UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Washington, DC 20549

 

FORM N-Q

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY

 

Investment Company Act file number 811-21293

 

Nuveen Multi-Strategy Income and Growth Fund

(Exact name of registrant as specified in charter)

 

   333 West Wacker Drive, Chicago, Illinois 60606   

 

 

(Address of principal executive offices) (Zip code)

 

 

Kevin J. McCarthy—Vice President and Secretary
   333 West Wacker Drive, Chicago, Illinois 60606   

 

 

(Name and address of agent for service)

 

Registrant’s telephone number, including area code:

312-917-7700

 

Date of fiscal year end:

12/31

 

Date of reporting period:

3/31/2010

 

Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1-5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to the Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

 



 

Item 1. Schedule of Investments

 



 

 

 

Portfolio of Investments (Unaudited)

 

 

 

 

 

Nuveen Multi-Strategy Income and Growth Fund (JPC)

 

 

 

 

 

March 31, 2010

 

 

 

 

Shares

 

Description (1)

 

Value

 

 

 

Common Stocks – 35.0% (26.6% of Total Investments)

 

 

 

 

 

Aerospace & Defense – 0.9%

 

 

 

1,320

 

Alliant Techsystems Inc., (2)

 

$       107,316

 

29,962

 

Aveos Fleet Performance Inc., (2), (17)

 

494,373

 

2,290

 

Esterline Technologies Corporation

 

113,195

 

5,505

 

GeoEye, Inc., (2)

 

162,398

 

29,179

 

Lockheed Martin Corporation, (3)

 

2,428,276

 

17,315

 

Raytheon Company

 

989,033

 

82,550

 

Thales S.A.

 

3,313,667

 

 

 

Total Aerospace & Defense

 

7,608,258

 

 

 

Air Freight & Logistics – 0.1%

 

 

 

8,500

 

United Parcel Service, Inc., Class B

 

547,485

 

 

 

Auto Components – 0.1%

 

 

 

31,020

 

Johnson Controls, Inc.

 

1,023,350

 

1,753

 

Magna International Inc., Class A, (2)

 

108,423

 

 

 

Total Auto Components

 

1,131,773

 

 

 

Automobiles – 0.4%

 

 

 

63,589

 

Honda Motor Company Limited

 

2,244,558

 

25,580

 

Toyota Motor Corporation

 

1,024,678

 

 

 

Total Automobiles

 

3,269,236

 

 

 

Beverages – 0.9%

 

 

 

220,983

 

Coca-Cola Amatil Limited

 

2,281,332

 

18,170

 

Coca-Cola Femsa SAB de CV

 

1,207,397

 

20,080

 

Coca-Cola Company

 

1,104,400

 

20,925

 

Coca-Cola Enterprises Inc.

 

578,786

 

17,012

 

Diageo PLC, Sponsored ADR

 

1,147,459

 

8,205

 

Dr. Pepper Snapple Group

 

288,570

 

30,584

 

Heineken N.V.

 

1,571,781

 

 

 

Total Beverages

 

8,179,725

 

 

 

Biotechnology – 0.3%

 

 

 

5,315

 

Alnylam Pharmaceuticals, Inc., (2)

 

90,461

 

10,690

 

Amgen Inc., (2)

 

638,834

 

4,360

 

Biogen Idec Inc., (2)

 

250,090

 

6,450

 

BioMarin Pharmaceutical Inc., (2)

 

150,737

 

2,620

 

Celgene Corporation, (2)

 

162,335

 

1,471

 

Cubist Pharmaceuticals Inc., (2)

 

33,156

 

27,260

 

Gilead Sciences, Inc., (2)

 

1,239,785

 

10,495

 

ISIS Pharmaceuticals, Inc., (2)

 

114,605

 

 

 

Total Biotechnology

 

2,680,003

 

 

 

Building Products – 0.2%

 

 

 

6,530

 

Apogee Enterprises, Inc.

 

103,239

 

5,820

 

Masco Corporation

 

90,326

 

36,123

 

Masonite Worldwide Holdings, (2), (17)

 

1,557,804

 

 

 

Total Building Products

 

1,751,369

 

 

 

Capital Markets – 0.6%

 

 

 

1,130

 

Affiliated Managers Group Inc., (2)

 

89,270

 

3,410

 

Ameriprise Financial, Inc.

 

154,678

 

4,610

 

Calamos Asset Management, Inc. Class A

 

66,107

 

21,610

 

Invesco LTD

 

473,475

 

15,295

 

Legg Mason, Inc.

 

438,508

 

280,601

 

Nomura Securities Company

 

2,067,965

 

2,270

 

Piper Jaffray Companies, (2)

 

91,481

 

3,350

 

Stifel Financial Corporation

 

180,063

 

3,410

 

T. Rowe Price Group Inc.

 

187,311

 

113,041

 

UBS AG, (2), (3)

 

1,840,307

 

 

 

Total Capital Markets

 

5,589,165

 

 

 

Chemicals – 0.8%

 

 

 

9,080

 

Celanese Corporation, Series A

 

289,198

 

3,980

 

Eastman Chemical Company

 

253,446

 

2,330

 

Lubrizol Corporation

 

213,708

 

3,170

 

Minerals Technologies Inc.

 

164,333

 

21,850

 

Mosaic Company

 

1,327,825

 

82,409

 

Nissan Chemical Industries Limited

 

1,152,968

 

27,125

 

Nitto Denko Corporation

 

1,053,201

 

12,710

 

Solutia Inc., (2)

 

204,758

 

76,487

 

Umicore

 

2,671,008

 

3,530

 

 Westlake Chemical Corporation

 

91,039

 

 

 

Total Chemicals

 

7,421,484

 

 

 

Commercial Banks – 2.4%

 

 

 

28,939

 

Banco Itau Holdings Financeira, S.A.

 

636,369

 

139,625

 

Banco Santander Central Hispano S.A.

 

1,855,672

 

208,000

 

Bangkok Bank Public Company Limited, Foreign Shares

 

884,490

 

23,404

 

Bank of Nova Scotia

 

1,172,447

 

10,470

 

BB&T Corporation

 

339,123

 

4,410

 

Columbia Banking Systems Inc.

 

89,567

 

9,205

 

Commerce Bancshares Inc.

 

378,694

 

6,985

 

Community Bank System Inc.

 

159,118

 

76,180

 

Credit Agricole S.A.

 

1,333,487

 

199,562

 

DnB NOR ASA, (2)

 

2,279,960

 

84,660

 

Fifth Third Bancorp.

 

1,150,529

 

5,260

 

First Financial Bancorp.

 

93,575

 

4,335

 

Hancock Holding Company

 

181,246

 

17,788

 

ICICI Bank Limited, ADR

 

759,548

 

1,850,000

 

Krung Thai Bank Public Company Limited, Foreign Shares

 

686,563

 

106,425

 

Nordic Baltic Holdings FDR, (2)

 

1,050,159

 

19,765

 

Royal Bank of Canada

 

1,156,729

 

6,910

 

Shinhan Financial Group Company Limited

 

549,345

 

108,773

 

Standard Chartered PLC

 

2,967,006

 

11,373

 

Sumitomo Trust & Banking Company, ADR, (17)

 

66,532

 

3,330

 

SunTrust Banks, Inc.

 

89,211

 

1,960

 

SVB Financial Group

 

91,454

 

77,330

 

Svenska Handelbanken AB, A Shares

 

2,266,159

 

23,080

 

U.S. Bancorp

 

597,310

 

11,190

 

Umpqua Holdings Corporation

 

148,379

 

15,610

 

 Wells Fargo & Company

 

485,783

 

 

 

Total Commercial Banks

 

21,468,455

 

 

 

Commercial Services & Supplies – 0.2%

 

 

 

8,315

 

Republic Services, Inc.

 

241,301

 

8,047

 

Stericycle Inc., (2)

 

438,562

 

139,300

 

Toppan Printing Company Limited

 

1,257,559

 

4,260

 

 Waste Management, Inc.

 

146,672

 

 

 

Total Commercial Services & Supplies

 

2,084,094

 

 

 

Communications Equipment – 0.3%

 

 

 

2,040

 

Comtech Telecom Corporation, (2)

 

65,260

 

7,665

 

Interdigital Inc., (2)

 

213,547

 

6,630

 

Plantronics Inc.

 

207,386

 

293,931

 

ZTE Corporation

 

1,781,171

 

 

 

Total Communications Equipment

 

2,267,364

 

 

 

Computers & Peripherals – 0.7%

 

 

 

11,831

 

Apple, Inc.

 

2,779,457

 

9,546

 

Hewlett-Packard Company

 

507,370

 

13,135

 

International Business Machines Corporation (IBM)

 

1,684,564

 

4,250

 

Network Appliance Inc., (2)

 

138,380

 

24,425

 

Seagate Technology, (2)

 

446,001

 

28,025

 

 Western Digital Corporation, (2)

 

1,092,695

 

 

 

Total Computers & Peripherals

 

6,648,467

 

 

 

Construction & Engineering – 0.3%

 

 

 

50,897

 

JGC Corporation

 

908,078

 

27,130

 

Royal Boskalis Westminster NV

 

1,039,749

 

30,140

 

Shaw Group Inc., (2)

 

1,037,419

 

 

 

Total Construction & Engineering

 

2,985,246

 

 

 

Consumer Finance – 0.1%

 

 

 

18,320

 

American Express Company

 

755,883

 

11,540

 

Capital One Financial Corporation

 

477,871

 

 

 

Total Consumer Finance

 

1,233,754

 

 

 

Containers & Packaging – 0.0%

 

 

 

5,300

 

Packaging Corp. of America

 

130,433

 

3,600

 

Rock-Tenn Company

 

164,052

 

 

 

Total Containers & Packaging

 

294,485

 

 

 

Diversified Consumer Services – 0.0%

 

 

 

6,120

 

Bridgepoint Education Inc., (2)

 

150,430

 

 

 

Diversified Financial Services – 0.2%

 

 

 

63,350

 

Bank of America Corporation

 

1,130,798

 

1,515

 

Guoco Group Ltd., (17)

 

31,285

 

8,114

 

PHH Corporation, (2)

 

191,247

 

 

 

Total Diversified Financial Services

 

1,353,330

 

 

 

Diversified Telecommunication Services – 1.7%

 

 

 

4,040

 

CenturyTel, Inc.

 

143,258

 

37,500

 

KT Corporation, Sponsored ADR, (2)

 

778,500

 

232,222

 

Nippon Telegraph and Telephone Corporation, ADR, (3)

 

4,881,306

 

198,200

 

Portugal Telecom SGPS S.A.

 

2,216,012

 

2,295,000

 

Telecom Italia S.p.A., (2)

 

2,588,285

 

110,721

 

Telus Corporation, (3)

 

3,966,026

 

3,940

 

Verizon Communications Inc.

 

122,219

 

 

 

Total Diversified Telecommunication Services

 

14,695,606

 

 

 

Electric Utilities – 1.0%

 

 

 

139,684

 

Centrais Electricas Brasileiras S.A., PFD B ADR, (2)

 

2,528,280

 

10,170

 

E.ON A.G.

 

375,477

 

27,450

 

E.ON A.G., ADR, (2), (17)

 

1,012,631

 

14,800

 

Electricite de France S.A., (2)

 

807,581

 

16,751

 

Exelon Corporation

 

733,861

 

141,662

 

Korea Electric Power Corporation, Sponsored ADR, (2), (3)

 

2,300,591

 

12,980

 

Progress Energy, Inc.

 

510,893

 

8,660

 

Southern Company

 

287,166

 

 

 

Total Electric Utilities

 

8,556,480

 

 

 

Electrical Equipment – 0.5%

 

 

 

51,392

 

ABB Limited, ADR, (2)

 

1,122,401

 

67,689

 

ABB Limited, (2)

 

1,478,450

 

1,850

 

Areva CI

 

959,877

 

13,515

 

GrafTech International Ltd., (2)

 

184,750

 

7,140

 

Harbin Electric, Inc., (2)

 

154,153

 

8,070

 

Rockwell Automation, Inc.

