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[ ]
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Soliciting Material Pursuant to
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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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[ ]
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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.
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(1)
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Electing one Class I Trustee, to hold office for the term indicated; and
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(2)
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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
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CLASS
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EXPIRATION OF TERM IF ELECTED*
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Michael Larson
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Class I
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2017 Annual Meeting
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*
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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.
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Name and Age
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Position(s) Held
With Fund
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Term of Office and
Length of Time Served
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Principal Occupations
During the Past 5 Years
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Number of Portfolios In
Fund Complex* Overseen
by Trustee or Nominee
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Other Directorships Held by
Trustee or Nominee*
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Shares of the Fund
Beneficially Owned
on March 18, 2014
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Independent Trustees
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|||||
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Michael Larson
54
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Nominee, Trustee and Chairperson of the Board of Trustees
(1)(2)
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Term expires at the Annual Meeting;
served since September 2004 |
Chief Investment Officer for William H. Gates III (1994–present).
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2
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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).
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4,542**
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Ronald A. Nyberg
60
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Trustee
(1)(2)
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Term expires in 2015; served
since January 2004 |
Partner of Nyberg & Cassioppi, LLC, a law firm specializing in corporate law, estate planning and business transactions (2000-present). Formerly, Executive Vice President, General Counsel, and Corporate Secretary of Van Kampen Investments (1982-1999).
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52
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None
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790
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Ronald E. Toupin, Jr.
55
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Trustee
(1)(2)
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Term expires in 2016; served since
January 2004 |
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 (1993-1999), 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).
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49
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Trustee, Bennett Group of Funds (2011-2013).
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310
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Name and Age
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Position(s) Held
With Fund
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Term of Office and
Length of Time Served
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Principal Occupations
During the Past 5 Years
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Number of Portfolios In
Fund Complex* Overseen
by Trustee or Nominee
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Other Directorships Held by
Trustee or Nominee*
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Shares of the Fund
Beneficially Owned
on March 18, 2014
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Interested Trustee
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|||||
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Kenneth D. Fuller
56
(3)
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Trustee
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Term expires in 2016; served since April 2013
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Managing Director, Legg Mason & Co., LLC (“Legg Mason & Co.”)(since 2013); Officer and/or Trustee/Director of 170 funds associated with Legg Mason Partners Fund Advisor, LLC (“LMPFA”) and its affiliates (since 2013); President and Chief Executive Officer of LM Asset Services, LLC (“LMAS”) and Legg Mason Fund Asset Management, Inc. (“LMFAM”) (formerly registered investment advisers) (since 2013); formerly, Senior Vice President of LMPFA (2012 to 2013); formerly, Director of Legg Mason & Co. (2012 to 2013); formerly, Vice President of Legg Mason& Co. (2009 to 2012); formerly, Vice President—Equity Division of T. Rowe Price Associates (1993 to 2009), as well as Investment Analyst and Portfolio Manager for certain asset allocation accounts (2004 to 2009).
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158
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None
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2,000
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(1)
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Member of the Audit Committee of the Board of Trustees.
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(2)
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Member of the Governance and Nominating Committee of the Board of Trustees.
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(3)
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Mr. Fuller is an “interested trustee” (as defined above) of the Fund because of his position as Managing Director of Legg Mason & Co., LLC and his 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”).
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*
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Each Trustee also serves as a Trustee of Western Asset/Claymore Inflation-Linked Securities & Income Fund, a closed-end investment company. Western Asset serves as adviser to Western Asset/Claymore Inflation-Linked Securities & 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 28 separate portfolios) and Claymore Exchange-Traded Fund Trust 2 (consisting of 11 separate portfolios), each of which is an open-end management investment company managed by Guggenheim Advisors, the Fund’s Investment Adviser. Additionally, Mr. Nyberg serves as Trustee for Advent Claymore Convertible Securities and Income Fund, Advent/Claymore Enhanced Growth & Income Fund and Advent Claymore Convertible
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Securities and Income Fund II, each of which is a closed-end investment company managed or serviced by Guggenheim Advisors or its affiliates. Mr. Fuller serves as an officer and/or Trustee/Director of 170 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.
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**
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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.
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Name of Trustee or Nominee
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Dollar Range of Equity
Securities in the Fund
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Aggregate Dollar Range
of Equity Securities in all
Funds Overseen or to
be Overseen by Trustee
or Nominee in Family
of Investment Companies
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Independent Trustees
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Michael Larson
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$50,001-$100,000
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Over $100,000
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Ronald A. Nyberg
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$1-$10,000
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Over $100,000
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Ronald E. Toupin, Jr.
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$1-$10,000
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$10,001-$50,000
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Interested Trustee
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||
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Kenneth D. Fuller
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$10,001-$50,000
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$10,001-$50,000
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Name of Trustee
or Nominee
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Aggregate
Compensation
from the Fund
|
Pension or Retirement
Benefits Accrued as
Part of Fund’s Expenses
|
Estimated Annual
Benefits Upon
Retirement
|
Total Compensation
from the Fund
and its Fund Complex
Paid to Trustees
(1)
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|
Independent Trustees
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||||
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Michael Larson
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$33,500
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$0
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$0
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$67,000
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Ronald A. Nyberg
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$32,000
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$0
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$0
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$318,750
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Ronald E. Toupin, Jr.
