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Primary UITs

   
Large Cap Buffer 20 Series 27

Taxable Fixed Income

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Wrap Fee Price2 Liquidation3 Estimated
Annual
Income4
ECR5 ELTR6 ECR (Wrap Fee) ELTR (Wrap Fee) Deposit Date Fact Card Prospectus
  Investment Grade Corporate Trust 3-7 Year, 028 CGIGDX 01/08/26 $1,082.08 $1,067.47 $1,061.14 $54.3 5.02% 3.83% 5.09% 4.15% 10/22/25 GIGS028 40178N242, 40178N259

U.S. Equity

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  Blue Chip Dividend Portfolio, 022 CBCDVX 01/08/26 $10.5806 $10.3396 $0.2247 2.12% 11/20/25 11/22/27 BCDV022 40178M848, 40178M855, 40178M863, 40178M871
  Blue Chip Growth Portfolio, 048 CBCHWX 01/08/26 $10.2962 $10.0631 $0.0306 0.30% 11/20/25 11/22/27 BCHP048 40178N101, 40178N119, 40178N127, 40178N135
  Blue Chip Multinationals Core Portfolio, 029 CMNTDX 01/08/26 $11.3577 $11.0954 $0.093 0.82% 08/08/25 08/09/27 MNTP029 40178K628, 40178K636, 40178K644, 40178K651
  Blue Chip Value Portfolio, 011 CBCVKX 01/08/26 $11.1492 $10.8926 $0.1585 1.42% 08/18/25 08/18/27 BCVA011 40178L105, 40178L113, 40178L121, 40178L139
  Diversified Dividend & Income Portfolio, 043 CDDIRX 01/08/26 $10.4518 $10.2144 $0.1961 1.88% 09/08/25 09/08/27 DDI043 40178L386, 40178L394, 40178L402, 40178L410
  Dividend Growth Portfolio, 028 CDGPCX 01/08/26 $10.3451 $9.9865 $0.2358 2.28% 08/18/25 08/19/30 DGP028 40178L147, 40178L154, 40178L162, 40178L170
  Dividend Strength Portfolio, 060 CGROJX 01/08/26 $10.6526 $10.4097 $0.2024 1.90% 11/20/25 11/22/27 GROW060 40178N143, 40178N150, 40178N168, 40178N176
  Dow 10 Portfolio, 063 CDOWMX 01/08/26 $10.5603 $10.4149 $0.2872 2.72% 10/06/25 01/19/27 DDP063 40178L741, 40178L758, 40178L766, 40178L774
  Dow 50 Value Dividend Portfolio, 063 CRBDMX 01/08/26 $10.2525 $10.1128 $0.4203 4.10% 12/19/25 03/18/27 RBPD063 40178N382, 40178N390, 40178N408, 40178N416
  Flaherty & Crumrine Preferred Portfolio, 063 CPREMX 01/08/26 $9.7028 $9.4860 $0.5988 6.17% 10/08/25 10/13/27 PREF063 40178M145, 40178M152, 40178M160, 40178M178
  Large-Cap Core Portfolio, 048 CACEWX 01/08/26 $10.9544 $10.7032 $0.0705 0.64% 08/21/25 08/23/27 LCAP048 40178L261, 40178L279, 40178L287, 40178L295
  Quality High Dividend Portfolio, 006 CQHDFX 01/08/26 $10.2801 $10.0474 $0.4237 4.12% 12/19/25 12/20/27 QHD006 40178N424, 40178N432, 40178N440, 40178N457
  S&P Dividend Aristocrats Select 25 Strategy Portfolio, 041 CACTPX 01/08/26 $10.1885 $10.0500 $0.238 2.34% 10/27/25 01/27/27 ACTS041 40178M301, 40178M319, 40178M327, 40178M335
  SMid Dividend Strength Portfolio, 024 CSMDYX 01/08/26 $10.5518 $10.3116 $0.256 2.43% 07/21/25 07/21/27 SMDS024 40178K321, 40178K339, 40178K347, 40178K354
  US 50 Dividend Strategy Portfolio, 046 CUFTUX 01/08/26 $9.8941 $9.7611 $0.6499 6.57% 10/27/25 01/27/27 UFTY046 40178M384, 40178M392, 40178M400, 40178M418
  US Capital Strength Portfolio, 031 CUCAFX 01/08/26 $10.4972 $10.2585 $0.0964 0.92% 11/17/25 11/17/27 UCAP031 40178M723, 40178M731, 40178M749, 40178M756
  US High Dividend Strategy Portfolio, 058 CUSHHX 01/08/26 $10.2583 $10.1185 $0.4123 4.02% 10/20/25 01/25/27 USHD058 40178M269, 40178M277, 40178M285, 40178M293
  US Low Volatility Strategy Portfolio, 053 CULOCX 01/08/26 $10.2509 $10.1113 $0.2188 2.13% 11/03/25 02/03/27 ULOW053 40178M608, 40178M616, 40178M624, 40178M632