 

454,825

 

 

 

Total Electrical Equipment

 

4,354,456

 

 

 

Electronic Equipment & Instruments – 0.8%

 

 

 

41,201

 

Hoya Corporation

 

1,132,157

 

5,685

 

Ingram Micro, Inc., Class A, (2)

 

99,772

 

25,613

 

Nidec Corporation

 

2,745,131

 

194,336

 

Nippon Electric Glass Company Limited

 

2,737,624

 

1,459

 

Tech Data Corporation, (2)

 

61,132

 

 

 

Total Electronic Equipment & Instruments

 

6,775,816

 

 

 

Energy Equipment & Services – 0.7%

 

 

 

126,281

 

AMEC PLC

 

1,531,134

 

120,465

 

BJ Services Company

 

2,577,951

 

9,455

 

Cooper Cameron Corporation, (2)

 

405,241

 

8,285

 

FMC Technologies Inc., (2)

 

535,460

 

20,275

 

Halliburton Company

 

610,886

 

2,120

 

Oil States International Inc., (2)

 

96,121

 

 

 

Total Energy Equipment & Services

 

5,756,793

 

 

 

Food & Staples Retailing – 0.8%

 

 

 

16,460

 

Companhia Brasileira de Distribuicao Grupo Pao de Acucar

 

1,106,606

 

193,960

 

Jeronimo Martins SGPS

 

1,964,791

 

83,645

 

Koninklijke Ahold N.V., (2)

 

1,115,065

 

8,535

 

Kroger Co.

 

184,868

 

703

 

Seven & I Holdings, (17)

 

33,955

 

45,687

 

 Wal-Mart Stores, Inc., (3)

 

2,540,197

 

 

 

Total Food & Staples Retailing

 

6,945,482

 

 

 

Food Products – 1.6%

 

 

 

6,330

 

Archer-Daniels-Midland Company

 

182,937

 

6,660

 

General Mills, Inc.

 

471,461

 

12,490

 

H.J. Heinz Company

 

569,669

 

12,195

 

Hershey Foods Corporation

 

522,068

 

9,760

 

Kellogg Company

 

521,477

 

3,140

 

Mead Johnson Nutrition Company, Class A Shares

 

163,374

 

12,526

 

Nestle S.A.

 

641,506

 

2,893

 

Sanderson Farms Inc.

 

155,094

 

188,102

 

Smithfield Foods, Inc., (2), (3)

 

3,901,235

 

208,822

 

Tyson Foods, Inc., Class A, (3)

 

3,998,941

 

38,382

 

Unilever PLC

 

1,123,825

 

76,130

 

Unilever PLC, (2)

 

2,235,451

 

 

 

Total Food Products

 

14,487,038

 

 

 

Gas Utilities – 0.0%

 

 

 

1,890

 

National Fuel Gas Company

 

95,540

 

 

 

Health Care Equipment & Supplies – 0.3%

 

 

 

3,425

 

Align Technology, Inc., (2)

 

66,240

 

12,360

 

Becton, Dickinson and Company

 

973,103

 

5,370

 

Covidien PLC

 

270,004

 

6,000

 

Edwards Lifesciences Corporation, (2)

 

593,280

 

5,230

 

ev3, Inc., (2)

 

82,948

 

22,870

 

Hologic Inc., (2)

 

424,010

 

4,700

 

Hospira Inc., (2)

 

266,255

 

5,500

 

Masimo Corporation

 

146,025

 

2,520

 

Steris Corporation

 

84,823

 

556

 

Zimmer Holdings, Inc., (2)

 

32,915

 

 

 

Total Health Care Equipment & Supplies

 

2,939,603

 

 

 

Health Care Providers & Services – 1.1%

 

 

 

78,825

 

Aetna Inc., (3)

 

2,767,546

 

30,540

 

AmerisourceBergen Corporation

 

883,217

 

8,340

 

Centene Corporation, (2)

 

200,494

 

4,190

 

Community Health Systems, Inc., (2)

 

154,737

 

2,895

 

Emergency Medical Services Corporation, (2)

 

163,712

 

12,499

 

Express Scripts, Inc., (2)

 

1,271,898

 

22,083

 

Fresenius Medical Care, ADR, (2)

 

1,245,998

 

1,252

 

Health Net Inc., (2)

 

31,137

 

9,940

 

HealthSouth Corporation, (2)

 

185,878

 

1,370

 

Laboratory Corporation of America Holdings, (2)

 

103,723

 

7,830

 

Lincare Holdings, (2)

 

351,410

 

10,450

 

McKesson HBOC Inc.

 

686,774

 

10,220

 

Medco Health Solutions, Inc., (2)

 

659,803

 

2,274

 

Omnicare, Inc.

 

64,331

 

10,396

 

Quest Diagnostics Incorporated

 

605,983

 

 

 

Total Health Care Providers & Services

 

9,376,641

 

 

 

Hotels, Restaurants & Leisure – 0.4%

 

 

 

46,885

 

Carnival Corporation

 

1,924,552

 

23,010

 

Las Vegas Sands, (2)

 

486,662

 

14,590

 

Shuffle Master Inc., (2)

 

119,492

 

14,030

 

Starbucks Corporation

 

340,508

 

259,262

 

Thomas Cook Group PLC

 

1,061,474

 

 

 

Total Hotels, Restaurants & Leisure

 

3,932,688

 

 

 

Household Durables – 0.1%

 

 

 

7,220

 

Lennar Corporation, Class A

 

124,256

 

5,015

 

Meritage Corporation

 

105,315

 

26,990

 

Newell Rubbermaid Inc.

 

410,248

 

2,495

 

Sekisui House, Ltd., Sponsored ADR, (17)

 

24,850

 

4,865

 

Tempur Pedic International Inc.

 

146,728

 

 

 

Total Household Durables

 

811,397

 

 


 

 

 

Household Products – 0.1%

 

 

 

10,900

 

Colgate-Palmolive Company

 

929,334

 

2,310

 

KAO Corporation, Sponsored ADR, (17)

 

58,443

 

 

 

Total Household Products

 

987,777

 

 

 

Independent Power Producers & Energy Traders – 0.1%

 

 

 

18,970

 

Constellation Energy Group

 

666,037

 

 

 

Industrial Conglomerates – 0.0%

 

 

 

289

 

Siemens AG, Sponsored ADR

 

28,891

 

 

 

Insurance – 0.7%

 

 

 

9,390

 

Allstate Corporation

 

303,391

 

1,362

 

Aon Corporation, (2)

 

58,171

 

4,630

 

Aspen Insurance Holdings Limited

 

133,529

 

1,844

 

Axis Capital Holdings Limited

 

57,643

 

1,858

 

CNA Financial Corporation

 

49,646

 

7,090

 

Delphi Financial Group, Inc.

 

178,384

 

42,354

 

Hannover Rueckversicherung AG, (2)

 

2,091,431

 

22,310

 

Lincoln National Corporation

 

684,917

 

305,818

 

Mapfre S.A.

 

1,121,853

 

5,759

 

Marsh & McLennan Companies, Inc.

 

140,635

 

29,270

 

Old Republic International Corporation

 

371,144

 

105,446

 

Prudential Corporation PLC

 

876,078

 

6,440

 

Prudential Financial, Inc.

 

389,620

 

5,930

 

 WR Berkley Corporation

 

154,714

 

 

 

Total Insurance

 

6,611,156

 

 

 

Internet & Catalog Retail – 0.3%

 

 

 

8,295

 

Amazon.com, Inc., (2)

 

1,125,881

 

18,150

 

NetFlix.com Inc., (2)

 

1,338,381

 

 

 

Total Internet & Catalog Retail

 

2,464,262

 

 

 

Internet Software & Services – 0.3%

 

 

 

17,472

 

eBay Inc., (2)

 

470,870

 

5,770

 

Equinix Inc., (2)

 

561,652

 

2,690

 

Google Inc., Class A, (2)

 

1,525,257

 

10,520

 

Rackspace Hosting Inc., (2)

 

197,040

 

 

 

Total Internet Software & Services

 

2,754,819

 

 

 

IT Services – 0.6%

 

 

 

132,437

 

CGI Group Inc., (2)

 

1,974,636

 

9,170

 

Global Payments Inc.

 

417,694

 

3,930

 

MasterCard, Inc.

 

998,220

 

2,050

 

Maximus Inc.

 

124,907

 

10,215

 

VeriFone Holdings Inc., (2)

 

206,445

 

12,910

 

Visa Inc.

 

1,175,197

 

5,215

 

 Wright Express Corporation, (2)

 

157,076

 

 

 

Total IT Services

 

5,054,175

 

 

 

Life Sciences Tools & Services – 0.1%

 

 

 

990

 

Bio-Rad Laboratories Inc., (2)

 

102,485

 

7,780

 

Life Technologies Corporation, (2)

 

406,661

 

 

 

Total Life Sciences Tools & Services

 

509,146

 

 

 

Machinery – 1.0%

 

 

 

3,873

 

AGCO Corporation

 

138,925

 

5,370

 

Caterpillar Inc.

 

337,505

 

6,930

 

Cummins Inc.

 

429,314

 

5,650

 

Donaldson Company, Inc.

 

254,928

 

65,861

 

Kone OYJ

 

2,722,029

 

318,334

 

Minebea Company Limited

 

1,937,448

 

2,470

 

Nordson Corporation

 

167,762

 

15,120

 

Oshkosh Truck Corporation, (2)

 

609,941

 

10,620

 

Parker Hannifin Corporation

 

687,539

 

3,770

 

Timken Company

 

113,138

 

5,540

 

Vallourec SA, (2)

 

1,117,153

 

 

 

Total Machinery

 

8,515,682

 

 

 

Marine – 0.1%

 

 

 

8,950

 

Genco Shipping and Trading Limited, (2)

 

188,935

 

40,000

 

Stolt-Nielsen S.A.

 

656,212

 

 

 

Total Marine

 

845,147

 

 

 

Media – 0.5%

 

 

 

13,900

 

Cablevision Systems Corporation

 

335,546

 

23,615

 

Comcast Corporation, Class A

 

444,434

 

41,276

 

DIRECTV Group, Inc.

 

1,395,542

 

8,470

 

Lamar Advertising Company, (2)

 

290,945

 

3,600

 

Madison Square Garden Inc., (2)

 

78,228

 

16,449

 

Readers Digest Association Inc., (17)

 

452,348

 

10,180

 

Scripps Networks Interactive, Class A Shares

 

451,483

 

1,771

 

SuperMedia Inc., (2)

 

72,434

 

1,464

 

Time Warner Cable, Class A

 

78,046

 

112,840

 

 WPP Group PLC

 

1,169,532

 

 

 

Total Media

 

4,768,538

 

 

 

Metals & Mining – 4.2%

 

 

 

31,000

 

AngloGold Ashanti Limited, Sponsored ADR, (3)

 

1,176,450

 

133,296

 

Barrick Gold Corporation, (3)

 

5,110,569

 

44,513

 

BHP Billiton PLC, ADR

 

1,780,536

 

15,150

 

Cliffs Natural Resources Inc.

 

1,074,893

 

15,710

 

First Quantum Minerals Limited

 

1,292,655

 

17,395

 

Freeport-McMoRan Copper & Gold, Inc.

 

1,453,178

 

222,120

 

Gold Fields Limited, ADR, (3)

 

2,803,154

 

56,171

 

Ivanhoe Mines Ltd., (2)

 

977,937

 

12,309

 

Kinross Gold Corporation

 

210,361

 

8,021

 

Lihir Gold Limited, Sponsored ADR

 

225,871

 

1,177,200

 

Lihir Gold Limited

 

3,273,181

 

1,062,500

 

Minara Resources Limited, (2)

 

916,503

 

114,751

 

Newmont Mining Corporation, (3)

 

5,844,268

 

188,230

 

NovaGold Resources Inc., (2), (3)

 

1,343,748

 

538,658

 

NovaGold Resources Inc., 144A, (2)

 

3,846,018

 

13,150

 

POSCO, ADR

 

1,538,682

 

3,675

 

Silver Standard Resources, Inc., (2)

 

65,378

 

18,730

 

Steel Dynamics Inc.

 

327,213

 

59,880

 

Sterlite Industries India Ltd., ADR

 

1,114,367

 

20,290

 

United States Steel Corporation

 

1,288,821

 

14,290

 

 Walter Industries Inc.

 

1,318,538

 

 

 

Total Metals & Mining

 

36,982,321

 

 

 

Multiline Retail – 0.3%

 

 

 

6,210

 

Big Lots, Inc., (2)

 

226,168

 

18,700

 

Macy’s, Inc.

 

407,099

 

62,011

 

Next PLC, (2)

 

2,036,359

 

 

 

Total Multiline Retail

 

2,669,626

 

 

 

Multi-Utilities – 0.6%

 

 

 

136,191

 

Ameren Corporation, (3)

 

3,551,861

 

4,180

 

PG&E Corporation

 

177,316

 

13,592

 

RWE AG, (2)

 

1,204,288

 

 

 

Total Multi-Utilities

 

4,933,465

 

 

 

Oil, Gas & Consumable Fuels – 3.3%

 

 

 

7,180

 

Alpha Natural Resources Inc., (2)

 

358,210

 

3,490

 

Anadarko Petroleum Corporation

 

254,177

 

56,522

 

Arch Coal Inc.