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$32,000
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$0
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$0
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$254,000
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Interested Trustee
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||||
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Kenneth D. Fuller
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$0
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$0
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$0
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$0
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(1)
|
Represents aggregate compensation paid to each Trustee during the fiscal year ended December 31, 2013 for serving as Trustees to the Fund and other funds in the Fund Complex. Messrs. Larson, Nyberg, Toupin and Fuller serve as Trustees to 2, 52, 49 and 158 funds in the Fund Complex, respectively.
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Name and Age
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Position(s) Held with Fund
|
Term of Office and Length
of Time Served
(1)
|
Principal Occupation(s) During the Past 5 Years
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Shares of the Fund Beneficially Owned on
December 31, 2014
|
|
Kenneth D. Fuller
56
|
Trustee and President
|
Served since April 2013
|
Managing Director, Legg Mason & Co., LLC (“Legg Mason & Co.”)(since 2013); Officer and/or Trustee/Director of 170 funds associated with Legg Mason Partners Fund Advisor, LLC (“LMPFA”) and its affiliates (since 2013); President and Chief Executive Officer of LM Asset Services, LLC (“LMAS”) and Legg Mason Fund Asset Management, Inc. (“LMFAM”) (formerly registered investment advisers) (since 2013); formerly, Senior Vice President of LMPFA (2012 to 2013); formerly, Director of Legg Mason & Co. (2012 to 2013); formerly, Vice President of Legg Mason& Co. (2009 to 2012); formerly, Vice President—Equity Division of T. Rowe Price Associates (1993 to 2009), as well as Investment Analyst and Portfolio Manager for certain asset allocation accounts (2004 to 2009).
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2,000
|
|
Name and Age
|
Position(s) Held with Fund
|
Term of Office and Length
of Time Served
(1)
|
Principal Occupation(s) During the Past 5 Years
|
Shares of the Fund Beneficially Owned on
December 31, 2014
|
|
Charles A. Ruys de Perez
56
|
Vice President
|
Served since March 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
|
|
Richard F. Sennett
43
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); Managing Director of Legg Mason & Co. and Senior Manager of the Treasury Policy group for Legg Mason & Co.’s Global Fiduciary Platform (since 2011); formerly, Chief Accountant within the SEC’s Division of Investment Management (2007 to 2011); formerly, Assistant Chief Accountant within the SEC’s Division of Investment Management (2002 to 2007).
|
None
|
|
Todd F. Kuehl
44
100 International Drive
Baltimore, MD 21202
|
Chief Compliance Officer
|
Served since February 2007
|
Managing Director, Legg Mason & Co. (2006-present); Chief Compliance Officer of Legg Mason Private Portfolio Group (2009-2010); Chief Compliance Officer of Western Asset/Claymore Inflation-Linked Securities & Income Fund, Western Asset Income Fund, Western Asset Premier Bond Fund, Western Asset Funds, Inc. (2007-present) and Barrett Growth Fund and Barrett Opportunity Fund (2006-present); Branch Chief, Division of Investment Management, U.S. Securities and Exchange Commission (2002-2006).
|
None
|
|
Name and Age
|
Position(s) Held with Fund
|
Term of Office and Length
of Time Served
(1)
|
Principal Occupation(s) During the Past 5 Years
|
Shares of the Fund Beneficially Owned on
December 31, 2014
|
|
Mark E. Mathiasen
35
227 West Monroe
Street
Chicago, IL 60606
|
Secretary
|
Served since November 2010
|
Director and Associate General Counsel of Guggenheim Funds Services, LLC (2007 to present). Secretary of certain funds in the Guggenheim Funds 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.
|
|
Shareholder Name and Address
|
Share Holdings
|
Percentage Owned
|
|
Cascade Investment, L.L.C.
(1)(2)
2365 Carillon Point,
Kirkland, WA 98033
|
9,264,006
|
15.1%
|
|
First Trust Portfolios L.P.
(3)
First Trust Advisors L.P.