International/Global

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  abrdn Blue Chip International Portfolio, 009 CBCIIX 01/08/26 $10.6730 $10.4295 $0.1011 0.95% 11/20/25 11/22/27 ABCI009 40178M806, 40178M814, 40178M822, 40178M830
  Emerging Markets Dividend Strategy Portfolio, 046 CGEMUX 01/08/26 $10.8609 $10.6122 $0.4431 4.08% 07/07/25 07/07/27 GEMD046 40178K164, 40178K172, 40178K180, 40178K198
  European Capital Strength Portfolio, 031 CECPFX 01/08/26 $10.7534 $10.5077 $0.21 1.95% 11/17/25 11/17/27 ECAP031 40178M764, 40178M772, 40178M780, 40178M798

Theme/Sector

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  abrdn Medical Science Innovation Portfolio, 011 CTMEKX 01/08/26 $10.9611 $10.7097 $0.0209 0.19% 11/17/25 11/17/27 TMED011 40178M681, 40178M699, 40178M707, 40178M715
  Energy Innovation Portfolio, 008 CGEIHX 01/08/26 $10.8822 $10.6329 $0.1627 1.50% 08/08/25 08/09/27 EIP008 40178K669, 40178K677, 40178K685, 40178K693
  Financials Portfolio, 026 CFINAX 01/08/26 $10.5447 $10.3047 $0.166 1.57% 10/06/25 10/06/27 FIN026 40178L782, 40178L790, 40178L808, 40178L816
  Health Care Portfolio, 039 CHCRNX 01/08/26 $11.8459 $11.5701 $0.1225 1.03% 07/17/25 07/19/27 DHS039 40178K206, 40178K214, 40178K222, 40178K230
  NDR Precious Metals & Miners Portfolio, 029 CPMMDX 01/08/26 $11.7560 $11.4827 $0.0202 0.17% 10/20/25 10/20/27 PMMP029 40178M228, 40178M236, 40178M244, 40178M251
  Technological Innovation Portfolio, 026 CATEAX 01/08/26 $10.5371 $10.2973 $0.0417 0.40% 09/15/25 09/15/27 ATEC026 40178L501, 40178L519, 40178L527, 40178L535
  Technology Portfolio, 038 CTECMX 01/08/26 $9.5954 $9.3815 $0.0287 0.30% 10/27/25 10/27/27 DTS038 40178M343, 40178M350, 40178M368, 40178M376
  Utilities Portfolio, 042 COPURX 01/08/26 $10.1282 $9.8997 $0.2667 2.63% 07/17/25 07/19/27 DUS042 40178K248, 40178K255, 40178K263, 40178K271