 

1,291,528

 

47,723

 

BP PLC, Sponsored ADR, (3)

 

2,723,552

 

18,134

 

Cabot Oil & Gas Corporation

 

667,331

 

84,453

 

Cameco Corporation, (3)

 

2,314,857

 

11,208

 

Chesapeake Energy Corporation

 

264,957

 

45,694

 

Chevron Corporation, (3)

 

3,464,976

 

18,144

 

Cimarex Energy Company

 

1,077,391

 

24,879

 

ConocoPhillips, (3)

 

1,273,058

 

8,400

 

CONSOL Energy Inc.

 

358,344

 

22,760

 

Continental Resources Inc., (2)

 

968,438

 

4,830

 

Devon Energy Corporation

 

311,197

 

34,890

 

EnCana Corporation

 

1,085,535

 

31,200

 

Gazprom OAO, ADR

 

727,896

 

10,435

 

Hess Corporation

 

652,709

 

3,755

 

McMoran Exploration Corporation, (2)

 

54,936

 

9,670

 

Newfield Exploration Company, (2)

 

503,324

 

40,100

 

Nexen Inc.

 

990,871

 

5,905

 

Occidental Petroleum Corporation

 

499,209

 

1,706

 

Peabody Energy Corporation

 

77,964

 

5,601

 

Petrobras Energia S.A., ADR

 

93,425

 

618

 

Pioneer Natural Resources Company

 

34,806

 

9,285

 

Rosetta Resources, Inc., (2)

 

218,662

 

35,200

 

Royal Dutch Shell PLC, Class B, Sponsored ADR, (3)

 

1,947,616

 

8,980

 

Southwestern Energy Company

 

365,666

 

47,046

 

StatoilHydro ASA, Sponsored ADR

 

1,097,583

 

5,010

 

Stone Energy Corporation, (2)

 

88,928

 

73,651

 

Suncor Energy, Inc., (3)

 

2,396,604

 

187,805

 

Tesoro Corporation, (3)

 

2,610,490

 

7,825

 

Total S.A., (2)

 

454,249

 

870

 

 Whiting Petroleum Corporation, (2)

 

70,331

 

6,840

 

 World Fuel Services Corporation

 

182,218

 

 

 

Total Oil, Gas & Consumable Fuels

 

29,481,038

 

 

 

Paper & Forest Products – 0.0%

 

 

 

4,390

 

Buckeye Technologies Inc., (2)

 

57,421

 

 

 

Personal Products – 0.0%

 

 

 

6,800

 

Estee Lauder Companies Inc., Class A

 

441,116

 

 

 

Pharmaceuticals – 1.4%

 

 

 

37,930

 

AstraZeneca Group

 

1,691,651

 

30,192

 

Bristol-Myers Squibb Company

 

806,126

 

19,720

 

Johnson & Johnson

 

1,285,744

 

31,616

 

Novartis AG

 

1,707,636

 

3,825

 

Perrigo Company

 

224,604

 

169,125

 

Pfizer Inc., (3)

 

2,900,494

 

20,817

 

Sanofi-Aventis, SA

 

1,551,749

 

27,500

 

Takeda Pharmaceutical Co Ltd.

 

1,210,424

 

3,068

 

Takeda Pharmaceutical Co Ltd., ADR, (17)

 

67,189

 

21,850

 

 Watson Pharmaceuticals Inc., (2)

 

912,675

 

 

 

Total Pharmaceuticals

 

12,358,292

 

 

 

Professional Services – 0.0%

 

 

 

1,332

 

TrueBlue Inc., (2)

 

20,646

 

 


 

 

 

Real Estate – 0.3%

 

 

 

7,450

 

Boston Properties, Inc.

 

562,028

 

6,240

 

Digital Realty Trust Inc.

 

338,208

 

11,180

 

Duke Realty Corporation

 

138,632

 

2,930

 

Equity Lifestyles Properties Inc.

 

157,868

 

15,280

 

Inland Real Estate Corporation

 

139,812

 

18,250

 

Kimco Realty Corporation

 

285,430

 

5,860

 

LaSalle Hotel Properties

 

136,538

 

1,632

 

PS Business Parks Inc.

 

87,149

 

2,909

 

Simon Property Group, Inc.

 

244,065

 

5,100

 

Taubman Centers Inc.

 

203,592

 

4,560

 

 Walter Investment Management Corporation

 

72,960

 

 

 

Total Real Estate

 

2,366,282

 

 

 

Real Estate Management & Development – 0.2%

 

 

 

110,295

 

Sun Hung Kai Properties Limited

 

1,657,781

 

 

 

Road & Rail – 0.1%

 

 

 

1,145

 

Canadian Pacific Railway Limited

 

64,395

 

2,640

 

Kansas City Southern Industries

 

95,489

 

8,320

 

Norfolk Southern Corporation

 

465,005

 

1,327

 

Union Pacific Corporation

 

97,269

 

 

 

Total Road & Rail

 

722,158

 

 

 

Semiconductors & Equipment – 1.0%

 

 

 

67,410

 

ASM Lithography Holding NV, (2)

 

2,409,113

 

32,295

 

Broadcom Corporation, Class A

 

1,071,548

 

58,220

 

Intel Corporation

 

1,295,977

 

27,420

 

KLA-Tencor Corporation

 

847,826

 

57,370

 

Marvell Technology Group Ltd., (2)

 

1,169,201

 

21,600

 

Novellus Systems, Inc., (2)

 

540,000

 

11,470

 

ON Semiconductor Corporation, (2)

 

91,760

 

104,020

 

Taiwan Semiconductor Manufacturing Company Ltd., Sponsored ADR

 

1,091,170

 

4,510

 

Xilinx, Inc.

 

115,005

 

 

 

Total Semiconductors & Equipment

 

8,631,600

 

 

 

Software – 0.4%

 

 

 

1,750

 

Advent Software Inc., (2)

 

78,313

 

5,360

 

Ansys Inc., (2)

 

231,230

 

3,150

 

Citrix Systems, (2)

 

149,531

 

8,420

 

CommVault Systems, Inc., (2)

 

179,767

 

4,800

 

JDA Software Group, (2)

 

133,536

 

2,950

 

Manhattan Associates Inc., (2)

 

75,166

 

23,147

 

Microsoft Corporation

 

677,513

 

10,530

 

Rovi Corporation, (2)

 

390,979

 

8,555

 

Salesforce.com, Inc., (2)

 

636,920

 

14,490

 

Sybase, Inc., (2)

 

675,524

 

 

 

Total Software

 

3,228,479

 

 

 

Specialty Retail – 0.3%

 

 

 

6,640

 

Abercrombie & Fitch Co., Class A

 

303,050

 

7,110

 

Best Buy Co., Inc.

 

302,459

 

9,790

 

Chico’s FAS, Inc.

 

141,172

 

3,640

 

DSW Inc., (2)

 

92,929

 

5,218

 

Guess Inc.

 

245,142

 

23,590

 

Home Depot, Inc.

 

763,137

 

2,940

 

J. Crew Group Inc., (2)

 

134,946

 

4,220

 

PetSmart Inc.

 

134,871

 

25,400

 

 Williams-Sonoma Inc.

 

667,766

 

 

 

Total Specialty Retail

 

2,785,472

 

 

 

Textiles, Apparel & Luxury Goods – 0.4%

 

 

 

1,030

 

Deckers Outdoor Corporation, (2)

 

142,140

 

3,250

 

Fossil Inc., (2)

 

122,654

 

9,710

 

LVMH Moet Hennessy, (2)

 

1,134,955

 

2,120

 

Steven Madden Limited, (2)

 

103,455

 

516,358

 

Yue Yuen Industrial Holdings Limited, (17)

 

1,795,622

 

 

 

Total Textiles, Apparel & Luxury Goods

 

3,298,826

 

 

 

Thrifts & Mortgage Finance – 0.1%

 

 

 

41,385

 

Hudson City Bancorp, Inc.

 

586,011

 

23,620

 

New York Community Bancorp, Inc.

 

390,674

 

7,310

 

People’s United Financial, Inc.

 

114,327

 

 

 

Total Thrifts & Mortgage Finance

 

1,091,012

 

 

 

Tobacco – 0.5%

 

 

 

71,250

 

Imperial Tobacco Group

 

2,173,247

 

12,090

 

Lorillard Inc.

 

909,651

 

31,125

 

Philip Morris International

 

1,623,479

 

 

 

Total Tobacco

 

4,706,377

 

 

 

Trading Companies & Distributors – 0.4%

 

 

 

234,288

 

Mitsui & Company Limited

 

3,936,960

 

 

 

 Water Utilities – 0.0%

 

 

 

823

 

Companhia de Saneamento Basico do Estado de Sao Paulo, ADR

 

30,285

 

 

 

 Wireless Telecommunication Services – 0.2%

 

 

 

9,722

 

Millicom International Cellular S.A.

 

869,790

 

4,175

 

Millicom International Cellular S.A.

 

372,200

 

1,400

 

TIM Participacoes S.A., ADR

 

38,863

 

3,011

 

Turkcell Iletisim Hizmetleri A.S., ADR

 

45,345

 

 

 

Total Wireless Telecommunication Services

 

1,326,198

 

 

 

Total Common Stocks (cost $281,062,680)

 

309,322,648

 

 

Shares

 

Description (1)

 

 

 

Coupon

 

Ratings (4)

 

Value

 

 

 

Convertible Preferred Securities – 1.8% (1.4% of Total Investments)

 

 

 

 

 

 

 

Capital Markets – 0.0%

 

 

 

 

 

 

 

 

 

5,800

 

AMG Capital Trust II, Convertible Bond

 

 

 

5.150%

 

BB

 

$      205,175

 

 

 

Commercial Banks – 0.4%

 

 

 

 

 

 

 

 

 

3,750

 

Fifth Third Bancorp, Convertible Bond

 

 

 

8.500%

 

Ba1

 

510,675

 

3,000

 

 Wells Fargo & Company, Convertible Bond

 

 

 

7.500%

 

A-

 

2,931,000

 

 

 

Total Commercial Banks

 

 

 

 

 

 

 

3,441,675

 

 

 

Communications Equipment – 0.5%

 

 

 

 

 

 

 

 

 

5,525

 

Lucent Technologies Capital Trust I

 

 

 

7.750%

 

B3

 

4,397,900

 

 

 

Diversified Financial Services – 0.4%

 

 

 

 

 

 

 

 

 

3,350

 

Bank of America Corporation

 

 

 

7.250%

 

BB

 

3,266,250

 

 

 

Food Products – 0.1%

 

 

 

 

 

 

 

 

 

5,300

 

Bunge Limited, Convertible Bonds

 

 

 

4.875%

 

Ba1

 

474,350

 

 

 

Independent Power Producers & Energy Traders – 0.0%

 

 

 

 

 

 

 

 

 

7,100

 

AES Trust III, Convertible Preferred

 

 

 

6.750%

 

B

 

321,133

 

 

 

Insurance – 0.0%

 

 

 

 

 

 

 

 

 

4,000

 

Reinsurance Group of America Inc.

 

 

 

5.750%

 

BBB

 

268,000

 

 

 

Multi-Utilities – 0.1%

 

 

 

 

 

 

 

 

 

7,450

 

CMS Energy Corporation, Convertible Bonds

 

 

 

4.500%

 

Ba2

 

632,319

 

 

 

Oil, Gas & Consumable Fuels – 0.2%

 

 

 

 

 

 

 

 

 

400

 

El Paso Corporation, 144A

 

 

 

4.990%

 

B

 

392,100

 

450

 

El Paso Corporation

 

 

 

4.990%

 

B

 

441,113

 

3,650

 

 Whiting Petroleum Corporation

 

 

 

6.250%

 

B

 

722,408

 

 

 

Total Oil, Gas & Consumable Fuels

 

 

 

 

 

 

 

1,555,621

 

 

 

Real Estate – 0.1%

 

 

 

 

 

 

 

 

 

11,850

 

HRPT Properties Trust, Preferred Convertible Bonds

 

 

 

6.500%

 

Baa3

 

241,148

 

10,450

 

Simon Property Group, Inc., Series I

 

 

 

6.000%

 

Baa1

 

743,413

 

 

 

Total Real Estate

 

 

 

 

 

 

 

984,561

 

 

 

Tobacco – 0.0%

 

 

 

 

 

 

 

 

 

200

 

Universal Corporation, Convertible Preferred

 

 

 

6.750%

 

BB

 

244,049

 

 

 

Total Convertible Preferred Securities (cost $15,042,984)

 

 

 

 

 

 

 

15,791,033

 

 

 

 

 

 

 

 

 

 

 

 

 

Shares

 

Description (1)

 

 

 

Coupon

 

Ratings (4)

 

Value

 

 

 

$25 Par (or similar) Preferred Securities – 36.2% (27.5% of Total Investments)

 

 

 

 

 

 

 

Capital Markets – 3.2%

 

 

 

 

 

 

 

 

 

93,700

 

Ameriprise Financial, Inc.

