|
abrdn Blue Chip International Portfolio, 004 |
CBCIDX |
12/24/2024 |
$0.0000 |
$10.0408 |
5/17/2023 |
5/19/2025
|
ABCI004 |
40177Q725, 40177Q733, 40177Q741, 40177Q758 |
|
abrdn Blue Chip International Portfolio, 005 |
CBCIEX |
12/24/2024 |
$0.0000 |
$10.6988 |
11/20/2023 |
11/20/2025
|
ABCI005 |
40177V666, 40177V674, 40177V682, 40177V690 |
|
abrdn Blue Chip International Portfolio, 006 |
CBCIFX |
12/24/2024 |
$0.0000 |
$9.5932 |
5/20/2024 |
5/20/2026
|
ABCI006 |
40178A182, 40178A190, 40178A208, 40178A216 |
|
abrdn Medical Science Innovation Portfolio, 007 |
CTMEGX |
12/24/2024 |
$0.0000 |
$11.3731 |
11/15/2023 |
11/17/2025
|
TMED007 |
40177V583, 40177V591, 40177V609, 40177V617 |
|
abrdn Medical Science Innovation Portfolio, 008 |
CTMEHX |
12/24/2024 |
$0.0000 |
$9.6966 |
5/20/2024 |
5/20/2026
|
TMED008 |
40178A265, 40178A273, 40178A281, 40178A299 |
|
Advisory Series: Investment Grade Corporate 3-7 Year Trust, 002 |
CAGIBX |
12/24/2024 |
$0.0000 |
$192.5700 |
6/27/2018 |
5/15/2025
|
AGIGS002 |
40173X443 |
|
Advisory Series: Investment Grade Corporate Trust 3-7 Year (FEE-BASED ONLY), 001 |
CAGIAX |
12/24/2024 |
$0.0000 |
$98.2400 |
4/18/2018 |
3/25/2025
|
AGIGS001 |
40173V124 |
|
ARK Early Stage Disruptors Portfolio, 005 |
CARKEX |
12/24/2024 |
$0.0000 |
$10.3074 |
5/3/2023 |
5/5/2025
|
ARKD005 |
40177Q568, 40177Q576, 40177Q584, 40177Q592 |
|
Balanced Income Builder Portfolio, 042 |
CGBIQX |
12/24/2024 |
$0.0000 |
$9.8839 |
1/19/2023 |
1/21/2025
|
GBIB042 |
40177N227, 40177N235, 40177N243, 40177N250 |
|
Balanced Income Builder Portfolio, 043 |
CGBIRX |
12/24/2024 |
$0.0000 |
$9.9159 |
4/20/2023 |
4/21/2025
|
GBIB043 |
40177Q386, 40177Q394, 40177Q402, 40177Q410 |
|
Balanced Income Builder Portfolio, 044 |
CGBISX |
12/24/2024 |
$0.0000 |
$10.2164 |
7/19/2023 |
7/21/2025
|
GBIB044 |
40177R822, 40177R830, 40177R848, 40177R855 |
|
Balanced Income Builder Portfolio, 045 |
CGBITX |
12/24/2024 |
$0.0000 |
$11.2762 |
10/18/2023 |
10/20/2025
|
GBIB045 |
40177U825, 40177U833, 40177U841, 40177U858 |
|
Balanced Income Builder Portfolio, 046 |
CGBIUX |
12/24/2024 |
$0.0000 |
$10.1778 |
1/22/2024 |
1/22/2026
|
GBIB046 |
40177W623, 40177W631, 40177W649, 40177W656 |
|
Balanced Income Builder Portfolio, 047 |
CGBIVX |
12/24/2024 |
$0.0000 |
$10.1961 |
4/22/2024 |
4/22/2026
|
GBIB047 |
40177Y223, 40177Y231, 40177Y249, 40177Y256 |
|
Balanced Income Builder Portfolio, 048 |
CGBIWX |
12/24/2024 |
$0.0000 |
$9.8846 |
7/22/2024 |
7/22/2026
|
GBIB048 |
40178B149, 40178B156, 40178B164, 40178B172 |
|
Blue Chip Dividend Portfolio, 011 |
CBCDKX |
12/24/2024 |
$0.0000 |
$11.4798 |
2/16/2023 |
2/18/2025
|
BCDV011 |
40177P107, 40177P115, 40177P123, 40177P131 |
|
Blue Chip Dividend Portfolio, 012 |
CBCDLX |
12/24/2024 |
$0.0000 |
$12.0623 |
5/17/2023 |
5/19/2025
|
BCDV012 |
40177R103, 40177R111, 40177R129, 40177R137 |
|
Blue Chip Dividend Portfolio, 013 |
CBCDMX |
12/24/2024 |
$0.0000 |
$10.7308 |
8/17/2023 |
8/18/2025
|
BCDV013 |
40177T687, 40177T695, 40177T703, 40177T711 |
|
Blue Chip Dividend Portfolio, 014 |
CBCDNX |
12/24/2024 |
$0.0000 |
$11.2071 |
11/20/2023 |
11/20/2025
|
BCDV014 |
40177V708, 40177V716, 40177V724, 40177V732 |
|
Blue Chip Dividend Portfolio, 015 |
CBCDOX |
12/24/2024 |
$0.0000 |
$10.2621 |
2/22/2024 |
2/23/2026
|
BCDV015 |
40177X308, 40177X316, 40177X324, 40177X332 |
|
Blue Chip Dividend Portfolio, 016 |
CBCDPX |
12/24/2024 |
$0.0000 |
$10.4506 |
5/20/2024 |
5/20/2026
|
BCDV016 |
40178A307, 40178A315, 40178A323, 40178A331 |
|
Blue Chip Dividend Portfolio, 017 |
CBCDQX |
12/24/2024 |
$0.0000 |
$9.8983 |
8/19/2024 |
8/19/2026
|
BCDV017 |
40178B644, 40178B651, 40178B669, 40178B677 |
|
Blue Chip Growth Portfolio, 037 |
CBCHLX |
12/24/2024 |
$0.0000 |
$14.9187 |
2/16/2023 |
2/18/2025
|
BCHP037 |
40177P149, 40177P156, 40177P164, 40177P172 |
|
Blue Chip Growth Portfolio, 038 |
CBCHMX |
12/24/2024 |
$0.0000 |
$13.5371 |
5/17/2023 |
5/19/2025
|
BCHP038 |
40177R145, 40177R152, 40177R160, 40177R178 |
|
Blue Chip Growth Portfolio, 039 |
CBCHNX |
12/24/2024 |
$0.0000 |
$14.6815 |
8/17/2023 |
8/18/2025
|
BCHP039 |
40177T729, 40177T737, 40177T745, 40177T752 |
|
Blue Chip Growth Portfolio, 040 |
CBCHOX |
12/24/2024 |
$0.0000 |
$12.9234 |
11/20/2023 |
11/20/2025
|
BCHP040 |
40177V740, 40177V757, 40177V765, 40177V773 |
|
Blue Chip Growth Portfolio, 041 |
CBCHPX |
12/24/2024 |
$0.0000 |
$10.7891 |
2/22/2024 |
2/23/2026
|
BCHP041 |
40177X340, 40177X357, 40177X365, 40177X373 |
|
Blue Chip Growth Portfolio, 042 |
CBCHQX |
12/24/2024 |
$0.0000 |
$10.9144 |
5/20/2024 |
5/20/2026
|
BCHP042 |
40178A349, 40178A356, 40178A364, 40178A372 |
|
Blue Chip Growth Portfolio, 043 |
CBCHRX |
12/24/2024 |