The Charger Corporation
120 East Liberty Drive, Suite 400
Wheaton, IL 60187
|
7,616,988
|
12.45%
|
|
Wells Fargo & Company
(4)
420 Montgomery Street
San Francisco, CA 94104
|
4,901,257
|
8.01%
|
|
(1)
|
Based on information obtained from a Schedule 13D filed with the Securities and Exchange Commission on December 11, 2013.
|
|
(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 3, 2014.
|
|
(4)
|
Based on information obtained from a Schedule 13G filed with the Securities and Exchange Commission on January 28, 2014.
|
| Fiscal year ended | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees |
| December 31, 2012 | $27,563 | $0 | $4,250 | $0 |
| December 31, 2013 | $41,738 | $0 | $4,335 | $0 |
|
|
(1)
|
To evaluate and recommend all candidates for election or appointment as members of the Board and recommend the appointment of members and chairs of each Board Committee.
|
|
|
(2)
|
To review policy matters affecting the operation of the Board and Board committees and make such recommendations to the Board as deemed appropriate by the Committee.
|
|
|
(3)
|
To evaluate periodically the effectiveness of the Board and Board Committees and make such recommendations to the Board as deemed appropriate by the Committee.
|
|
1
|
As contemplated by certain rules under the Investment Company Act of 1940, as amended, the selection and nomination of candidates for election as members of the Board who are not Interested Persons shall be made by the incumbent members of the Board who are not Interested Persons shall be made by the incumbent members of the Board who are not Interested Persons.
|
|
|
1.
|
The shareholder must submit any such recommendation (a “Shareholder Recommendation”) in writing to the Fund, to the attention of the Secretary, at the address of the principal executive offices of the Fund.
|
|
|
2.
|
The Shareholder Recommendation must be delivered to or mailed and received at the principal executive offices of the Fund not less than one hundred and twenty (120) calendar days nor more than one hundred and thirty-five (135) calendar days prior to the date of the Board or shareholder meeting at which the nominee would be elected.
|
|
|
3.
|
The Shareholder Recommendation must include: (i) a statement in writing setting forth (A) the name, age, date of birth, business address, residence address and nationality of the person recommended by the shareholder (the “candidate”); (B) the class or series and number of all shares of the Fund owned of record or beneficially by the candidate, as reported to such shareholder by the candidate; (C) any other information regarding the candidate called for with respect to director nominees by paragraphs (a), (d), (e) and (f) of Item 401 of Regulation S-K or paragraph (b) of Item 22 of Rule 14a-l0l (Schedule 14A) under the Securities Exchange Act of 1934, as amended (the “Exchange Act”), adopted by the Securities and Exchange Commission (or the corresponding provisions of any regulation or rule subsequently adopted by the Securities and Exchange Commission or any successor agency applicable to the Fund); (D) any other information regarding the candidate that would be required to be disclosed if the . candidate were a nominee in a proxy statement or other filing required to be made in connection with solicitation of proxies for election of Trustees or directors pursuant to Section 14 of the Exchange Act and the rules and regulations promulgated thereunder; and (E) whether the recommending shareholder believes that the candidate is or will be an “interested person” of the Fund (as defined in the Investment Company Act of 1940, as amended) and, if not an “interested person,” information regarding the candidate that will be sufficient for the
|
|
|
Fund to make such determination; (ii) the written and signed consent of the candidate to . be named as a nominee and to serve as a Trustee if elected; (iii) the recommending shareholder's name as it appears on the Fund's books; (iv) the class or series and number of all shares of the Fund owned beneficially and of record by the recommending shareholder; and (v) a description of all arrangements or understandings between the recommending shareholder and the candidate and any other person or persons (including their names) pursuant to which the recommendation is being made by the recommending shareholder. In addition, the Committee may require the candidate to furnish such other information as it may reasonably require or deem necessary to determine the eligibility of such candidate to serve on the Board.
|
|
PROXY VOTING INSTRUCTIONS
|
|
INTERNET
-
Access “
www.voteproxy.com
”
and follow the on-screen
instructions or scan the QR code with your smartphone. Have your proxy
card available when you access the web page.
|
|
|
|
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 online/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
ww
w
.amstock.com
to
enjoy
online
access.
|
||
|
NOTICE OF INTERNET AVAILABILITY OF PROXY MATERIAL
:
The
Notice
of
Meeting,
proxy
s
t
atement
and
proxy
card
are
available
at
http://ww
w
.materials.proxyvote.com/Guggenheim2014WI
W
.pdf
|
|
10000000000000000000 9
|
050614
|
|
1.
ELECTION OF CLASS I TRUSTEE:
|
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 THE NOMINEE
|
Michael Larson
|
Class I Trustee
|
direction is made, this proxy will be voted FOR THE NOMINEE in Proposal 1.
|
|
o
WITHHOLD AUTHORITY
|
|||
|
FOR THE NOMINEE
|
|||
|
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.
|
|
10000000000000000000 9
|
050614
|
|
THE BOARD OF TRUSTEES RECOMMENDS A VOTE "FOR" THE ELECTION OF THE NOMINEE.
|
|
PLEASE SIGN, DATE AND RETURN PROMPTLY IN THE ENCLOSED ENVELOPE. PLEASE MARK YOUR VOTE IN BLUE OR BLACK INK AS SHOWN
x
|
|
1.
ELECTION OF CLASS I TRUSTEE:
|
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 THE NOMINEE
|
Michael Larson
|
Class I Trustee
|
direction is made, this proxy will be voted FOR THE NOMINEE in Proposal 1.
|
|
|
o
WITHHOLD AUTHORITY
|
||||
|
FOR THE NOMINEE
|
||||
|
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 |
|---|