 

 

 

7.750%

 

A

 

$     2,483,987

 

77,500

 

BNY Capital Trust V, Series F

 

 

 

5.950%

 

A1

 

1,944,475

 

110,144

 

Credit Suisse

 

 

 

7.900%

 

A3

 

2,851,628

 

881,630

 

Deutsche Bank Capital Funding Trust II

 

 

 

6.550%

 

BBB+

 

20,162,878

 

13,800

 

Deutsche Bank Capital Funding Trust IX

 

 

 

6.625%

 

BBB+

 

318,090

 

20,300

 

Goldman Sachs Group Inc., Series 2004-4 (CORTS)

 

 

 

6.000%

 

A3

 

431,375

 

7,500

 

Goldman Sachs Group Inc., Series GSC-3 (PPLUS)

 

 

 

6.000%

 

A3

 

158,700

 

 

 

Total Capital Markets

 

 

 

 

 

 

 

28,351,133

 

 

 

Commercial Banks – 5.1%

 

 

 

 

 

 

 

 

 

6,400

 

ASBC Capital I

 

 

 

7.625%

 

Baa3

 

140,672

 

409,182

 

Banco Santander Finance

 

 

 

10.500%

 

A-

 

11,559,391

 

231,600

 

Banesto Holdings, Series A, 144A

 

 

 

10.500%

 

Ba1

 

5,985,424

 

14,600

 

Barclays Bank PLC

 

 

 

7.750%

 

A-

 

365,730

 

24,100

 

Barclays Bank PLC

 

 

 

7.100%

 

A+

 

587,076

 

59,300

 

BB&T Capital Trust VI

 

 

 

9.600%

 

A3

 

1,701,910

 

73,300

 

BB&T Capital Trust VII

 

 

 

8.100%

 

A3

 

1,952,712

 

107,000

 

Cobank Agricultural Credit Bank, 144A

 

 

 

7.000%

 

N/R

 

4,253,250

 

31,000

 

Cobank Agricultural Credit Bank

 

 

 

11.000%

 

A

 

1,619,750

 

564,841

 

HSBC Finance Corporation

 

 

 

6.875%

 

A

 

14,092,783

 

7,300

 

HSBC Finance Corporation

 

 

 

6.000%

 

A

 

170,820

 

22,700

 

HSBC Holdings PLC

 

 

 

6.200%

 

A-

 

518,014

 

79,592

 

Merrill Lynch Preferred Capital Trust V

 

 

 

7.280%

 

Baa3

 

1,826,636

 

400

 

National City Capital Trust II

 

 

 

6.625%

 

BBB

 

9,512

 

 

 

Total Commercial Banks

 

 

 

 

 

 

 

44,783,680

 

 

 

Diversified Financial Services – 2.1%

 

 

 

 

 

 

 

 

 

73,051

 

ING Groep N.V.

 

 

 

7.200%

 

Ba1

 

1,595,434

 

644,975

 

ING Groep N.V.

 

 

 

7.050%

 

Ba1

 

13,750,867

 

100

 

JP Morgan Chase & Company

 

 

 

7.900%

 

BBB+

 

106,970

 

116,000

 

JP Morgan Chase Capital Trust XI

 

 

 

5.875%

 

A2

 

2,731,800

 

24,400

 

JP Morgan Chase Capital Trust XXIX

 

 

 

6.700%

 

A2

 

603,900

 

 

 

Total Diversified Financial Services

 

 

 

 

 

 

 

18,788,971

 

 

 

Diversified Telecommunication Services – 0.2%

 

 

 

 

 

 

 

 

 

65,702

 

BellSouth Capital Funding (CORTS)

 

 

 

7.120%

 

A

 

1,648,713

 

18,300

 

BellSouth Corporation (CORTS)

 

 

 

7.000%

 

A

 

466,079

 

 

 

Total Diversified Telecommunication Services

 

 

 

 

 

 

 

2,114,792

 

 

 

Electric Utilities – 0.2%

 

 

 

 

 

 

 

 

 

59,800

 

Entergy Texas Inc.

 

 

 

7.875%

 

BBB+

 

1,671,410

 

 

 

Food Products – 0.2%

 

 

 

 

 

 

 

 

 

25,000

 

Dairy Farmers of America Inc., 144A

 

 

 

7.875%

 

BBB-

 

2,030,470

 

 

 

Insurance – 9.0%

 

 

 

 

 

 

 

 

 

624,430

 

Aegon N.V.

 

 

 

6.375%

 

BBB

 

12,700,906

 

5,600

 

Arch Capital Group Limited, Series B

 

 

 

7.875%

 

BBB-

 

143,080

 

356,066

 

Arch Capital Group Limited

 

 

 

8.000%

 

BBB-

 

9,193,624

 

827,000

 

Delphi Financial Group, Inc.

 

 

 

8.000%

 

BBB

 

21,005,800

 

276,457

 

EverestRe Capital Trust II

 

 

 

6.200%

 

Baa1

 

6,040,585

 

75,900

 

Financial Security Assurance Holdings

 

 

 

6.250%

 

A+

 

1,468,194

 

683,867

 

PartnerRe Limited, Series C

 

 

 

6.750%

 

BBB+

 

17,000,934

 

62,457

 

PLC Capital Trust III

 

 

 

7.500%

 

BBB

 

1,514,582

 

5,800

 

PLC Capital Trust IV

 

 

 

7.250%

 

BBB

 

141,230

 

367,251

 

RenaissanceRe Holdings Limited, Series B

 

 

 

7.300%

 

BBB+

 

9,122,515

 

32,400

 

RenaissanceRe Holdings Ltd.

 

 

 

6.600%

 

BBB+

 

755,568

 

 

 

Total Insurance

 

 

 

 

 

 

 

79,087,018

 

 

 

Media – 4.6%

 

 

 

 

 

 

 

 

 

4,000

 

CBS Corporation

 

 

 

7.250%

 

BBB-

 

98,440

 

464,395

 

CBS Corporation

 

 

 

6.750%

 

BBB-

 

11,071,177

 

481,531

 

Comcast Corporation

 

 

 

7.000%

 

BBB+

 

12,230,887

 

97,000

 

Comcast Corporation

 

 

 

6.625%

 

BBB+

 

2,386,200

 

577,046

 

Viacom Inc.

 

 

 

6.850%

 

BBB

 

14,408,839

 

 

 

Total Media

 

 

 

 

 

 

 

40,195,543

 

 

 

Multi-Utilities – 1.2%

 

 

 

 

 

 

 

 

 

216,300

 

Dominion Resources Inc.

 

 

 

8.375%

 

BBB

 

6,008,814

 

163,561

 

Xcel Energy Inc.

 

 

 

7.600%

 

Baa2

 

4,403,062

 

 

 

Total Multi-Utilities

 

 

 

 

 

 

 

10,411,876

 

 

 

Oil, Gas & Consumable Fuels – 1.2%

 

 

 

 

 

 

 

 

 

429,300

 

Nexen Inc.

 

 

 

7.350%

 

BB+

 

10,719,621

 

 

 

Real Estate – 9.2%

 

 

 

 

 

 

 

 

 

99,785

 

Developers Diversified Realty Corporation, Series G

 

 

 

8.000%

 

Ba1

 

2,402,823

 

87,042

 

Duke Realty Corporation, Series O

 

 

 

8.375%

 

Baa3

 

2,226,534

 

647,700

 

HRPT Properties Trust, Series C

 

 

 

7.125%

 

Baa3

 

15,059,025

 

340,287

 

Kimco Realty Corporation, Series F

 

 

 

6.650%

 

Baa2

 

7,680,278

 

109,832

 

Kimco Realty Corporation, Series G

 

 

 

7.750%

 

Baa2

 

2,775,455

 

32,982

 

Prologis Trust, Series C

 

 

 

8.540%

 

Baa3

 

1,585,197

 

216,310

 

Public Storage, Inc.

 

 

 

6.750%

 

Baa1

 

5,221,723

 

33,774

 

Public Storage, Inc., Series C

 

 

 

6.600%

 

Baa1

 

804,834

 

43,700

 

Public Storage, Inc., Series E

 

 

 

6.750%

 

Baa1

 

1,051,859

 

9,359

 

Public Storage, Inc., Series H

 

 

 

6.950%

 

Baa1

 

228,453

 

208,158

 

Realty Income Corporation

 

 

 

6.750%

 

Baa2

 

5,156,074

 

117,684

 

Regency Centers Corporation

 

 

 

7.450%

 

Baa3

 

2,842,069

 

57,600

 

Vornado Realty LP

 

 

 

7.875%

 

BBB

 

1,449,792

 

857,862

 

 Wachovia Preferred Funding Corporation

 

 

 

7.250%

 

A-

 

19,928,134

 

583,830

 

 Weingarten Realty Trust, Preferred Securities

 

 

 

6.750%

 

Baa3

 

13,060,277

 

 

 

Total Real Estate

 

 

 

 

 

 

 

81,472,527

 

 

 

 Wireless Telecommunication Services – 0.0%

 

 

 

 

 

 

 

 

 

2,300

 

Telephone and Data Systems Inc.

 

 

 

7.600%

 

Baa2

 

57,041

 

3,200

 

United States Cellular Corporation

 

 

 

7.500%

 

Baa2

 

80,065

 

 

 

Total Wireless Telecommunication Services

 

 

 

 

 

 

 

137,106

 

 

 

Total $25 Par (or similar) Preferred Securities (cost $335,121,260)

 

 

 

 

 

 

 

319,764,147

 

 

 

 

 

 

Weighted

 

 

 

 

 

 

 

Principal

 

 

 

Average

 

 

 

 

 

 

 

Amount (000)

 

Description (1)

 

Coupon

 

Maturity (5)

 

Ratings (4)

 

Value

 

 

 

Variable Rate Senior Loan Interests – 7.7% (5.9% of Total Investments) (6)

 

 

 

 

 

 

 

Aerospace & Defense – 0.3%

 

 

 

 

 

 

 

 

 

$       276

 

Aveos Fleet Performance, Inc., ABL Term Loan

 

11.250%

 

3/12/13

 

N/R

 

$       278,459

 

277

 

Aveos Fleet Performance, Inc., Term Loan

 

10.750%

 

3/12/15

 

N/R

 

256,029

 

574

 

DAE Aviation Holdings, Inc., Term Loan B1

 

4.000%

 

7/31/14

 

B

 

541,436

 

559

 

DAE Aviation Holdings, Inc., Term Loan B2

 

4.000%

 

7/31/14

 

B

 

526,989

 

600

 

McKechnie Aerospace Holdings, Inc., Term Loan

 

5.250%

 

5/11/15

 

N/R

 

532,125

 

2,286

 

Total Aerospace & Defense

 

 

 

 

 

 

 

2,135,038

 

 

 

Airlines – 0.1%

 

 

 

 

 

 

 

 

 

973

 

Delta Air Lines, Inc., Term Loan

 

3.501%

 

4/30/14

 

B

 

893,484

 

 

 

Automobiles – 0.1%

 

 

 

 

 

 

 

 

 

1,186

 

Ford Motor Company, Term Loan

 

3.258%

 

12/15/13

 

Ba2

 

1,148,600

 

 

 

Building Products – 0.4%

 

 

 

 

 

 

 

 

 

2,524

 

Building Materials Corporation of America, Term Loan

 

3.000%

 

2/22/14

 

BBB-

 

2,495,999

 

1,000

 

TFS Acquisition, Term Loan

 

10.000%

 

8/11/13

 

CCC+

 

950,160

 

3,524

 

Total Building Products

 

 

 

 

 

 

 

3,446,159

 

 

 

Chemicals – 0.3%

 

 

 

 

 

 

 

 

 

399

 

Hercules Offshore, Inc., Term Loan

 

6.000%

 

7/11/13

 

B

 

390,256

 