$0.0000 |
$10.7659 |
8/19/2024 |
8/19/2026
|
BCHP043 |
40178B685, 40178B693, 40178B701, 40178B719 |
|
Blue Chip Multinationals Portfolio, 024 |
CMNTYX |
12/24/2024 |
$0.0000 |
$14.6198 |
2/8/2023 |
2/10/2025
|
MNTP024 |
40177N607, 40177N615, 40177N623, 40177N631 |
|
Blue Chip Multinationals Portfolio, 025 |
CMNTZX |
12/24/2024 |
$0.0000 |
$12.4342 |
8/8/2023 |
8/8/2025
|
MNTP025 |
40177T489, 40177T497, 40177T505, 40177T513 |
|
Blue Chip Multinationals Portfolio, 026 |
CMNTAX |
12/24/2024 |
$0.0000 |
$10.5630 |
2/22/2024 |
2/23/2026
|
MNTP026 |
40177X381, 40177X399, 40177X407, 40177X415 |
|
Blue Chip Value Portfolio, 006 |
CBCVFX |
12/24/2024 |
$0.0000 |
$11.1342 |
2/16/2023 |
2/18/2025
|
BCVA006 |
40177P180, 40177P198, 40177P206, 40177P214 |
|
Blue Chip Value Portfolio, 007 |
CBCVGX |
12/24/2024 |
$0.0000 |
$11.0404 |
8/17/2023 |
8/18/2025
|
BCVA007 |
40177T760, 40177T778, 40177T786, 40177T794 |
|
Blue Chip Value Portfolio, 008 |
CBCVHX |
12/24/2024 |
$0.0000 |
$10.3781 |
2/22/2024 |
2/23/2026
|
BCVA008 |
40177X423, 40177X431, 40177X449, 40177X456 |
|
Build America Bonds Trust, 003 |
CGBACX |
12/24/2024 |
$0.0000 |
$476.2000 |
8/20/2010 |
7/1/2042
|
GBAB003 |
18387Q529, 18387Q537 |
|
Build America Bonds Trust, 004 |
CGBADX |
12/24/2024 |
$0.0000 |
$325.3700 |
9/10/2010 |
8/1/2042
|
GBAB004 |
18387R105, 18387R113 |
|
Build America Bonds Trust, 005 |
CGBAEX |
12/24/2024 |
$0.0000 |
$396.4600 |
10/7/2010 |
7/1/2042
|
GBAB005 |
40167C488, 40167C496 |
|
Build America Bonds Trust, 006 |
CGBAFX |
12/24/2024 |
$0.0000 |
$339.2300 |
11/16/2010 |
7/1/2045
|
GBAB006 |
40167C868, 40167C876 |
|
Build America Bonds Trust, 007 |
CGBAGX |
12/24/2024 |
$0.0000 |
$301.9100 |
1/14/2011 |
1/1/2042
|
GBAB007 |
40167R782, 40167R790 |
|
California Municipal Portfolio of CEFs, 044 |
CECASX |
12/24/2024 |
$0.0000 |
$9.7762 |
3/8/2023 |
3/10/2025
|
DCCA044 |
40177P446, 40177P453, 40177P461, 40177P479 |
|
California Municipal Portfolio of CEFs, 045 |
CECATX |
12/24/2024 |
$0.0000 |
$10.1233 |
6/7/2023 |
6/9/2025
|
DCCA045 |
40177R483, 40177R491, 40177R509, 40177R517 |
|
California Municipal Portfolio of CEFs, 046 |
CECAUX |
12/24/2024 |
$0.0000 |
$10.2743 |
9/7/2023 |
9/8/2025
|
DCCA046 |
40177U189, 40177U197, 40177U205, 40177U213 |
|
California Municipal Portfolio of CEFs, 047 |
CECAVX |
12/24/2024 |
$0.0000 |
$9.9359 |
12/6/2023 |
12/8/2025
|
DCCA047 |
40177W102, 40177W110, 40177W128, 40177W136 |
|
California Municipal Portfolio of CEFs, 048 |
CECAWX |
12/24/2024 |
$0.0000 |
$9.5675 |
3/7/2024 |
3/9/2026
|
DCCA048 |
40177X605, 40177X613, 40177X621, 40177X639 |
|
California Municipal Portfolio of CEFs, 049 |
CECAYX |
12/24/2024 |
$0.0000 |
$9.6012 |
6/6/2024 |
6/8/2026
|
DCCA049 |
40178A463, 40178A471, 40178A489, 40178A497 |
|
California Municipal Portfolio of Funds, 050 |
CECAZX |
12/24/2024 |
$0.0000 |
$9.1735 |
9/9/2024 |
9/9/2026
|
DCCA050 |
40178C386, 40178C394, 40178C402, 40178C410 |
|
Consumer Innovation Portfolio, 005 |
CCNSEX |
12/24/2024 |
$0.0000 |
$14.3243 |
3/27/2023 |
3/27/2025
|
CNSR005 |
40177P602, 40177P610, 40177P628, 40177P636 |
|
Consumer Innovation Portfolio, 006 |
CCNSFX |
12/24/2024 |
$0.0000 |
$12.2720 |
9/19/2023 |
9/19/2025
|
CNSR006 |
40177U346, 40177U353, 40177U361, 40177U379 |
|
Convertible & Income Portfolio of Funds, 039 |
CECINX |
12/24/2024 |
$0.0000 |
$11.4852 |
4/5/2023 |
4/7/2025
|
DCEC039 |
40177P743, 40177P750, 40177P768, 40177P776 |
|
Convertible & Income Portfolio of Funds, 040 |
CECIOX |
12/24/2024 |
$0.0000 |
$11.8570 |
10/4/2023 |
10/6/2025
|
DCEC040 |
40177U502, 40177U510, 40177U528, 40177U536 |
|
Convertible & Income Portfolio of Funds, 041 |
CECIPX |
12/24/2024 |
$0.0000 |
$10.5292 |
4/5/2024 |
4/6/2026
|
DCEC041 |
40177Y629, 40177Y637, 40177Y645, 40177Y652 |
|
Core Four 60/40 Allocation Portfolio, 025 |
CCFOZX |
12/24/2024 |
$0.0000 |
$11.4174 |
11/20/2023 |
2/24/2025
|
CFOR025 |
40177V823, 40177V831, 40177V849, 40177V856 |
|
Core Four 60/40 Allocation Portfolio, 026 |
CCFOAX |
12/24/2024 |
$0.0000 |
$10.3039 |
2/22/2024 |
5/22/2025
|
CFOR026 |
40177Y108, 40177Y116, 40177Y124, 40177Y132 |
|
Core Four 60/40 Allocation Portfolio, 027 |
CCFOBX |
12/24/2024 |
$0.0000 |
$10.2998 |
5/22/2024 |
8/19/2025
|
CFOR027 |
40178A422, 40178A430, 40178A448, 40178A455 |
|
Core Four 60/40 Allocation Portfolio, 028 |
CCFOCX |
12/24/2024 |
$0.0000 |
$9.8993 |
8/19/2024 |
11/20/2025
|
CFOR028 |
40178B768, 40178B776, 40178B784, 40178B792 |
|
Corporate High Yield & Income Portfolio of CEFs, 044 |
CEIPPX |
12/24/2024 |
$0.0000 |
$10.8786 |
4/5/2023 |
4/7/2025
|
DCEI044 |
40177P784, 40177P792, 40177P800, 40177P818 |
|
Corporate High Yield & Income Portfolio of CEFs, 045 |