Multi-Asset

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  Balanced Income Builder Portfolio, 053 CGBICX 01/08/26 $10.1767 $9.9468 $0.4398 4.32% 11/24/25 11/24/27 GBIB053 40178M186, 40178M194, 40178M202, 40178M210
  Core Four 60/40 Allocation Portfolio, 033 CCFOHX 01/08/26 $10.3504 $10.2089 $0.3606 3.48% 11/20/25 02/24/27 CFOR033 40178N184, 40178N192, 40178N200, 40178N218
  Diversified Credit Portfolio of ETFs, 027 CDCPBX 01/08/26 $10.1044 $9.8765 $0.5101 5.05% 08/14/25 08/16/27 DCP027 40178K743, 40178K750, 40178K768, 40178K776
  Floating Rate & Dividend Growth Portfolio, 033 CFRDHX 01/08/26 $10.3268 $10.0928 $0.5444 5.27% 11/24/25 11/24/27 FRDG033 40178M426, 40178M434, 40178M442, 40178M459
  Global Balanced Income Builder Portfolio, 026 CGBLAX 01/08/26 $10.3700 $10.1348 $0.3993 3.85% 09/29/25 09/29/27 GBAL026 40178L543, 40178L550, 40178L568, 40178L576
  Total Income Portfolio, 034 CTIPIX 01/08/26 $10.0150 $9.7896 $0.5693 5.68% 08/28/25 08/30/27 TIP034 40178L303, 40178L311, 40178L329, 40178L337

Taxable CEF Income

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  Convertible & Income Portfolio of Funds, 044 CECISX 01/08/26 $10.4729 $10.2349 $0.6891 6.58% 11/24/25 11/24/27 DCEC044 40178L626, 40178L634, 40178L642, 40178L659
  Corporate High Yield & Income Portfolio of CEFs, 049 CEIPUX 01/08/26 $9.6573 $9.4417 $1.0776 11.16% 10/06/25 10/06/27 DCEI049 40178L667, 40178L675, 40178L683, 40178L691
  Covered Call & Income Portfolio of CEFs, 057 CCCIDX 01/08/26 $10.0746 $9.8475 $0.7939 7.88% 10/06/25 10/06/27 COV057 40178M103, 40178M111, 40178M129, 40178M137
  Discount Opportunity Strategy Portfolio of CEFs, 030 CGDOEX 01/08/26 $10.2372 $10.0057 $0.7531 7.36% 10/06/25 10/06/27 GDOS030 40178L709, 40178L717, 40178L725, 40178L733
  Diversified Income Wave Portfolio, 099 CFWAIX 01/08/26 $9.9663 $9.8319 $1.0379 10.41% 11/03/25 02/03/27 FWAV099 40178M525, 40178M533, 40178M541, 40178M558
  Equity & Income Portfolio of CEFs, 059 CCEEIX 01/08/26 $10.1860 $9.9559 $0.8381 8.23% 12/08/25 12/08/27 CEEI059 40178N267, 40178N275, 40178N283, 40178N291
  Income & Treasury Limited Duration Portfolio of Funds, 086 CFICIX 01/08/26 $10.0458 $9.9100 $0.8839 8.80% 12/11/25 03/11/27 FICE086 40178N341, 40178N358, 40178N366, 40178N374
  Senior Loan & Income Portfolio of CEFs, 050 CESLYX 01/08/26 $9.6416 $9.4265 $1.1346 11.77% 10/06/25 10/06/27 DCES050 40178L824, 40178L832, 40178L840, 40178L857
  Strategic Income Portfolio, 123 CFSIZX 01/08/26 $10.0565 $9.8299 $0.938 9.33% 12/08/25 12/08/27 FSIP123 40178N309, 40178N317, 40178N325, 40178N333