463

 

LyondellBasell Finance Company, DIP Term Loan, (7), (8)

 

13.000%

 

6/03/10

 

N/R

 

490,510

 

36

 

LyondellBasell Finance Company, Dutch Revolving Line of Credit, (7), (8)

 

3.748%

 

12/20/13

 

N/R

 

28,498

 

79

 

LyondellBasell Finance Company, Dutch Tranche A, Term Loan, (7), (8)

 

3.748%

 

12/20/13

 

N/R

 

62,726

 

 


 

104

 

LyondellBasell Finance Company, German Tranche B1, Euro Term Loan, (7), (8)

 

3.998%

 

12/22/14

 

N/R

 

81,816

 

104

 

LyondellBasell Finance Company, German Tranche B2, Euro Term Loan, (7), (8)

 

3.998%

 

12/20/14

 

N/R

 

81,816

 

104

 

LyondellBasell Finance Company, German Tranche B3, Euro Term Loan, (7), (8)

 

3.998%

 

12/22/14

 

N/R

 

81,816

 

135

 

LyondellBasell Finance Company, Revolving Line of Credit, (7), (8)

 

3.748%

 

12/20/13

 

N/R

 

106,868

 

258

 

LyondellBasell Finance Company, US Tranche A, Term Loan, (7), (8)

 

3.748%

 

12/20/13

 

N/R

 

203,614

 

450

 

LyondellBasell Finance Company, US Tranche B1, Term Loan, (7), (8)

 

7.000%

 

12/22/14

 

N/R

 

355,021

 

450

 

LyondellBasell Finance Company, US Tranche B2, Term Loan, (7), (8)

 

7.000%

 

12/22/14

 

N/R

 

355,021

 

450

 

LyondellBasell Finance Company, US Tranche B3, Term Loan, (7), (8)

 

7.000%

 

12/22/14

 

N/R

 

355,021

 

3,032

 

Total Chemicals

 

 

 

 

 

 

 

2,592,983

 

 

 

Communications Equipment – 0.2%

 

 

 

 

 

 

 

 

 

1,985

 

Avaya Inc., Term Loan

 

3.002%

 

10/26/14

 

B1

 

1,775,890

 

 

 

Diversified Consumer Services – 0.1%

 

 

 

 

 

 

 

 

 

965

 

Cengage Learning Acquisitions, Inc., Term Loan

 

2.790%

 

7/05/14

 

B+

 

853,008

 

 

 

Electric Utilities – 0.3%

 

 

 

 

 

 

 

 

 

555

 

Calpine Corporation, DIP Term Loan

 

3.165%

 

3/29/14

 

B+

 

538,502

 

975

 

TXU Corporation, Term Loan B2

 

3.730%

 

10/10/14

 

B+

 

803,089

 

1,345

 

TXU Corporation, Term Loan B3

 

3.730%

 

10/10/14

 

B+

 

1,095,719

 

2,875

 

Total Electric Utilities

 

 

 

 

 

 

 

2,437,310

 

 

 

Electrical Equipment – 0.0%

 

 

 

 

 

 

 

 

 

239

 

Allison Transmission Holdings, Inc., Term Loan

 

2.999%

 

8/07/14

 

B

 

228,047

 

 

 

Health Care Providers & Services – 0.6%

 

 

 

 

 

 

 

 

 

65

 

Community Health Systems, Inc., Delayed Term Loan

 

2.502%

 

7/25/14

 

BB

 

63,108

 

1,307

 

Community Health Systems, Inc., Term Loan

 

2.502%

 

7/25/14

 

BB

 

1,275,708

 

473

 

Concentra, Inc., Term Loan

 

2.550%

 

6/25/14

 

Ba3

 

451,375

 

736

 

HCA, Inc., Term Loan A

 

1.790%

 

11/17/12

 

BB

 

716,709

 

517

 

Health Management Associates, Inc., Term Loan

 

2.040%

 

2/28/14

 

BB-

 

501,999

 

182

 

IASIS Healthcare LLC, Delayed Term Loan

 

2.248%

 

3/14/14

 

Ba2

 

175,920

 

49

 

IASIS Healthcare LLC, Letter of Credit

 

2.247%

 

3/14/14

 

Ba2

 

47,748

 

527

 

IASIS Healthcare LLC, Term Loan

 

2.248%

 

3/14/14

 

Ba2

 

508,308

 

981

 

Select Medical Corporation, Term Loan B2

 

2.251%

 

2/24/12

 

Ba2

 

949,941

 

585

 

Select Medical Corporation, Term Loan

 

2.251%

 

2/24/12

 

Ba2

 

566,404

 

5,422

 

Total Health Care Providers & Services

 

 

 

 

 

 

 

5,257,220

 

 

 

Hotels, Restaurants & Leisure – 0.7%

 

 

 

 

 

 

 

 

 

1,456

 

CCM Merger, Inc., Term Loan B

 

8.500%

 

7/13/12

 

BB-

 

1,437,328

 

488

 

Cedar Fair LP, Extended US Term Loan

 

4.248%

 

8/30/14

 

BB-

 

486,078

 

170

 

Cedar Fair LP, Term Loan

 

2.248%

 

8/30/12

 

BB-

 

168,622

 

507

 

Harrah’s Operating Company, Inc., Term Loan B2

 

3.249%

 

1/28/15

 

B-

 

438,641

 

134

 

Travelport LLC, Letter of Credit

 

2.790%

 

8/23/13

 

Ba3

 

130,338

 

669

 

Travelport LLC, Term Loan

 

2.790%

 

8/23/13

 

Ba3

 

649,576

 

780

 

Venetian Casino Resort LLC, Delayed Term Loan

 

2.050%

 

5/23/14

 

B-

 

715,841

 

2,692

 

Venetian Casino Resort LLC, Term Loan

 

2.050%

 

5/23/14

 

B-

 

2,471,325

 

6,896

 

Total Hotels, Restaurants & Leisure

 

 

 

 

 

 

 

6,497,749

 

 

 

Insurance – 0.2%

 

 

 

 

 

 

 

 

 

1,502

 

Conseco, Inc., Term Loan

 

7.500%

 

10/10/13

 

B-

 

1,460,006

 

 

 

IT Services – 0.4%

 

 

 

 

 

 

 

 

 

765

 

First Data Corporation, Term Loan B1

 

3.000%

 

9/24/14

 

B+

 

679,671

 

1,581

 

Infor Global Solutions Intermediate Holdings, Ltd., Delayed Term Loan

 

4.000%

 

7/28/12

 

B+

 

1,534,002

 

825

 

Infor Global Solutions Intermediate Holdings, Ltd., Term Loan

 

4.000%

 

7/28/12

 

B+

 

800,334

 

790

 

SunGard Data Systems, Inc., Term Loan B

 

1.979%

 

2/28/14

 

BB

 

764,496

 

3,961

 

Total IT Services

 

 

 

 

 

 

 

3,778,503

 

 

 

Leisure Equipment & Products – 0.1%

 

 

 

 

 

 

 

 

 

388

 

Herbst Gaming, Inc., Delayed Term Loan, (7), (8)

 

0.000%

 

12/02/11

 

D

 

212,977

 

447

 

Herbst Gaming, Inc., Term Loan, (7), (8)

 

0.000%

 

12/02/11

 

D

 

245,119

 

835

 

Total Leisure Equipment & Products

 

 

 

 

 

 

 

458,096

 

 

 

Media – 2.1%

 

 

 

 

 

 

 

 

 

1,059

 

Cequel Communications LLC, Term Loan B

 

2.253%

 

11/05/13

 

BB-

 

1,034,467

 

3,335

 

Charter Communications Operating Holdings LLC, Term Loan

 

2.310%

 

3/06/14

 

BB+

 

3,227,299

 

1,545

 

Citadel Broadcasting Corporation, Term Loan, (9)

 

1.750%

 

6/12/14

 

D

 

1,382,785

 

1,110

 

Gray Television, Inc., Term Loan B

 

3.750%

 

12/31/14

 

Caa1

 

1,068,349

 

790

 

Metro-Goldwyn-Mayer Studios, Inc., Term Loan B, (10)

 

18.250%

 

4/08/12

 

N/R

 

380,769

 

578

 

Nielsen Finance LLC, Term Loan A

 

2.229%

 

8/09/13

 

Ba3

 

555,328

 

1,240

 

Nielsen Finance LLC, Term Loan B

 

3.979%

 

5/02/16

 

Ba3

 

1,220,548

 

944

 

Philadelphia Newspapers, Term Loan, (7), (8)

 

5.500%

 

6/29/13

 

N/R

 

297,392

 

382

 

SuperMedia, Term Loan

 

8.000%

 

12/31/15

 

B-

 

359,319

 

5,925

 

Tribune Company, Term Loan B, (7), (8)

 

3.000%

 

6/04/14

 

Ca

 

3,787,064

 

890

 

Tribune Company, Term Loan X, (7), (8)

 

2.750%

 

N/A

 

Ca

 

561,085

 

5,400

 

Univision Communications, Inc., Term Loan

 

2.540%

 

9/29/14

 

B2

 

4,823,534

 

23,198

 

Total Media

 

 

 

 

 

 

 

18,697,939

 

 

 

Metals & Mining – 0.1%

 

 

 

 

 

 

 

 

 

1,308

 

John Maneely Company, Term Loan

 

3.501%

 

12/08/13

 

B

 

1,247,386

 

 

 

Oil, Gas & Consumable Fuels – 0.2%

 

 

 

 

 

 

 

 

 

1,960

 

CCS Income Trust, Term Loan

 

3.248%

 

11/14/14

 

B

 

1,718,342

 

 

 

Pharmaceuticals – 0.2%

 

 

 

 

 

 

 

 

 

2,000

 

Royalty Pharma Finance Trust, Unsecured Term Loan

 

7.750%

 

5/15/15

 

Baa3

 

1,950,000

 

 

 

Real Estate Management & Development – 0.4%

 

 

 

 

 

 

 

 

 

2,515

 

LNR Property Corporation, Term Loan B

 

3.480%

 

7/12/11

 

CCC

 

2,312,195

 

1,634

 

Realogy Corporation, Delayed Term Loan

 

3.250%

 

10/10/13

 

Caa1

 

1,447,769

 

4,149

 

Total Real Estate Management & Development

 

 

 

 

 

 

 

3,759,964

 

 

 

Road & Rail – 0.1%

 

 

 

 

 

 

 

 

 

913

 

Swift Transportation Company, Inc., Term Loan

 

8.250%

 

5/10/14

 

B-

 

876,364

 

 

 

Specialty Retail – 0.8%

 

 

 

 

 

 

 

 

 

2,391

 

Burlington Coat Factory Warehouse Corporation, Term Loan

 

2.500%

 

5/28/13

 

B-

 

2,291,387

 

990

 

Claire’s Stores, Inc., Term Loan B

 

3.040%

 

5/29/14

 

B-

 

873,725

 

887

 

Michaels Stores, Inc., Term Loan B1

 

2.537%

 

10/31/13

 

B

 

845,769

 

1,194

 

Michaels Stores, Inc., Term Loan B2

 

4.787%

 

7/31/16

 

B

 

1,164,700

 

1,600

 

Toys “R” Us - Delaware, Inc., Term Loan B

 

4.496%

 

7/19/12

 

BB-

 

1,606,902

 

7,062

 

Total Specialty Retail

 

 

 

 

 

 

 

6,782,483

 

$ 76,271

 

Total Variable Rate Senior Loan Interests (cost $70,916,382)

 

 

 

 

 

 

 

67,994,571

 

Principal

 

 

 

 

 

 

 

 

 

 

 

Amount (000)

 

Description (1)

 

Coupon

 

Maturity

 

Ratings (4)

 

Value

 

 

 

Convertible Bonds – 11.6% (8.8% of Total Investments)

 

 

 

 

 

 

 

 

 

 

 

Aerospace & Defense – 0.5%

 

 

 

 

 

 

 

 

 

$       550

 

Alliant Techsystems, Inc., Convertible Bonds

 

2.750%

 

9/15/11

 

BB-

 

$     563,750

 

250

 

Alliant Techsystems, Inc., Convertible Bonds

 

2.750%

 

2/15/24

 

BB-

 

269,375

 

2,650

 

L-3 Communications Corporation, Convertible Bond

 

3.000%

 

8/01/35

 

BB+

 

2,802,375

 

300

 

Orbital Sciences Corporation, Convertible Bond

 

2.438%

 

1/15/27

 

BB-

 

310,125

 

3,750

 

Total Aerospace & Defense

 

 

 

 

 

 

 

3,945,625

 

 

 

Airlines – 0.2%

 

 

 

 

 

 

 

 

 

948

 

JetBlue Airways Corporation

 

6.750%

 

10/15/39

 

CCC

 

1,331,940

 

 

 

Auto Components – 0.1%

 

 

 

 

 

 

 

 

 

500

 

BorgWarner Inc.