CEIPQX |
12/24/2024 |
$0.0000 |
$10.9328 |
10/5/2023 |
10/6/2025
|
DCEI045 |
40177U544, 40177U551, 40177U569, 40177U577 |
|
Corporate High Yield & Income Portfolio of CEFs, 046 |
CEIPRX |
12/24/2024 |
$0.0000 |
$9.0495 |
4/5/2024 |
4/6/2026
|
DCEI046 |
40177Y306, 40177Y314, 40177Y322, 40177Y330 |
|
Covered Call & Income Portfolio of CEFs, 052 |
CCCIYX |
12/24/2024 |
$0.0000 |
$11.3339 |
4/5/2023 |
4/7/2025
|
COV052 |
40177Q220, 40177Q238, 40177Q246, 40177Q253 |
|
Covered Call & Income Portfolio of CEFs, 053 |
CCCIZX |
12/24/2024 |
$0.0000 |
$11.9316 |
10/5/2023 |
10/6/2025
|
COV053 |
40177U742, 40177U759, 40177U767, 40177U775 |
|
Covered Call & Income Portfolio of CEFs, 054 |
CCCIAX |
12/24/2024 |
$0.0000 |
$10.6173 |
4/8/2024 |
4/8/2026
|
COV054 |
40177Y660, 40177Y678, 40177Y686, 40177Y694 |
|
Discount Opportunity Strategy Portfolio of CEFs, 025 |
CGDOZX |
12/24/2024 |
$0.0000 |
$10.5738 |
4/5/2023 |
4/7/2025
|
GDOS025 |
40177P826, 40177P834, 40177P842, 40177P859 |
|
Discount Opportunity Strategy Portfolio of CEFs, 026 |
CGDOAX |
12/24/2024 |
$0.0000 |
$11.3322 |
10/5/2023 |
10/6/2025
|
GDOS026 |
40177U627, 40177U635, 40177U643, 40177U650 |
|
Discount Opportunity Strategy Portfolio of CEFs, 027 |
CGDOBX |
12/24/2024 |
$0.0000 |
$10.3671 |
4/5/2024 |
4/6/2026
|
GDOS027 |
40177X845, 40177X852, 40177X860, 40177X878 |
|
Diversified Credit Portfolio of ETFs, 022 |
CDCPVX |
12/24/2024 |
$0.0000 |
$9.7552 |
2/13/2023 |
2/13/2025
|
DCP022 |
40177N722, 40177N730, 40177N748, 40177N755 |
|
Diversified Credit Portfolio of ETFs, 023 |
CDCPWX |
12/24/2024 |
$0.0000 |
$9.8837 |
8/14/2023 |
8/14/2025
|
DCP023 |
40177T604, 40177T612, 40177T620, 40177T638 |
|
Diversified Credit Portfolio of ETFs, 024 |
CDCPYX |
12/24/2024 |
$0.0000 |
$9.6930 |
2/14/2024 |
2/17/2026
|
DCP024 |
40177X225, 40177X233, 40177X241, 40177X258 |
|
Diversified Dividend & Income Portfolio, 038 |
CDDIMX |
12/24/2024 |
$0.0000 |
$12.1646 |
3/8/2023 |
3/10/2025
|
DDI038 |
40177P529, 40177P537, 40177P545, 40177P552 |
|
Diversified Dividend & Income Portfolio, 039 |
CDDINX |
12/24/2024 |
$0.0000 |
$11.3041 |
9/7/2023 |
9/8/2025
|
DDI039 |
40177U221, 40177U239, 40177U247, 40177U254 |
|
Diversified Dividend & Income Portfolio, 040 |
CDDIOX |
12/24/2024 |
$0.0000 |
$10.3211 |
3/7/2024 |
3/9/2026
|
DDI040 |
40177X647, 40177X654, 40177X662, 40177X670 |
|
Diversified Income Wave Portfolio, 091 |
CFWAAX |
12/24/2024 |
$0.0000 |
$10.8149 |
11/2/2023 |
2/3/2025
|
FWAV091 |
40177V385, 40177V393, 40177V401, 40177V419 |
|
Diversified Income Wave Portfolio, 092 |
CFWABX |
12/24/2024 |
$0.0000 |
$9.9895 |
2/2/2024 |
5/5/2025
|
FWAV092 |
40177W748, 40177W755, 40177W763, 40177W771 |
|
Diversified Income Wave Portfolio, 093 |
CFWACX |
12/24/2024 |
$0.0000 |
$10.1662 |
5/3/2024 |
8/5/2025
|
FWAV093 |
40177Y769, 40177Y777, 40177Y785, 40177Y793 |
|
Diversified Income Wave Portfolio, 094 |
CFWADX |
12/24/2024 |
$0.0000 |
$10.0331 |
8/5/2024 |
11/4/2025
|
FWAV094 |
40178B362, 40178B370, 40178B388, 40178B396 |
|
Dividend Growth Portfolio, 017 |
CDGPQX |
12/24/2024 |
$0.0000 |
$14.6345 |
2/18/2020 |
2/18/2025
|
DGP017 |
40175F804, 40175F812, 40175F820, 40175F838 |
|
Dividend Growth Portfolio, 018 |
CDGPRX |
12/24/2024 |
$0.0000 |
$14.7891 |
8/18/2020 |
8/18/2025
|
DGP018 |
40175X425, 40175X433, 40175X441, 40175X458 |
|
Dividend Growth Portfolio, 019 |
CDGPSX |
12/24/2024 |
$0.0000 |
$11.9541 |
2/19/2021 |
2/19/2026
|
DGP019 |
40176W301, 40176W319, 40176W327, 40176W335 |
|
Dividend Growth Portfolio, 020 |
CDGPTX |
12/24/2024 |
$0.0000 |
$10.8924 |
8/19/2021 |
8/19/2026
|
DGP020 |
40177B348, 40177B355, 40177B363, 40177B371 |
|
Dividend Growth Portfolio, 021 |
CDGPUX |
12/24/2024 |
$0.0000 |
$10.4307 |
2/22/2022 |
2/22/2027
|
DGP021 |
40177F141, 40177F158, 40177F166, 40177F174 |
|
Dividend Growth Portfolio, 022 |
CDGPVX |
12/24/2024 |
$0.0000 |
$11.4393 |
8/24/2022 |
8/24/2027
|
DGP022 |
40177K629, 40177K637, 40177K645, 40177K652 |
|
Dividend Growth Portfolio, 023 |
CDGPWX |
12/24/2024 |
$0.0000 |
$11.5275 |
2/13/2023 |
2/14/2028
|
DGP023 |
40177N763, 40177N771, 40177N789, 40177N797 |
|
Dividend Growth Portfolio, 024 |
CDGPYX |
12/24/2024 |
$0.0000 |
$10.8656 |
8/15/2023 |
8/15/2028
|
DGP024 |
40177T646, 40177T653, 40177T661, 40177T679 |
|
Dividend Growth Portfolio, 025 |
CDGPZX |
12/24/2024 |
$0.0000 |
$10.4338 |
2/15/2024 |
2/15/2029
|
DGP025 |
40177X266, 40177X274, 40177X282, 40177X290 |
|
Dividend Strength Portfolio, 049 |
CGROYX |
12/24/2024 |
$0.0000 |
$11.1848 |
2/22/2023 |
2/24/2025
|
GROW049 |
40177P263, 40177P271, 40177P289, 40177P297 |
|
Dividend Strength Portfolio, 050 |
CGROZX |
12/24/2024 |
$0.0000 |