Municipal CEF

CUSIPs Trust Ticker
Symbol
Price Date Offer1 Liquidation3 Hist. Annual
Dividend
Dist. Per Unit7
Hist. Annual
Dividend
Dist. Rate7
Deposit Date Mandatory
Maturity
Date
Fact Card Prospectus
  California Municipal Portfolio of Funds, 055 CECAEX 01/08/26 $10.0831 $9.8558 $0.508 5.04% 11/25/25 11/29/27 DCCA055 40178M640, 40178M657, 40178M665, 40178M673
  National Municipal Portfolio of CEFs, 069 CENMSX 01/08/26 $9.9512 $9.7275 $0.606 6.09% 11/03/25 11/03/27 DCEN069 40178M566, 40178M574, 40178M582, 40178M590
  New York Municipal Portfolio of Funds, 046 CENYUX 01/08/26 $10.0258 $9.8001 $0.4733 4.72% 11/25/25 11/29/27 DCNY046 40178M483, 40178M491, 40178M509, 40178M517

1 The "offer" price represents the net asset value of one unit of a trust plus a transactional sales charge, if applicable.

2 The "wrap fee" price represents the offer price of one unit of a trust less applicable fee-based CUSIP-related expenses.

The "liquidation" price represents the net asset value of one unit of a trust and includes any front-end and deferred sales charges, if applicable, accounted for if investors liquidate units.

4 Estimated Annual Income represents the principal amount of the underlying bonds held in the Trust and does not take into account the impact of the sale of bonds to pay expenses of the trust.

5 ECR is computed by dividing the estimated net annual interest income per unit by the public offering price.

6 ELTR is calculated using a formula that (i) takes into consideration, and determines and factors in the relative weightings of, the market values, yields (taking into account the amortization of premiums and the accretion of discounts) and estimated retirements of all the bonds in the trust and (ii) takes into account the expenses and sales charge associated with each unit of the trust. Therefore, there is no assurance that the ECR and ELTR will be realized in the future.

7 The Historical Annual Dividend Distribution (HADD) per unit is as of the day prior to trust deposit and subject to change. The HADD per unit is the weighted average of the trailing twelve-month distributions paid by the securities included in the portfolio. The HADD rate is based on the HADD divided by the current offer price and recalculated daily. Both the HADD per unit and the rate shown are reduced to account for the effects of fees and expenses, which will be incurred when investing in the Trust. The HADD per unit and rate will vary due to certain factors that may include, but are not limited to, a change in the dividends paid by issuers, a change in Trust expenses or the sale or maturity of securities in the portfolio. There is no guarantee the issuers of the securities included in the Trust will declare dividends or distributions in the future. The HADD of the securities included in the Trust is for illustrative purposes only and is not indicative of the Trust’s distribution. Due to the negative economic impact across many industries caused by the recent COVID-19 outbreak, certain issuers of the securities included in the trust may elect to reduce the amount of, or cancel entirely, dividends and/or distributions paid in the future. As a result, the HADD figure will likely be higher, and in some cases significantly higher, than the actual distribution rate achieved by the trust.

† Anticipated date of deposit. Information contained herein and in the preliminary prospectus is subject to completion or amendment. A registration statement relating to these securities has been filed with the Securities and Exchange Commission, but has not yet become effective. These securities may not be sold nor may offers to buy be accepted prior to the time the registration statement becomes effective. This communication shall not constitute an offer to sell or a solicitation of any offer to buy; nor shall there be any sale of these securities in any state in which such offer, solicitation, or sale would be unlawful prior to registration or qualification under the securities laws of any such state.

Past performance does not guarantee future results. Investment return and principal value will fluctuate with changes in market conditions. Investors units, when redeemed, may be worth more or less than their original cost.  

Form 8937 & Appendix (2024)
Form 8937 & Appendix (2023)
Form 8937 & Appendix (2022)
Form 8937 & Appendix (2021)
Form 8937 & Appendix (2019)
Form 8937 & Appendix (2018)
Form 8937 & Appendix (2017)
Form 8937 & Appendix (2016)
Form 8937 & Appendix (2015)
Form 8937 & Appendix (2014)



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