 

3.500%

 

4/15/12

 

BBB

 

656,250

 

 

 

Beverages – 0.1%

 

 

 

 

 

 

 

 

 

450

 

Molson Coors Brewing Company, Senior Convertible Notes

 

2.500%

 

7/30/13

 

BBB-

 

491,063

 

 

 

Biotechnology – 0.4%

 

 

 

 

 

 

 

 

 

2,400

 

Amgen Inc.

 

0.375%

 

2/01/13

 

A+

 

2,445,000

 

450

 

BioMarin Pharmaceutical Inc.

 

1.875%

 

4/23/17

 

B-

 

576,000

 

200

 

Invitrogen Corporation, Convertible Bond

 

2.000%

 

8/01/23

 

BBB-

 

307,500

 

3,050

 

Total Biotechnology

 

 

 

 

 

 

 

3,328,500

 

 

 

Capital Markets – 0.1%

 

 

 

 

 

 

 

 

 

450

 

Affiliated Managers Group Inc.

 

3.950%

 

8/15/38

 

BBB-

 

446,625

 

300

 

BlackRock Inc.

 

2.625%

 

2/15/35

 

A+

 

661,125

 

750

 

Total Capital Markets

 

 

 

 

 

 

 

1,107,750

 

 

 

Commercial Banks – 0.4%

 

 

 

 

 

 

 

 

 

1,790

 

National City Corporation, Convertible Senior Notes

 

4.000%

 

2/01/11

 

A

 

1,830,275

 

300

 

SVB Financial Group, Convertible Bond, 144A

 

3.875%

 

4/15/11

 

A3

 

321,375

 

850

 

U.S. Bancorp, Convertible Bonds, Floating Rate

 

0.000%

 

12/11/35

 

Aa3

 

842,563

 

2,940

 

Total Commercial Banks

 

 

 

 

 

 

 

2,994,213

 

 

 

Commercial Services & Supplies – 0.2%

 

 

 

 

 

 

 

 

 

500

 

Covanta Holding Corporation, Convertible Bonds

 

3.250%

 

6/01/14

 

Ba3

 

543,125

 

450

 

Covanta Holding Corporation, Convertible Bonds

 

1.000%

 

2/01/27

 

Ba3

 

424,688

 

400

 

Universal City Development Partners, 144A

 

8.875%

 

11/15/15

 

B3

 

405,000

 

1,350

 

Total Commercial Services & Supplies

 

 

 

 

 

 

 

1,372,813

 

 

 

Communications Equipment – 0.2%

 

 

 

 

 

 

 

 

 

400

 

Ciena Corporation, Convertible Bond

 

0.250%

 

5/01/13

 

B

 

334,000

 

400

 

Ciena Corporation, Convertible Bond

 

0.875%

 

6/15/17

 

B

 

272,000

 

350

 

CommScope Inc.

 

3.250%

 

7/01/15

 

B

 

425,688

 

750

 

Lucent Technologies Inc., Series B

 

2.875%

 

6/15/25

 

B1

 

653,438

 

400

 

Lucent Technologies Inc.

 

2.875%

 

6/15/23

 

B1

 

401,000

 

2,300

 

Total Communications Equipment

 

 

 

 

 

 

 

2,086,126

 

 

 

Computers & Peripherals – 0.5%

 

 

 

 

 

 

 

 

 

1,000

 

EMC Corporation, Convertible Bonds, 144A

 

1.750%

 

12/01/11

 

A-

 

1,216,250

 

600

 

EMC Corporation, Convertible Bonds, 144A

 

1.750%

 

12/01/13

 

A-

 

753,000

 

500

 

EMC Corporation, Convertible Bonds

 

1.750%

 

12/01/11

 

A-

 

608,125

 

750

 

EMC Corporation, Convertible Bonds

 

1.750%

 

12/01/13

 

A-

 

941,250

 

250

 

Maxtor Corporation, Convertible Bonds

 

2.375%

 

8/15/12

 

B

 

292,813

 

850

 

Sandisk Corporation, Convertible Bond

 

1.000%

 

5/15/13

 

B

 

738,438

 

3,950

 

Total Computers & Peripherals

 

 

 

 

 

 

 

4,549,876

 

 


 

 

 

Construction & Engineering – 0.0%

 

 

 

 

 

 

 

 

 

200

 

Fluor Corporation, Convertible Bonds

 

1.500%

 

2/15/24

 

A3

 

335,625

 

 

 

Consumer Finance – 0.0%

 

 

 

 

 

 

 

 

 

250

 

Americredit Corporation

 

0.750%

 

9/15/11

 

B-

 

251,875

 

 

 

Diversified Consumer Services – 0.0%

 

 

 

 

 

 

 

 

 

250

 

Sotheby’s Holdings Inc., Convertible Bond

 

3.125%

 

6/15/13

 

B1

 

283,125

 

 

 

Diversified Financial Services – 0.1%

 

 

 

 

 

 

 

 

 

800

 

NASDAQ Stock Market Inc., Convertible Bond

 

2.500%

 

8/15/13

 

BBB

 

774,000

 

350

 

PHH Corporation

 

4.000%

 

4/15/12

 

Ba2

 

448,000

 

1,150

 

Total Diversified Financial Services

 

 

 

 

 

 

 

1,222,000

 

 

 

Diversified Telecommunication Services – 0.2%

 

 

 

 

 

 

 

 

 

650

 

Qwest Communications International Inc.

 

3.500%

 

11/15/25

 

B+

 

734,500

 

500

 

Time Warner Telecom Inc., Convertible Bond

 

2.375%

 

4/01/26

 

B-

 

571,875

 

1,150

 

Total Diversified Telecommunication Services

 

 

 

 

 

 

 

1,306,375

 

 

 

Electrical Equipment – 0.1%

 

 

 

 

 

 

 

 

 

237

 

General Cable Corporation, Convertible Bonds

 

0.875%

 

11/15/13

 

Ba3

 

205,894

 

323

 

General Cable Corporation, Convertible Bonds

 

4.500%

 

11/15/29

 

B

 

312,099

 

350

 

Roper Industries Inc.

 

0.000%

 

1/15/34

 

BB+

 

252,875

 

910

 

Total Electrical Equipment

 

 

 

 

 

 

 

770,868

 

 

 

Electronic Equipment & Instruments – 0.2%

 

 

 

 

 

 

 

 

 

450

 

Anixter International Inc., Convertible Bond

 

0.000%

 

7/07/33

 

BB-

 

322,875

 

350

 

Itron Inc.

 

2.500%

 

8/01/26

 

B-

 

428,750

 

650

 

Tech Data Corporation, Convertible Bonds

 

2.750%

 

12/15/26

 

BBB-

 

680,875

 

1,450

 

Total Electronic Equipment & Instruments

 

 

 

 

 

 

 

1,432,500

 

 

 

Energy Equipment & Services – 1.0%

 

 

 

 

 

 

 

 

 

350

 

Cameron International Corporation, Convertible Bonds

 

2.500%

 

6/15/26

 

BBB+

 

464,625

 

350

 

Exterran Holdings Inc., Convertible Bond

 

4.250%

 

6/15/14

 

BB

 

435,313

 

800

 

Nabors Industries Inc., Convertible Bond Series, 144A

 

0.940%

 

5/15/11

 

BBB+

 

797,000

 

950

 

Nabors Industries Inc., Convertible Bond

 

0.940%

 

5/15/11

 

BBB+

 

946,438

 

250

 

Schlumberger Limited

 

2.125%

 

6/01/23

 

A+

 

396,563

 

300

 

SESI LLC, Convertible Bond, 144A

 

1.500%

 

12/15/26

 

BB+

 

280,125

 

1,150

 

Transocean Inc., Convertible Bond

 

1.625%

 

12/15/37

 

BBB+

 

1,151,438

 

2,000

 

Transocean Inc.

 

1.500%

 

12/15/37

 

BBB+

 

1,962,500

 

1,950

 

Transocean Inc.

 

1.500%

 

12/15/37

 

BBB+

 

1,876,875

 

8,100

 

Total Energy Equipment & Services

 

 

 

 

 

 

 

8,310,877

 

 

 

Food Products – 0.3%

 

 

 

 

 

 

 

 

 

250

 

Archer Daniels Midland Company, Convertible Bonds, 144A

 

0.875%

 

2/15/14

 

A

 

249,063

 

750

 

Archer Daniels Midland Company, Convertible Bonds

 

0.875%

 

2/15/14

 

A

 

747,188

 

300

 

Chiquita Brands International Inc., Convertible Bond

 

4.250%

 

8/15/16

 

B

 

299,250

 

550

 

Smithfield Foods Inc., Convertible Bond

 

4.000%

 

6/30/13

 

B-

 

632,500

 

500

 

Tyson Foods inc., Convertible Bond

 

3.250%

 

10/15/13

 

BB

 

641,875

 

2,350

 

Total Food Products

 

 

 

 

 

 

 

2,569,876

 

 

 

Health Care Equipment & Supplies – 0.8%

 

 

 

 

 

 

 

 

 

100

 

Beckman Coulter Inc., Convertible Bonds, 144A

 

2.500%

 

12/15/36

 

BBB

 

112,500

 

500

 

Beckman Coulter Inc., Convertible Bonds

 

2.500%

 

12/15/36

 

BBB

 

562,500

 

1,850

 

Hologic Inc.

 

2.000%

 

12/15/37

 

BB-

 

1,665,000

 

200

 

Invacare Corporation, Convertible Bond

 

4.125%

 

2/01/27

 

B-

 

242,500

 

250

 

Inverness Medical Innovation Inc., Convertible Bonds

 

3.000%

 

5/15/16

 

B-

 

278,438

 

600

 

Kinetic Concepts Inc., Convertible Bond, 144A

 

3.250%

 

4/15/15

 

B+

 

678,000

 

1,200

 

Medtronic, Inc., Convertible Bond

 

1.500%

 

4/15/11

 

AA-

 

1,225,500

 

2,000

 

Medtronic, Inc., Convertible Bond

 

1.625%

 

4/15/13

 

AA-

 

2,125,000

 

6,700

 

Total Health Care Equipment & Supplies

 

 

 

 

 

 

 

6,889,438

 

 

 

Health Care Providers & Services – 0.4%

 

 

 

 

 

 

 

 

 

400

 

AmeriGroup Corporation, Convertible Bond

 

2.000%

 

5/15/12

 

BB

 

408,000

 

300

 

LifePoint Hospitals, Inc., Convertible Bonds

 

3.250%

 

8/15/25

 

B1

 

293,625

 

450

 

LifePoint Hospitals, Inc., Convertible Bonds

 

3.500%

 

5/15/14

 

B

 

451,125

 

2,585

 

Omnicare, Inc.

 

3.250%

 

12/15/35

 

B+

 

2,200,481

 

250

 

PSS World Medical Inc. Convertible Note, 144A

 

3.125%

 

8/01/14

 

BB

 

314,063

 

3,985

 

Total Health Care Providers & Services

 

 

 

 

 

 

 

3,667,294

 

 

 

Hotels, Restaurants & Leisure – 0.2%

 

 

 

 

 

 

 

 

 

900

 

Carnival Corporation

 

2.000%

 

4/15/21

 

A3

 

968,625

 

800

 

International Game Technology

 

3.250%

 

5/01/14

 

BBB

 

955,000

 

1,700

 

Total Hotels, Restaurants & Leisure

 

 

 

 

 

 

 

1,923,625

 

 

 

Household Durables – 0.1%

 

 

 

 

 

 

 

 

 

400

 

D.R. Horton, Inc.

 

2.000%

 

5/15/14

 

BB-

 

473,000

 

350

 

Newell Rubbermaid Inc.