$12.2996 |
5/24/2023 |
5/27/2025
|
GROW050 |
40177R343, 40177R350, 40177R368, 40177R376 |
|
Dividend Strength Portfolio, 051 |
CGROAX |
12/24/2024 |
$0.0000 |
$11.2412 |
8/21/2023 |
8/21/2025
|
GROW051 |
40177U148, 40177U155, 40177U163, 40177U171 |
|
Dividend Strength Portfolio, 052 |
CGROBX |
12/24/2024 |
$0.0000 |
$11.6242 |
11/20/2023 |
11/20/2025
|
GROW052 |
40177V781, 40177V799, 40177V807, 40177V815 |
|
Dividend Strength Portfolio, 053 |
CGROCX |
12/24/2024 |
$0.0000 |
$10.4806 |
2/28/2024 |
2/27/2026
|
GROW053 |
40177X506, 40177X514, 40177X522, 40177X530 |
|
Dividend Strength Portfolio, 054 |
CGRODX |
12/24/2024 |
$0.0000 |
$10.6817 |
5/28/2024 |
5/28/2026
|
GROW054 |
40178A224, 40178A232, 40178A240, 40178A257 |
|
Dividend Strength Portfolio, 055 |
CGROEX |
12/24/2024 |
$0.0000 |
$9.6617 |
8/26/2024 |
8/26/2026
|
GROW055 |
40178C105, 40178C113, 40178C121, 40178C139 |
|
Dow 10 Portfolio, 055 |
CDOWEX |
12/24/2024 |
$0.0000 |
$10.5897 |
10/4/2023 |
1/16/2025
|
DDP055 |
40177U585, 40177U593, 40177U601, 40177U619 |
|
Dow 10 Portfolio, 056 |
CDOWFX |
12/24/2024 |
$0.0000 |
$9.7354 |
1/16/2024 |
4/7/2025
|
DDP056 |
40177W300, 40177W318, 40177W326, 40177W334 |
|
Dow 10 Portfolio, 057 |
CDOWGX |
12/24/2024 |
$0.0000 |
$10.2280 |
4/5/2024 |
7/8/2025
|
DDP057 |
40177Y181, 40177Y199, 40177Y207, 40177Y215 |
|
Dow 10 Portfolio, 058 |
CDOWHX |
12/24/2024 |
$0.0000 |
$10.3380 |
7/8/2024 |
10/6/2025
|
DDP058 |
40178A703, 40178A711, 40178A729, 40178A737 |
|
Dow 50 Value Dividend Portfolio, 055 |
CRBDEX |
12/24/2024 |
$0.0000 |
$10.3035 |
12/19/2023 |
3/18/2025
|
RBPD055 |
40177W227, 40177W235, 40177W243, 40177W250 |
|
Dow 50 Value Dividend Portfolio, 056 |
CRBDFX |
12/24/2024 |
$0.0000 |
$9.5221 |
3/18/2024 |
6/20/2025
|
RBPD056 |
40177X720, 40177X738, 40177X746, 40177X753 |
|
Dow 50 Value Dividend Portfolio, 057 |
CRBDGX |
12/24/2024 |
$0.0000 |
$10.1109 |
6/20/2024 |
9/19/2025
|
RBPD057 |
40178A588, 40178A596, 40178A604, 40178A612 |
|
Dow 50 Value Dividend Portfolio, 058 |
CRBDHX |
12/24/2024 |
$0.0000 |
$9.2728 |
9/19/2024 |
12/19/2025
|
RBPD058 |
40178C261, 40178C279, 40178C287, 40178C295 |
|
Emerging Markets Dividend Strategy Portfolio, 041 |
CGEMPX |
12/24/2024 |
$0.0000 |
$9.9003 |
1/12/2023 |
1/13/2025
|
GEMD041 |
40177M807, 40177M815, 40177M823, 40177M831 |
|
Emerging Markets Dividend Strategy Portfolio, 042 |
CGEMQX |
12/24/2024 |
$0.0000 |
$10.5454 |
7/6/2023 |
7/7/2025
|
GEMD042 |
40177R707, 40177R715, 40177R723, 40177R731 |
|
Emerging Markets Dividend Strategy Portfolio, 043 |
CGEMRX |
12/24/2024 |
$0.0000 |
$9.4460 |
1/16/2024 |
1/16/2026
|
GEMD043 |
40177W342, 40177W359, 40177W367, 40177W375 |
|
Energy Innovation Portfolio, 003 |
CGEICX |
12/24/2024 |
$0.0000 |
$9.7659 |
2/8/2023 |
2/10/2025
|
EIP003 |
40177N649, 40177N656, 40177N664, 40177N672 |
|
Energy Innovation Portfolio, 004 |
CGEIDX |
12/24/2024 |
$0.0000 |
$9.1262 |
8/8/2023 |
8/8/2025
|
EIP004 |
40177T521, 40177T539, 40177T547, 40177T554 |
|
Energy Innovation Portfolio, 005 |
CGEIEX |
12/24/2024 |
$0.0000 |
$10.0734 |
2/2/2024 |
2/2/2026
|
EIP005 |
40177W789, 40177W797, 40177W805, 40177W813 |
|
Equity & Income Portfolio of CEFs, 054 |
CCEEDX |
12/24/2024 |
$0.0000 |
$10.9202 |
6/7/2023 |
6/9/2025
|
CEEI054 |
40177R442, 40177R459, 40177R467, 40177R475 |
|
Equity & Income Portfolio of CEFs, 055 |
CCEEEX |
12/24/2024 |
$0.0000 |
$11.3320 |
12/6/2023 |
12/8/2025
|
CEEI055 |
40177W144, 40177W151, 40177W169, 40177W177 |
|
Equity & Income Portfolio of CEFs, 056 |
CCEEFX |
12/24/2024 |
$0.0000 |
$10.2872 |
6/6/2024 |
6/8/2026
|
CEEI056 |
40178A505, 40178A513, 40178A521, 40178A539 |
|
European Capital Strength Portfolio, 026 |
CECPAX |
12/24/2024 |
$0.0000 |
$9.2516 |
5/17/2023 |
5/19/2025
|
ECAP026 |
40177R269, 40177R277, 40177R285, 40177R293 |
|
European Capital Strength Portfolio, 027 |
CECPBX |
12/24/2024 |
$0.0000 |
$9.9331 |
11/15/2023 |
11/17/2025
|
ECAP027 |
40177V542, 40177V559, 40177V567, 40177V575 |
|
European Capital Strength Portfolio, 028 |
CECPCX |
12/24/2024 |
$0.0000 |
$8.7168 |
5/20/2024 |
5/20/2026
|
ECAP028 |
40178A141, 40178A158, 40178A166, 40178A174 |
|
Financials Portfolio, 021 |
CFINUX |
12/24/2024 |
$0.0000 |
$15.7345 |
4/5/2023 |
4/7/2025
|
FIN021 |
40177Q147, 40177Q154, 40177Q162, 40177Q170 |
|
Financials Portfolio, 022 |
CFINVX |
12/24/2024 |
$0.0000 |
$14.9135 |
10/5/2023 |
10/6/2025
|
FIN022 |
40177U668, 40177U676, 40177U684, 40177U692 |
|
Financials Portfolio, 023 |
CFINWX |
12/24/2024 |
$0.0000 |
$11.8780 |
4/11/2024 |
4/13/2026
|
FIN023 |
40177Y504, 40177Y512, 40177Y520, 40177Y538 |
|
Flaherty & Crumrine Preferred Portfolio, 057 |
CPREGX |
12/24/2024 |
$0.0000 |
