will be voted as directed herein by the undersigned shareholder. If no | |||
|
o
FOR ALL NOMINEES
|
o
Ronald E. Toupin, Jr.
|
Class III Trustee
|
direction is made, this proxy will be voted FOR THE NOMINEES in Proposal 1.
|
|
| o Jane E. Trust |
Class III Trustee
|
|||
|
o
WITHHOLD AUTHORITY
|
||||
|
FOR ALL NOMINEES
|
||||
|
o
FOR ALL EXCEPT
(See instructions below)
|
||||
|
INSTRUCTIONS:
To withhold authority to vote for any individual nominee(s), mark
“FOR ALL EXCEPT”
and fill in the circle next to each nominee you wish to withhold, as shown here:
●
|
||||
|
To change the address on your account, please check the box at right and
|
||
|
indicate your new address in the address space above. Please note that
|
||
|
changes to the registered name(s) on the account may not be submitted via
|
||
| this method. | o |
|
|
Signature of Shareholder
______________________________________
|
Date:
_______________
|
Signature of Shareholder
_______________________________________
|
Date:
_______________
|
|
Note:
|
Please sign exactly as your name or names appear on this Proxy. When shares are held jointly, each holder should sign. When signing as executor, administrator, attorney, trustee or guardian, please give full title as such. If the signer is a corporation, please sign full corporate name by duly authorized officer, giving full title as such. If signer is a partnership, please sign in partnership name by authorized person.
|
|
Please detach along perforated line and mail in the envelope provided.
|
|
20200000000000000000
6
|
|
060315
|
|
1. ELECTION OF CLASS III TRUSTEES:
|
In their discretion, the proxies are authorized to vote upon such other business as may properly
|
|||
| come before the Annual Meeting or any adjournment(s) or postponement(s) thereof. This proxy | ||||
|
NOMINEES:
|
when properly executed will be voted as directed herein by the undersigned shareholder. If no | |||
|
o
FOR ALL NOMINEES
|
o
Ronald E. Toupin, Jr.
|
Class III Trustee
|
direction is made, this proxy will be voted FOR THE NOMINEES in Proposal 1.
|
|
| o Jane E. Trust |
Class III Trustee
|
|||
|
o
WITHHOLD AUTHORITY
|
||||
|
FOR ALL NOMINEES
|
||||
|
o
FOR ALL EXCEPT
(See instructions below)
|
||||
|
INSTRUCTIONS:
To withhold authority to vote for any individual nominee(s), mark
“FOR ALL EXCEPT”
and fill in the circle next to each nominee you wish to withhold, as shown here:
●
|
||||
|
To change the address on your account, please check the box at right and
|
||
|
indicate your new address in the address space above. Please note that
|
||
|
changes to the registered name(s) on the account may not be submitted via
|
||
| this method. | o |
|
|
Signature of Shareholder
______________________________________
|
Date:
_______________
|
Signature of Shareholder
_______________________________________
|
Date:
_______________
|
|
Note:
|
Please sign exactly as your name or names appear on this Proxy. When shares are held jointly, each holder should sign. When signing as executor, administrator, attorney, trustee or guardian, please give full title as such. If the signer is a corporation, please sign full corporate name by duly authorized officer, giving full title as such. If signer is a partnership, please sign in partnership name by authorized person.
|
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 |
|---|