 

5.500%

 

3/15/14

 

BBB-

 

658,875

 

750

 

Total Household Durables

 

 

 

 

 

 

 

1,131,875

 

 

 

Independent Power Producers & Energy Traders – 0.0%

 

 

 

 

 

 

 

 

 

300

 

Allegheny Technologies Inc., Convetible Bond

 

4.250%

 

6/01/14

 

BBB-

 

440,625

 

 

 

Insurance – 0.1%

 

 

 

 

 

 

 

 

 

450

 

Old Republic International Corporation

 

8.000%

 

5/15/12

 

BBB+

 

565,875

 

 

 

Internet & Catalog Retail – 0.1%

 

 

 

 

 

 

 

 

 

50

 

Priceline.com Inc., Convertible Bond

 

0.500%

 

9/30/11

 

BB

 

315,938

 

150

 

Priceline.com Inc., Convertible Bond

 

0.750%

 

9/30/13

 

BB

 

947,813

 

200

 

Total Internet & Catalog Retail

 

 

 

 

 

 

 

1,263,751

 

 

 

Internet Software & Services – 0.1%

 

 

 

 

 

 

 

 

 

350

 

Equinix Inc., Convertible Bond

 

3.000%

 

10/15/14

 

B-

 

369,688

 

500

 

Equinix Inc.

 

4.750%

 

6/15/16

 

B-

 

682,500

 

850

 

Total Internet Software & Services

 

 

 

 

 

 

 

1,052,188

 

 

 

IT Services – 0.1%

 

 

 

 

 

 

 

 

 

150

 

Macrovision Corporation, Convertible Bonds

 

2.625%

 

8/15/11

 

BB-

 

206,063

 

300

 

Verifone Holdings Inc.

 

1.375%

 

6/15/12

 

B

 

277,125

 

450

 

Total IT Services

 

 

 

 

 

 

 

483,188

 

 

 

Leisure Equipment & Products – 0.1%

 

 

 

 

 

 

 

 

 

450

 

Hasbro Inc.

 

2.750%

 

12/01/21

 

BBB

 

798,750

 

 

 

Life Sciences Tools & Services – 0.3%

 

 

 

 

 

 

 

 

 

500

 

Apogent Technologies, Inc., Convertible Bonds

 

0.000%

 

12/15/33

 

A-

 

876,250

 

400

 

Charles River Laboratories International, Inc.

 

2.250%

 

6/15/13

 

BB+

 

409,500

 

300

 

Invitrogen Corporation, Convertible Bond

 

1.500%

 

2/15/24

 

BBB-

 

353,250

 

350

 

Invitrogen Corporation, Convertible Bond

 

3.250%

 

6/15/25

 

BBB-

 

412,563

 

300

 

Millipore Corporation, Convertible Bonds

 

3.750%

 

6/01/26

 

BB-

 

376,875

 

1,850

 

Total Life Sciences Tools & Services

 

 

 

 

 

 

 

2,428,438

 

 

 

Machinery – 0.1%

 

 

 

 

 

 

 

 

 

350

 

Ingersoll Rand

 

4.500%

 

4/15/12

 

BBB+

 

700,000

 

200

 

Terex Corporation

 

4.000%

 

6/01/15

 

B

 

312,000

 

550

 

Total Machinery

 

 

 

 

 

 

 

1,012,000

 

 

 

Media – 0.4%

 

 

 

 

 

 

 

 

 

400

 

Interpublic Group Companies Inc., Convertible Notes

 

4.250%

 

3/15/23

 

Ba2

 

418,500

 

700

 

Liberty Media Corporation, Senior Debentures, Exchangeable for PCS Common Stock, Series 1

 

4.000%

 

11/15/29

 

BB-

 

383,250

 

1,800

 

Liberty Media Corporation

 

3.125%

 

3/30/23

 

BB-

 

1,919,250

 

550

 

Omnicom Group, Inc.

 

0.000%

 

7/01/38

 

A-

 

547,250

 

3,450

 

Total Media

 

 

 

 

 

 

 

3,268,250

 

 

 

Metals & Mining – 0.7%

 

 

 

 

 

 

 

 

 

500

 

Alcoa Inc., Convertible Bond

 

5.250%

 

3/15/14

 

Baa3

 

1,159,375

 

227

 

First Uranium Corporation, WI/DD, (12)

 

7.000%

 

3/31/13

 

N/R

 

216,238

 

2,000

 

Gold Reserve, Inc., Convertible Bonds

 

5.500%

 

6/15/22

 

N/R

 

1,390,000

 

200

 

Newmont Mining Corp., Senior Convertible Note

 

1.625%

 

7/15/17

 

BBB+

 

259,250

 

450

 

Newmont Mining Corporation, 144A

 

1.625%

 

7/15/17

 

BBB+

 

583,313

 

600

 

Newmont Mining Corporation

 

1.250%

 

7/15/14

 

BBB+

 

773,250

 

250

 

Steel Dynamics, Inc.

 

5.125%

 

6/15/14

 

BB+

 

308,750

 

750

 

United States Steel Corporation

 

4.000%

 

5/15/14

 

BB

 

1,579,688

 

4,977

 

Total Metals & Mining

 

 

 

 

 

 

 

6,269,864

 

 

 

Multiline Retail – 0.0%

 

 

 

 

 

 

 

 

 

350

 

Saks, Inc., Convertible Bonds

 

2.000%

 

3/15/24

 

B-

 

333,375

 

 

 

Oil, Gas & Consumable Fuels – 0.8%

 

 

 

 

 

 

 

 

 

200

 

Alpha Natural Resouces Inc., Convertible Bond

 

2.375%

 

4/15/15

 

BB

 

235,250

 

450

 

Chesapeake Energy Corporation, 144A

 

2.750%

 

11/15/35

 

BB

 

416,813

 

750

 

Chesapeake Energy Corporation, Convertible Bonds

 

2.500%

 

5/15/37

 

BB

 

618,750

 

800

 

Chesapeake Energy Corporation, Convertible Bonds

 

2.250%

 

12/15/38

 

BB

 

586,000

 

500

 

Massey Energy Company, Convertible Bond

 

3.250%

 

8/01/15

 

BB-

 

487,500

 

2,750

 

Peabody Energy Corp., Convertible Bond

 

4.750%

 

12/15/66

 

Ba3

 

2,990,625

 

300

 

Penn Virginia Corporation

 

4.500%

 

11/15/12

 

B

 

283,500

 

500

 

Pioneer Natural Resouces Company, Convertible Bond

 

2.875%

 

1/15/38

 

BB+

 

576,875

 

1,075

 

USEC Inc., Convertible Bond

 

3.000%

 

10/01/14

 

Caa2

 

873,438

 

7,325

 

Total Oil, Gas & Consumable Fuels

 

 

 

 

 

 

 

7,068,751

 

 

 

Pharmaceuticals – 0.5%

 

 

 

 

 

 

 

 

 

300

 

Allergan Inc., Convertible Bond

 

1.500%

 

4/01/26

 

A

 

344,250

 

750

 

King Pharmaceuticals Inc., Convertible Bonds

 

1.250%

 

4/01/26

 

BB

 

692,813

 

550

 

Mylan Labs, Inc., Convertible Bonds

 

1.250%

 

3/15/12

 

BB-

 

613,250

 

600

 

Mylan Labs, Inc., Convertible Bonds

 

3.750%

 

9/15/15

 

BB-

 

669,962

 

900

 

Teva Pharmaceutical Finance Company B.V., Series D

 

1.750%

 

2/01/26

 

A-

 

1,165,500

 

350

 

Teva Pharmaceutical Finance Company LLC, Convertible Bonds

 

0.250%

 

2/01/26

 

A-

 

476,438

 

183

 

Teva Pharmaceutical Finance, Series B

 

0.250%

 

2/01/24

 

A-

 

336,034

 

275

 

Valeant Pharmaceuticals International Convertible Bond

 

4.000%

 

11/15/13

 

B-

 

384,313

 

3,908

 

Total Pharmaceuticals

 

 

 

 

 

 

 

4,682,560

 

 

 

Real Estate – 1.0%

 

 

 

 

 

 

 

 

 

1,250

 

Boston Properties Limited Partnership, Convertible Bonds, 144A

 

3.625%

 

2/15/14

 

A-

 

1,256,250

 

850

 

Boston Properties Limited Partnership, Convertible Bonds, 144A

 

2.875%

 

2/15/37

 

A-

 

851,063

 

450

 

Boston Properties Limited Partnership, Convertible Bonds

 

2.875%

 

2/15/37

 

A2

 

450,563

 

250

 

Brandywine Operating Partnership, Convertible Bonds

 

3.875%

 

10/15/26

 

BBB-

 

250,625

 

300

 

Duke Realty Corporation, Series D, 144A

 

3.750%

 

12/01/11

 

BBB-

 

301,500

 

450

 

ERP Operating LP

 

3.850%

 

8/15/26

 

BBB+

 

452,250

 

200

 

Health Care REIT, Inc., Convertible Bonds

 

4.750%

 

12/01/26

 

Baa2

 

222,500

 

200

 

Health Care REIT, Inc., Convertible Bonds

 

4.750%

 

7/15/27

 

Baa2

 

224,750

 

350

 

Hospitality Properties Trust, Convertible Bonds

 

3.800%

 

3/15/27

 

BBB

 

350,000

 

1,050

 

Host Hotels & Resorts Inc, Convertible Bonds, 144A

 

2.625%

 

4/15/27

 

BB+

 

1,010,625

 

450

 

Host Marriot LP, Convertible Bonds, 144A

 

3.250%

 

4/15/24

 

BB+

 

462,375

 

250

 

Prologis Trust, Convertible Bonds, 144A

 

2.250%

 

4/01/37

 

BBB-

 

244,375

 

1,500

 

Prologis Trust, Convertible Bonds

 

2.250%

 

4/01/37

 

BBB-

 

1,466,250

 

250

 

Rayonier Trust Holdings Inc., Convertible Bond

 

3.750%

 

10/15/12

 

BBB

 

274,063

 

200

 

Ventas Inc., Convertible Bond, 144A

 

3.875%

 

11/15/11

 

BBB-

 

232,750

 

800

 

Vornado Realty, Convertible Bond

 

3.875%

 

4/15/25

 

BBB

 

878,999

 

8,800

 

Total Real Estate

 

 

 

 

 

 

 

8,928,938

 

 

 

Semiconductors & Equipment – 0.9%

 

 

 

 

 

 

 

 

 

1,650

 

Advanced Micro Devices, Inc., Convertible Bonds, 144A

 

6.000%

 

5/01/15

 

B-

 

1,590,187

 

637

 

Advanced Micro Devices, Inc., Convertible Bonds

 

5.750%

 

8/15/12

 

B-

 

637,795

 

1,150

 

Intel Corporation, Convertible Bond

 

2.950%

 

12/15/35

 

A-

 

1,134,187

 

1,650

 

Intel Corporation, Convertible Bond

 

3.250%

 

8/01/39

 

A2

 

1,986,187

 

1,400

 

Micron Technology, Inc.

 

1.875%

 

6/01/14

 

B-

 

1,345,749

 

750

 

ON Semiconductor Corporation

 

2.625%

 

12/15/26

 

B+

 

769,687

 

300

 

Xilinx Inc., Convertible Bond, 144A

 

3.125%

 

3/15/37

 

BB

 

278,249

 

450

 

Xilinx Inc., Convertible Bond

 

3.125%

 

3/15/37

 

BB

 

417,374

 

7,987

 

Total Semiconductors & Equipment

 

 

 

 

 

 

 

8,159,415

 

 

 

Software – 0.0%

 

 

 

 

 

 

 

 

 

300

 

Nuance Communications Inc.

 

2.750%

 

8/15/27

 

B-

 

325,874

 

 

 

Specialty Retail – 0.1%

 

 

 

 

 

 

 

 

 

500

 

Best Buy Co., Inc.

 

2.250%

 

1/15/22

 

Baa3

 

559,999

 

250

 

United Auto Group, Inc., Convertible Bonds

 

3.500%

 

4/01/26

 

B-

 

250,624

 

750

 

Total Specialty Retail

 

 

 

 

 

 

 

810,623

 

 

 

Textiles, Apparel & Luxury Goods – 0.1%

 

 

 

 

 

 

 

 

 

550

 

Iconix Brand Group, Inc., Convertible Notes, 144A

 

1.875%

 

6/30/12

 

B

 

514,937

 

100

 

Liz Claiborne Inc., Convertible Bond

 

6.000%

 

6/15/14

 

B2

 

224,124

 

650

 

Total Textiles, Apparel & Luxury Goods

 

 

 

 

 

 

 

739,061

 

 

 

Trading Companies & Distributors – 0.0%

 

 

 

 

 

 

 

 

 

190

 

 WESCO International Inc., Convertible Bond

 

6.000%

 

9/15/29

 

B

 

277,399

 

 

 

 Wireless Telecommunication Services – 0.1%

 

 

 

 

 

 

 

 

 

500

 

Liberty Media Corporation, Convertible Bonds

 

3.750%

 

2/15/30

 

BB-

 

264,999

 

911

 

NII Holdings Inc.