$8.1818 |
2/8/2023 |
2/12/2025
|
PREF057 |
40177P404, 40177P412, 40177P420, 40177P438 |
|
Flaherty & Crumrine Preferred Portfolio, 058 |
CPREHX |
12/24/2024 |
$0.0000 |
$9.2395 |
4/12/2023 |
4/14/2025
|
PREF058 |
40177R400, 40177R418, 40177R426, 40177R434 |
|
Flaherty & Crumrine Preferred Portfolio, 059 |
CPREIX |
12/24/2024 |
$0.0000 |
$10.1194 |
10/11/2023 |
10/8/2025
|
PREF059 |
40177U783, 40177U791, 40177U809, 40177U817 |
|
Flaherty & Crumrine Preferred Portfolio, 060 |
CPREJX |
12/24/2024 |
$0.0000 |
$9.2396 |
4/10/2024 |
4/8/2026
|
PREF060 |
40177Y587, 40177Y595, 40177Y603, 40177Y611 |
|
Floating Rate & Dividend Growth Portfolio, 028 |
CFRDCX |
12/24/2024 |
$0.0000 |
$10.5430 |
5/1/2023 |
5/1/2025
|
FRDG028 |
40177Q527, 40177Q535, 40177Q543, 40177Q550 |
|
Floating Rate & Dividend Growth Portfolio, 029 |
CFRDDX |
12/24/2024 |
$0.0000 |
$11.0770 |
10/30/2023 |
10/30/2025
|
FRDG029 |
40177V302, 40177V310, 40177V328, 40177V336 |
|
Floating Rate & Dividend Growth Portfolio, 030 |
CFRDEX |
12/24/2024 |
$0.0000 |
$10.1175 |
5/2/2024 |
5/4/2026
|
FRDG030 |
40177Y728, 40177Y736, 40177Y744, 40177Y751 |
|
Global Balanced Income Builder Portfolio, 021 |
CGBLUX |
12/24/2024 |
$0.0000 |
$10.1802 |
3/30/2023 |
3/31/2025
|
GBAL021 |
40177P644, 40177P651, 40177P669, 40177P677 |
|
Global Balanced Income Builder Portfolio, 022 |
CGBLVX |
12/24/2024 |
$0.0000 |
$10.3448 |
9/29/2023 |
9/29/2025
|
GBAL022 |
40177U429, 40177U437, 40177U445, 40177U452 |
|
Global Balanced Income Builder Portfolio, 023 |
CGBLWX |
12/24/2024 |
$0.0000 |
$9.6939 |
4/1/2024 |
4/1/2026
|
GBAL023 |
40177X803, 40177X811, 40177X829, 40177X837 |
|
GNMA Portfolio, 018 |
CGNMQX |
12/24/2024 |
$0.0000 |
$2.5530 |
7/21/2011 |
10/15/2040
|
DGNMA018 |
40167J467, 40167J475 |
|
Health Care Portfolio, 034 |
CHCRIX |
12/24/2024 |
$0.0000 |
$9.3495 |
1/17/2023 |
1/17/2025
|
DHS034 |
40177N144, 40177N151, 40177N169, 40177N177 |
|
Health Care Portfolio, 035 |
CHCRJX |
12/24/2024 |
$0.0000 |
$9.4389 |
7/17/2023 |
7/17/2025
|
DHS035 |
40177R749, 40177R756, 40177R764, 40177R772 |
|
Health Care Portfolio, 036 |
CHCRKX |
12/24/2024 |
$0.0000 |
$9.6958 |
1/16/2024 |
1/16/2026
|
DHS036 |
40177W383, 40177W391, 40177W409, 40177W417 |
|
Income & Treasury Limited Duration Portfolio of Funds, 078 |
CFICAX |
12/24/2024 |
$0.0000 |
$9.9796 |
12/11/2023 |
3/11/2025
|
FICE078 |
40177W185, 40177W193, 40177W201, 40177W219 |
|
Income & Treasury Limited Duration Portfolio of Funds, 079 |
CFICBX |
12/24/2024 |
$0.0000 |
$9.9267 |
3/11/2024 |
6/10/2025
|
FICE079 |
40177X688, 40177X696, 40177X704, 40177X712 |
|
Income & Treasury Limited Duration Portfolio of Funds, 080 |
CFICCX |
12/24/2024 |
$0.0000 |
$9.8235 |
6/10/2024 |
9/11/2025
|
FICE080 |
40178A547, 40178A554, 40178A562, 40178A570 |
|
Income & Treasury Limited Duration Portfolio of Funds, 081 |
CFICDX |
12/24/2024 |
$0.0000 |
$9.5039 |
9/11/2024 |
12/11/2025
|
FICE081 |
40178C220, 40178C238, 40178C246, 40178C253 |
|
Investment Grade Corporate Bond Portfolio, 003 |
CIGCAX |
12/24/2024 |
$0.0000 |
$355.7300 |
6/13/2002 |
6/1/2034
|
DIGIT003 |
183845429 |
|
Investment Grade Corporate Bond Portfolio, 005 |
CIGCCX |
12/24/2024 |
$0.0000 |
$539.5700 |
12/4/2002 |
8/15/2034
|
DIGIT005 |
183845817 |
|
Investment Grade Corporate Trust 3-7 Year, 013 |
CGIGNX |
12/24/2024 |
$0.0000 |
$845.3300 |
10/19/2022 |
8/15/2029
|
GIGS013 |
40171A668, 40171A700 |
|
Investment Grade Corporate Trust 3-7 Year, 014 |
CGIGOX |
12/24/2024 |
$0.0000 |
$847.4800 |
11/16/2022 |
8/15/2029
|
GIGS014 |
40177M781, 40177M799 |
|
Investment Grade Corporate Trust 3-7 Year, 015 |
CGIGPX |
12/24/2024 |
$0.0000 |
$919.6800 |
12/8/2022 |
8/15/2029
|
GIGS015 |
40177N425, 40177N433 |
|
Investment Grade Corporate Trust 3-7 Year, 016 |
CGIGQX |
12/24/2024 |
$0.0000 |
$855.3300 |
1/18/2023 |
8/15/2029
|
GIGS016 |
40177P388, 40177P396 |
|
Investment Grade Corporate Trust 3-7 Year, 017 |
CGIGRX |
12/24/2024 |
$0.0000 |
$907.1000 |
4/6/2023 |
2/25/2030
|
GIGS017 |
40177R384, 40177R392 |
|
Investment Grade Corporate Trust 3-7 Year, 018 |
CGIGSX |
12/24/2024 |
$0.0000 |
$934.1700 |
7/19/2023 |
5/19/2030
|
GIGS018 |
40177T265, 40177T273 |
|
Investment Grade Corporate Trust 3-7 Year, 019 |
CGIGTX |
12/24/2024 |
$998.1600 |
$978.6900 |
9/13/2023 |
9/8/2030
|
GIGS019 |
40177V344, 40177V351 |
|
Investment Grade Corporate Trust 3-7 Year, 020 |
CGIGUX |
12/24/2024 |
$1,038.3700 |
$1,018.1200 |
1/24/2024 |
1/15/2030
|
GIGS020 |
40177X589, 40177X597 |
|
Investment Grade Corporate Trust 3-7 Year, 021 |
CGIGVX |
12/24/2024 |
$1,025.7800 |
$1,005.7700 |
3/5/2024 |
1/15/2031
|
GIGS021 |
40177Y702, 40177Y710 |
|
Investment Grade Corporate Trust 3-7 Year, 022 |
CGIGWX |
12/24/2024 |
$1,054.1700 |
$1,033.6100 |
5/8/2024 |
4/15/2031
|
GIGS022 |
40178A687, 40178A695 |
|
Investment Grade Corporate Trust 3-7 Year, 023 |
CGIGYX |
12/24/2024 |
$1,047.4700 |
$1,027.0300 |
8/21/2024 |
4/15/2031
|
GIGS023 |
40178C469, 40178C477 |
|
Large Cap Buffer 20 Portfolio, 006 |
CDOBFX |
12/24/2024 |
$0.0000 |
$12.3192 |
9/21/2023 |
9/23/2025
|
DOB20006 |
40177U486, 40177U494 |
|
Large Cap Buffer 20 Portfolio, 007 |
CDOBGX |
12/24/2024 |
$0.0000 |
$12.3436 |
10/19/2023 |
10/22/2025
|
DOB20007 |
40177V369, 40177V377 |
|
Large Cap Buffer 20 Portfolio, 008 |
CDOBHX |
12/24/2024 |
$0.0000 |
$11.5251 |
1/11/2024 |
1/14/2026
|
DOB20008 |
40177W706, 40177W714 |
|
Large Cap Buffer 20 Portfolio, 009 |
CDOBIX |
12/24/2024 |
$0.0000 |
$11.0196 |
5/22/2024 |
5/26/2026
|
DOB20009 |
40178A661, 40178A679 |
|
Large Cap Buffer 20 Portfolio, 010 |
CDOBJX |
12/24/2024 |
$0.0000 |
$10.7852 |
6/20/2024 |
6/22/2026
|
DOB20010 |
40178B347, 40178B354 |
|
Large Cap Buffer 20 Portfolio, 011 |
CDOBKX |
12/24/2024 |
$0.0000 |
$10.8549 |
8/5/2024 |
8/5/2026
|
DOB20011 |
40178C204, 40178C212 |
|
Large Cap Buffer 20 Portfolio, 012 |
CDOBLX |
12/24/2024 |
$0.0000 |
$10.3478 |
9/13/2024 |
9/14/2026
|
DOB20012 |
40178C485, 40178C493 |
|
Large Cap Buffer 20 Portfolio, 013 |
CDOBMX |
12/24/2024 |
$0.0000 |
$10.1722 |
10/18/2024 |
10/19/2026
|
DOB20013 |
40178F108, 40178F124 |
|
Large Cap Buffer 20 Portfolio, 014 |
CDOBNX |
12/24/2024 |
$0.0000 |
$10.1529 |
11/15/2024 |
11/16/2026
|
DOB20014 |
40178F363, 40178F371 |
|
Large Cap Buffer 20 Portfolio, 015 |
CDOBOX |
12/24/2024 |
$0.0000 |
$10.1195 |
12/20/2024 |
1/15/2027
|
DOB20015 |
40178F348, 40178F355 |
|
Large-Cap Core Portfolio, 043 |
CACERX |
12/24/2024 |
$0.0000 |
$14.6133 |
2/22/2023 |
2/24/2025
|
LCAP043 |
40177P305, 40177P313, 40177P321, 40177P339 |
|
Large-Cap Core Portfolio, 044 |
CACESX |
12/24/2024 |
$0.0000 |
$12.8878 |
8/21/2023 |
8/21/2025
|
LCAP044 |
40177T844, 40177T851, 40177T869, 40177T877 |
|
Large-Cap Core Portfolio, 045 |
CACETX |
12/24/2024 |
$0.0000 |
$10.4591 |
2/28/2024 |
2/27/2026
|
LCAP045 |
40177X548, 40177X555, 40177X563, 40177X571 |
|
ML Top Picks for 2024 (AVAILABLE THROUGH MERRILL LYNCH ADVISORS ONLY), 012 |
CMPILX |
12/24/2024 |
$0.0000 |
$12.0535 |
2/29/2024 |
5/7/2025
|
MPIX012 |
40177Y140, 40177Y157 |
|
National Municipal Portfolio of CEFs, 057 |
CENMGX |
12/24/2024 |
$0.0000 |
$8.7879 |
2/2/2023 |
2/3/2025
|
DCEN057 |
40177N482, 40177N490, 40177N508, 40177N516 |
|
National Municipal Portfolio of CEFs, 058 |
CENMHX |
12/24/2024 |
$0.0000 |
$9.2599 |
4/10/2023 |
5/5/2025
|
DCEN058 |
40177Q642, 40177Q659, 40177Q667, 40177Q675 |
|
National Municipal Portfolio of CEFs, 059 |
CENMIX |
12/24/2024 |
$0.0000 |
$9.7239 |
8/3/2023 |
8/4/2025
|
DCEN059 |
40177T364, 40177T372, 40177T380, 40177T398 |
|
National Municipal Portfolio of CEFs, 060 |
CENMJX |
12/24/2024 |
$0.0000 |
$10.7449 |
11/2/2023 |
11/3/2025
|
DCEN060 |
40177V427, 40177V435, 40177V443, 40177V450 |
|
National Municipal Portfolio of CEFs, 061 |
CENMKX |
12/24/2024 |
$0.0000 |
$9.7406 |
2/2/2024 |
2/2/2026
|
DCEN061 |
40177W821, 40177W839, 40177W847, 40177W854 |
|
National Municipal Portfolio of CEFs, 062 |
CENMLX |
12/24/2024 |
$0.0000 |
$9.7487 |
5/3/2024 |
5/4/2026
|
DCEN062 |
40177Y801, 40177Y819, 40177Y827, 40177Y835 |
|
National Municipal Portfolio of CEFs, 063 |
CENMMX |
12/24/2024 |
$0.0000 |
$9.1406 |
8/5/2024 |
8/5/2026
|
DCEN063 |
40178B404, 40178B412, 40178B420, 40178B438 |
|
National Municipal Portfolio of CEFs, 064 |
CENMNX |
12/24/2024 |
$0.0000 |
$9.2420 |
11/4/2024 |
11/4/2026
|
DCEN064 |
40178D483, 40178D491, 40178D509, 40178D517 |
|
NDR Precious Metals & Miners Portfolio, 024 |
CPMMYX |
12/24/2024 |
$0.0000 |
$10.2410 |
4/20/2023 |
4/21/2025
|
PMMP024 |
40177Q261, 40177Q279, 40177Q287, 40177Q295 |
|
NDR Precious Metals & Miners Portfolio, 025 |
CPMMZX |
12/24/2024 |
$0.0000 |
$11.5051 |
10/18/2023 |
10/20/2025
|
PMMP025 |
40177V104, 40177V112, 40177V120, 40177V138 |
|
NDR Precious Metals & Miners Portfolio, 026 |
CPMMAX |
12/24/2024 |
$0.0000 |
$9.8161 |
4/11/2024 |
4/13/2026
|
PMMP026 |
40177Y462, 40177Y470, 40177Y488, 40177Y496 |
|
New York Municipal Portfolio of CEFs, 040 |
CENYOX |
12/24/2024 |
$0.0000 |
$8.8859 |
2/2/2023 |
2/3/2025
|
DCNY040 |
40177N565, 40177N573, 40177N581, 40177N599 |
|
New York Municipal Portfolio of CEFs, 041 |
CENYPX |
12/24/2024 |
$0.0000 |
$9.6681 |
8/3/2023 |
8/4/2025
|
DCNY041 |
40177T406, 40177T414, 40177T422, 40177T430 |
|
New York Municipal Portfolio of CEFs, 042 |
CENYQX |
12/24/2024 |
$0.0000 |
$9.4166 |
2/2/2024 |
2/2/2026
|
DCNY042 |
40177X100, 40177X118, 40177X126, 40177X134 |
|
Quality High Dividend Portfolio, 001 |
CQHDAX |
12/24/2024 |
$0.0000 |
$11.9064 |
6/22/2023 |
6/20/2025
|
QHD001 |
40177T281, 40177T299, 40177T307, 40177T315 |
|
Quality High Dividend Portfolio, 002 |
CQHDBX |
12/24/2024 |
$0.0000 |
$10.6769 |
12/19/2023 |
12/19/2025
|
QHD002 |
40177W268, 40177W276, 40177W284, 40177W292 |
|
Quality High Dividend Portfolio, 003 |
CQHDCX |
12/24/2024 |
$0.0000 |
$10.6276 |
6/20/2024 |
6/22/2026
|
QHD003 |
40178A620, 40178A638, 40178A646, 40178A653 |
|
REIT Portfolio, 028 |
CGRTCX |
12/24/2024 |
$0.0000 |
$9.8690 |
2/8/2023 |
2/10/2025
|
GRET028 |
40177N680, 40177N698, 40177N706, 40177N714 |
|
REIT Portfolio, 029 |
CGRTDX |
12/24/2024 |
$0.0000 |
$10.6189 |
8/8/2023 |
8/8/2025
|
GRET029 |
40177T562, 40177T570, 40177T588, 40177T596 |
|
REIT Portfolio, 030 |
CGRTEX |
12/24/2024 |
$0.0000 |
$10.8719 |
2/2/2024 |
2/2/2026
|
GRET030 |
40177X142, 40177X159, 40177X167, 40177X175 |
|
S&P Dividend Aristocrats Select 25 Strategy Portfolio, 033 |
CACTHX |
12/24/2024 |
$0.0000 |
$11.3506 |
10/25/2023 |
1/27/2025
|
ACTS033 |
40177V187, 40177V195, 40177V203, 40177V211 |
|
S&P Dividend Aristocrats Select 25 Strategy Portfolio, 034 |
CACTIX |
12/24/2024 |
$0.0000 |
$9.8738 |
1/25/2024 |
4/29/2025
|
ACTS034 |
40177W508, 40177W516, 40177W524, 40177W532 |
|
S&P Dividend Aristocrats Select 25 Strategy Portfolio, 035 |
CACTJX |
12/24/2024 |
$0.0000 |
$9.9455 |
4/22/2024 |
7/29/2025
|
ACTS035 |
40177Y421, 40177Y439, 40177Y447, 40177Y454 |
|
S&P Dividend Aristocrats Select 25 Strategy Portfolio, 036 |
CACTKX |
12/24/2024 |
$0.0000 |
$9.7876 |
7/29/2024 |
10/27/2025
|
ACTS036 |
40178B263, 40178B271, 40178B289, 40178B297 |
|
Select Quality Municipal Portfolio, 002 |
CGSQBX |
12/24/2024 |
$0.0000 |
$448.1300 |
8/7/2014 |
11/15/2044
|
GSQM002 |
40169A340, 40169A357 |
|
Select Quality Municipal Portfolio, 003 |
CGSQCX |
12/24/2024 |
$0.0000 |
$621.2500 |
4/29/2015 |
11/15/2045
|
GSQM003 |
40169M583, 40169M591 |
|
Select Quality Municipal Portfolio, 004 |
CGSQDX |
12/24/2024 |
$0.0000 |
$724.3500 |
12/4/2015 |
6/15/2046
|
GSQM004 |
40169Y652, 40169Y660 |
|
Select Quality Municipal Portfolio, 005 |
CGSQEX |
12/24/2024 |
$0.0000 |
$876.9400 |
4/18/2023 |
10/1/2053
|
GSQM005 |
40177Q501, 40177Q519 |
|
Select Quality Municipal Portfolio, 006 |
CGSQFX |
12/24/2024 |
$0.0000 |
$894.5000 |
6/7/2023 |
4/1/2054
|
GSQM006 |
40177R608, 40177R616 |
|
Select Quality Municipal Portfolio, 007 |
CGSQGX |
12/24/2024 |
$1,027.6100 |
$991.6400 |
11/7/2023 |
3/1/2054
|
GSQM007 |
40177U460, 40177U478 |
|
Select Quality Municipal Portfolio, 008 |
CGSQHX |
12/24/2024 |
$1,011.3100 |
$975.9200 |
1/17/2024 |
12/1/2054
|
GSQM008 |
40177W722, 40177W730 |
|
Select Quality Municipal Portfolio, 009 |
CGSQIX |
12/24/2024 |
$1,009.3600 |
$973.1400 |
4/3/2024 |
3/15/2055
|
GSQM009 |
40177Y165, 40177Y173 |
|
Select Quality Municipal Portfolio, 010 |
CGSQJX |
12/24/2024 |
$998.2300 |
$963.2600 |
7/10/2024 |
11/1/2054
|
GSQM010 |
40178C188, 40178C196 |
|
Select Quality Municipal Portfolio, 011 |
CGSQKX |
12/24/2024 |
$1,070.1000 |
$1,032.4700 |
9/16/2024 |
8/1/2054
|
GSQM011 |
40178D301, 40178D319 |
|
Senior Loan & Income Portfolio of CEFs, 045 |
CESLSX |
12/24/2024 |
$0.0000 |
$11.0524 |
4/5/2023 |
4/7/2025
|
DCES045 |
40177Q188, 40177Q196, 40177Q204, 40177Q212 |
|
Senior Loan & Income Portfolio of CEFs, 046 |
CESLTX |
12/24/2024 |
$0.0000 |
$9.7891 |
10/5/2023 |
10/6/2025
|
DCES046 |
40177U700, 40177U718, 40177U726, 40177U734 |
|
Senior Loan & Income Portfolio of CEFs, 047 |
CESLUX |
12/24/2024 |
$0.0000 |
$9.8741 |
4/5/2024 |
4/6/2026
|
DCES047 |
40177Y546, 40177Y553, 40177Y561, 40177Y579 |
|
SMid Dividend Strength Portfolio, 019 |
CSMDSX |
12/24/2024 |
$0.0000 |
$10.8658 |
1/23/2023 |
1/23/2025
|
SMDS019 |
40177N268, 40177N276, 40177N284, 40177N292 |
|
SMid Dividend Strength Portfolio, 020 |
CSMDTX |
12/24/2024 |
$0.0000 |
$11.4495 |
7/24/2023 |
7/21/2025
|
SMDS020 |
40177T141, 40177T158, 40177T166, 40177T174 |
|
SMid Dividend Strength Portfolio, 021 |
CSMDUX |
12/24/2024 |
$0.0000 |
$11.1036 |
1/22/2024 |
1/22/2026
|
SMDS021 |
40177W581, 40177W599, 40177W607, 40177W615 |
|
Strategic Income Portfolio, 117 |
CFSISX |
12/24/2024 |
$0.0000 |
$10.2227 |
1/12/2023 |
1/13/2025
|
FSIP117 |
40177M849, 40177M856, 40177M864, 40177M872 |
|
Strategic Income Portfolio, 118 |
CFSITX |
12/24/2024 |
$0.0000 |
$10.1606 |
7/6/2023 |
7/7/2025
|
FSIP118 |
40177R665, 40177R673, 40177R681, 40177R699 |
|
Strategic Income Portfolio, 119 |
CFSIUX |
12/24/2024 |
$0.0000 |
$9.9223 |
1/16/2024 |
1/16/2026
|
FSIP119 |
40177W425, 40177W433, 40177W441, 40177W458 |
|
Strategic Income Portfolio, 120 |
CFSIVX |
12/24/2024 |
$0.0000 |
$10.0958 |
6/6/2024 |
7/8/2026
|
FSIP120 |
40178A745, 40178A752, 40178A760, 40178A778 |
|
Technological Innovation Portfolio, 021 |
CATEUX |
12/24/2024 |
$0.0000 |
$15.4244 |
3/15/2023 |
3/17/2025
|
ATEC021 |
40177P560, 40177P578, 40177P586, 40177P594 |
|
Technological Innovation Portfolio, 022 |
CATEVX |
12/24/2024 |
$0.0000 |
$12.7175 |
9/15/2023 |
9/15/2025
|
ATEC022 |
40177U304, 40177U312, 40177U320, 40177U338 |
|
Technological Innovation Portfolio, 023 |
CATEWX |
12/24/2024 |
$0.0000 |
$11.0136 |
3/18/2024 |
3/18/2026
|
ATEC023 |
40177X761, 40177X779, 40177X787, 40177X795 |
|
Technology Portfolio, 033 |
CTECHX |
12/24/2024 |
$0.0000 |
$16.2422 |
4/20/2023 |
4/21/2025
|
DTS033 |
40177Q303, 40177Q311, 40177Q329, 40177Q337 |
|
Technology Portfolio, 034 |
CTECIX |
12/24/2024 |
$0.0000 |
$14.8980 |
10/25/2023 |
10/27/2025
|
DTS034 |
40177V229, 40177V237, 40177V245, 40177V252 |
|
Technology Portfolio, 035 |
CTECJX |
12/24/2024 |
$0.0000 |
$11.8804 |
4/22/2024 |
4/22/2026
|
DTS035 |
40177Y389, 40177Y397, 40177Y405, 40177Y413 |
|
Tekla Medical Science Innovation Portfolio, 006 |
CTMEFX |
12/24/2024 |
$0.0000 |
$8.8198 |
5/17/2023 |
5/19/2025
|
TMED006 |
40177R186, 40177R194, 40177R202, 40177R210 |
|
Total Income Portfolio, 029 |
CTIPDX |
12/24/2024 |
$0.0000 |
$10.2964 |
2/28/2023 |
2/28/2025
|
TIP029 |
40177P347, 40177P354, 40177P362, 40177P370 |
|
Total Income Portfolio, 030 |
CTIPEX |
12/24/2024 |
$0.0000 |
$10.3268 |
8/28/2023 |
8/28/2025
|
TIP030 |
40177U106, 40177U114, 40177U122, 40177U130 |
|
Total Income Portfolio, 031 |
CTIPFX |
12/24/2024 |
$0.0000 |
$10.2587 |
2/26/2024 |
2/26/2026
|
TIP031 |
40177X464, 40177X472, 40177X480, 40177X498 |
|
US 50 Dividend Strategy Portfolio, 038 |
CUFTMX |
12/24/2024 |
$0.0000 |
$10.6156 |
10/25/2023 |
1/27/2025
|
UFTY038 |
40177V260, 40177V278, 40177V286, 40177V294 |
|
US 50 Dividend Strategy Portfolio, 039 |
CUFTNX |
12/24/2024 |
$0.0000 |
$9.7134 |
1/25/2024 |
4/29/2025
|
UFTY039 |
40177W466, 40177W474, 40177W482, 40177W490 |
|
US 50 Dividend Strategy Portfolio, 040 |
CUFTOX |
12/24/2024 |
$0.0000 |
$10.3785 |
4/22/2024 |
7/29/2025
|
UFTY040 |
40177Y348, 40177Y355, 40177Y363, 40177Y371 |
|
US 50 Dividend Strategy Portfolio, 041 |
CUFTPX |
12/24/2024 |
$0.0000 |
$8.7982 |
7/29/2024 |
10/27/2025
|
UFTY041 |
40178B305, 40178B313, 40178B321, 40178B339 |
|
US Capital Strength Portfolio, 026 |
CUCAAX |
12/24/2024 |
$0.0000 |
$11.7199 |
5/17/2023 |
5/19/2025
|
UCAP026 |
40177R228, 40177R236, 40177R244, 40177R251 |
|
US Capital Strength Portfolio, 027 |
CUCABX |
12/24/2024 |
$0.0000 |
$12.1647 |
11/15/2023 |
11/17/2025
|
UCAP027 |
40177V625, 40177V633, 40177V641, 40177V658 |
|
US Capital Strength Portfolio, 028 |
CUCACX |
12/24/2024 |
$0.0000 |
$10.7903 |
5/20/2024 |
5/20/2026
|
UCAP028 |
40178A380, 40178A398, 40178A406, 40178A414 |
|
US High Dividend Strategy Portfolio, 050 |
CUSHZX |
12/24/2024 |
$0.0000 |
$12.4025 |
10/18/2023 |
1/23/2025
|
USHD050 |
40177V146, 40177V153, 40177V161, 40177V179 |
|
US High Dividend Strategy Portfolio, 051 |
CUSHAX |
12/24/2024 |
$0.0000 |
$10.7593 |
1/22/2024 |
4/22/2025
|
USHD051 |
40177W540, 40177W557, 40177W565, 40177W573 |
|
US High Dividend Strategy Portfolio, 052 |
CUSHBX |
12/24/2024 |
$0.0000 |
$10.6645 |
4/22/2024 |
7/22/2025
|
USHD052 |
40177Y264, 40177Y272, 40177Y280, 40177Y298 |
|
US High Dividend Strategy Portfolio, 053 |
CUSHCX |
12/24/2024 |
$0.0000 |
$10.1921 |
7/22/2024 |
10/20/2025
|
USHD053 |
40178B222, 40178B230, 40178B248, 40178B255 |
|
US Low Volatility Strategy Portfolio, 045 |
CULOTX |
12/24/2024 |
$0.0000 |
$11.4830 |
11/2/2023 |
2/5/2025
|
ULOW045 |
40177V468, 40177V476, 40177V484, 40177V492 |
|
US Low Volatility Strategy Portfolio, 046 |
CULOUX |
12/24/2024 |
$0.0000 |
$10.8852 |
2/2/2024 |
5/5/2025
|
ULOW046 |
40177X183, 40177X191, 40177X209, 40177X217 |
|
US Low Volatility Strategy Portfolio, 047 |
CULOVX |
12/24/2024 |
$0.0000 |
$10.8528 |
5/3/2024 |
8/5/2025
|
ULOW047 |
40178A109, 40178A117, 40178A125, 40178A133 |
|
US Low Volatility Strategy Portfolio, 048 |
CULOWX |
12/24/2024 |
$0.0000 |
$10.2440 |
8/5/2024 |
11/4/2025
|
ULOW048 |
40178B487, 40178B495, 40178B503, 40178B511 |
|
Utilities Portfolio, 037 |
COPUMX |
12/24/2024 |
$0.0000 |
$10.0995 |
1/17/2023 |
1/17/2025
|
DUS037 |
40177N185, 40177N193, 40177N201, 40177N219 |
|
Utilities Portfolio, 038 |
COPUNX |
12/24/2024 |
$0.0000 |
$11.0405 |
7/17/2023 |
7/17/2025
|
DUS038 |
40177R780, 40177R798, 40177R806, 40177R814 |
|
Utilities Portfolio, 039 |
COPUOX |
12/24/2024 |
$0.0000 |
$11.6454 |
1/16/2024 |
1/16/2026
|
DUS039 |
40177W664, 40177W672, 40177W680, 40177W698 |