 

3.125%

 

6/15/12

 

B-

 

864,310

 

1,411

 

Total Wireless Telecommunication Services

 

 

 

 

 

 

 

1,129,309

 

 $

94,131

 

Total Convertible Bonds (cost $92,158,951)

 

 

 

 

 

 

 

101,997,743

 

 

 

 

 

 

 

 

 

 

 

 

 

Principal

 

 

 

 

 

 

 

 

 

 

 

Amount (000)

 

Description (1)

 

Coupon

 

Maturity

 

Ratings (4)

 

Value

 

 

 

Corporate Bonds – 11.4% (8.6% of Total Investments)

 

 

 

 

 

 

 

 

 

 

 

Aerospace & Defense – 0.4%

 

 

 

 

 

 

 

 

 

 $

   400

 

Bombardier Inc., Class B Shares, 144A

 

7.500%

 

3/15/18

 

BB+

 

$       419,000

 

800

 

Hawker Beechcraft Acquisition Company

 

8.500%

 

4/01/15

 

CCC-

 

622,000

 

1,000

 

Hexcel Corporation, Term Loan

 

6.750%

 

2/01/15

 

B+

 

995,000

 

1,200

 

Vought Aircraft Industries Inc.

 

8.000%

 

7/15/11

 

B3

 

1,212,000

 

3,400

 

Total Aerospace & Defense

 

 

 

 

 

 

 

3,248,000

 

 

 

Airlines – 0.1%

 

 

 

 

 

 

 

 

 

600

 

United Airlines Inc., 144A

 

12.000%

 

11/01/13

 

CCC

 

624,000

 

 

 

Auto Components – 0.0%

 

 

 

 

 

 

 

 

 

400

 

TRW Automotive Inc., 144A

 

8.875%

 

12/01/17

 

B

 

416,500

 

 

 

Building Products – 0.0%

 

 

 

 

 

 

 

 

 

400

 

Libbey Glass Inc., 144A

 

10.000%

 

2/15/15

 

B

 

423,000

 

 

 

Chemicals – 0.6%

 

 

 

 

 

 

 

 

 

1,200

 

Hexion US Finance Corporation

 

9.750%

 

11/15/14

 

CCC+

 

1,230,000

 

1,000

 

Momentive Performance Materials

 

9.750%

 

12/01/14

 

Caa2

 

1,005,000

 

800

 

NOVA Chemicals Corporation, 144A

 

8.625%

 

11/01/19

 

B+

 

828,000

 

1,400

 

Rockwood Specialties Group Inc., Series WI

 

7.500%

 

11/15/14

 

B-

 

1,421,000

 

400

 

Solutia Inc.

 

7.875%

 

3/15/20

 

B+

 

407,000

 

4,800

 

Total Chemicals

 

 

 

 

 

 

 

4,891,000

 

 

 

Commercial Services & Supplies – 0.4%

 

 

 

 

 

 

 

 

 

600

 

Avis Budget Car Rental

 

9.625%

 

3/15/18

 

B

 

630,000

 

300

 

International Lease Finance Corporation, 144A, DD1

 

8.625%

 

9/15/15

 

BB+

 

307,427

 

1,850

 

International Lease Finance Corporation, 144A, DD1

 

8.750%

 

3/15/17

 

BB+

 

1,897,236

 

800

 

Ticketmaster

 

10.750%

 

8/01/16

 

BB-

 

896,000

 

3,550

 

Total Commercial Services & Supplies

 

 

 

 

 

 

 

3,730,663

 

 

 

Communications Equipment – 0.1%

 

 

 

 

 

 

 

 

 

800

 

IntelSat Bermuda Limited

 

11.250%

 

2/04/17

 

CCC+

 

850,000

 

 

 

Construction Materials – 0.1%

 

 

 

 

 

 

 

 

 

1,200

 

Headwaters Inc., 144A

 

11.375%

 

11/01/14

 

B+

 

1,258,500

 

 

 

Consumer Finance – 0.0%

 

 

 

 

 

 

 

 

 

200

 

GMAC Inc.

 

8.000%

 

3/15/20

 

B

 

205,500

 

 

 

Diversified Telecommunication Services – 0.7%

 

 

 

 

 

 

 

 

 

400

 

Cequel Communication Holdings I, 144A

 

8.625%

 

11/15/17

 

B-

 

413,000

 

1,650

 

Cincinnati Bell Inc.

 

8.250%

 

10/15/17

 

Ba3

 

1,678,875

 

400

 

Cincinnati Bell Inc.

 

8.750%

 

3/15/18

 

B2

 

405,500

 

1,500

 

IntelSat Corporation

 

9.250%

 

8/15/14

 

BB-

 

1,545,000

 

800

 

New Communications Holdings, 144A, WI/DD

 

8.500%

 

4/15/20

 

BB

 

810,000

 

800

 

 Windstream Corporation, 144A

 

7.875%

 

11/01/17

 

Ba3

 

792,000

 

5,550

 

Total Diversified Telecommunication Services

 

 

 

 

 

 

 

5,644,375

 

 


 

 

 

Electric Utilities – 0.1%

 

 

 

 

 

 

 

 

 

1,000

 

Sierra Pacific Resources, Series 2006

 

6.750%

 

8/15/17

 

BB

 

1,019,738

 

 

 

Electrical Equipment – 0.1%

 

 

 

 

 

 

 

 

 

600

 

Energy Future Holdings

 

10.000%

 

1/15/20

 

B+

 

628,500

 

 

 

Energy Equipment & Services – 0.2%

 

 

 

 

 

 

 

 

 

800

 

Hercules Offshore LLC, 144A

 

10.500%

 

10/15/17

 

B

 

802,000

 

1,000

 

Pride International Inc.

 

7.375%

 

7/15/14

 

BBB-

 

1,035,000

 

1,800

 

Total Energy Equipment & Services

 

 

 

 

 

 

 

1,837,000

 

 

 

Food & Staples Retailing – 0.2%

 

 

 

 

 

 

 

 

 

2,000

 

Stater Brothers Holdings Inc.

 

8.125%

 

6/15/12

 

B+

 

2,020,000

 

 

 

Food Products – 0.4%

 

 

 

 

 

 

 

 

 

800

 

Dole Foods Company, 144A

 

8.000%

 

10/01/16

 

B+

 

824,000

 

2,243

 

Dole Foods Company

 

8.750%

 

7/15/13

 

B-

 

2,349,543

 

400

 

Tops Markets, 144A

 

10.125%

 

10/15/15

 

B

 

418,000

 

3,443

 

Total Food Products

 

 

 

 

 

 

 

3,591,543

 

 

 

Health Care Equipment & Supplies – 0.4%

 

 

 

 

 

 

 

 

 

500

 

Biomet Inc.

 

10.000%

 

10/15/17

 

B-

 

553,750

 

2,750

 

Select Medical Corporation

 

7.625%

 

2/01/15

 

B-

 

2,633,125

 

3,250

 

Total Health Care Equipment & Supplies

 

 

 

 

 

 

 

3,186,875

 

 

 

Health Care Providers & Services – 0.8%

 

 

 

 

 

 

 

 

 

2,000

 

Community Health Systems, Inc.

 

8.875%

 

7/15/15

 

B

 

2,075,000

 

1,200

 

HCA Inc., 144A

 

8.500%

 

4/15/19

 

BB

 

1,296,750

 

1,000

 

HCA Inc.

 

9.250%

 

11/15/16

 

BB-

 

1,065,625

 

1,400

 

HealthSouth Corporation

 

8.125%

 

2/15/20

 

CCC+

 

1,400,000

 

1,200

 

Select Medical Corporation

 

6.143%

 

9/15/15

 

CCC+

 

1,080,000

 

6,800

 

Total Health Care Providers & Services

 

 

 

 

 

 

 

6,917,375

 

 

 

Hotels, Restaurants & Leisure – 1.0%

 

 

 

 

 

 

 

 

 

900

 

Boyd Gaming Corporation

 

7.750%

 

12/15/12

 

B+

 

902,250

 

800

 

GWR Operating Partnership, 144A, WI/DD

 

10.875%

 

4/01/17

 

BB-

 

763,000

 

500

 

Harrah’s Operating Company, Inc.

 

11.250%

 

6/01/17

 

B-

 

541,250

 

800

 

Isle of Capri Casinos, Inc.

 

7.000%

 

3/01/14

 

CCC+

 

688,000

 

600

 

Landry’s Restaurants Inc., 144A

 

11.625%

 

12/01/15

 

B

 

648,000

 

200

 

MGM Mirage Inc., 144A

 

9.000%

 

3/15/20

 

B1

 

207,000

 

1,000

 

MGM Mirage Inc.

 

8.375%

 

2/01/11

 

CCC-

 

1,002,500

 

300

 

MGM Mirage Inc.

 

6.750%

 

9/01/12

 

CCC+

 

285,000

 

400

 

Peninsula Gaming LLC

 

8.375%

 

8/15/15

 

BB

 

401,000

 

400

 

Penn National Gaming Inc., 144A

 

8.750%

 

8/15/19

 

BB-

 

408,000

 

1,292

 

Pinnacle Entertainment Inc.

 

8.250%

 

3/15/12

 

B

 

1,288,770

 

1,750

 

Seminole Hard Rock Entertainment, Inc., 144A

 

2.754%

 

3/15/14

 

BB

 

1,566,250

 

8,942

 

Total Hotels, Restaurants & Leisure

 

 

 

 

 

 

 

8,701,020

 

 

 

Household Products – 0.1%

 

 

 

 

 

 

 

 

 

800

 

Central Garden & Pet Company, Senior Subordinate Notes

 

8.250%

 

3/01/18

 

B

 

815,000

 

 

 

Independent Power Producers & Energy Traders – 0.1%

 

 

 

 

 

 

 

 

100

 

Dynegy Holdings, Inc., Term Loan

 

8.375%

 

5/01/16

 

B

 

83,500

 

1,000

 

NRG Energy Inc.

 

7.375%

 

1/15/17

 

BB-

 

992,500

 

1,100

 

Total Independent Power Producers & Energy Traders

 

 

 

 

 

 

 

1,076,000

 

 

 

Internet Software & Services – 0.2%

 

 

 

 

 

 

 

 

 

2,000

 

Open Solutions Inc., 144A

 

9.750%

 

2/01/15

 

CCC+

 

1,732,500

 

 

 

IT Services – 0.7%

 

 

 

 

 

 

 

 

 

842

 

First Data Corporation, DD1

 

10.550%

 

9/24/15

 

B-

 

715,870

 

2,050

 

First Data Corporation

 

9.875%

 

9/24/15

 

B-

 

1,778,375

 

1,625

 

Global Cash Access LLC

 

8.750%

 

3/15/12

 

B

 

1,635,156

 

2,250

 

Sungard Data Systems Inc.

 

9.125%

 

8/15/13

 

B

 

2,317,500

 

6,767

 

Total IT Services

 

 

 

 

 

 

 

6,446,901

 

 

 

Machinery – 0.2%

 

 

 

 

 

 

 

 

 

2,000

 

Greenbrier Companies, Inc.

 

8.375%

 

5/15/15

 

CCC

 

1,830,000

 

 

 

Media – 0.6%

 

 

 

 

 

 

 

 

 

3,175

 

Allbritton Communications Company, Series B

 

7.750%

 

12/15/12

 

B-

 

3,198,813

 

1,000

 

Clear Channel Communications, Inc.

 

6.250%

 

3/15/11

 

CCC-

 

972,500

 

700

 

Clear Channel Communications, Inc.

 

10.750%

 

8/01/16

 

CCC-

 

551,250

 

350

 

Clear Channel Worldwide Holdings Inc., 144A

 

9.250%

 

12/15/17

 

B

 

367,500

 

1,975

 

Medianews Group Inc., (9)

 

6.375%

 

4/01/14

 

CC

 

217

 

2,000

 

Young Broadcasting Inc., (11)

 

10.000%

 

3/01/11

 

D

 

14,000

 

9,200

 

Total Media

 

 

 

 

 

 

 

5,104,280

 

 

 

Metals & Mining – 0.6%

 

 

 

 

 

 

 

 

 

400

 

Consol Energy Inc., 144A, WI/DD

 

8.000%

 

4/01/17

 

BB

 

413,000

 

400

 

Consol Energy Inc., 144A, WI/DD

 

8.250%

 

4/01/20

 

BB

 

413,000

 

600

 

Essar Steel Algoma Inc., 144A

 

9.375%

 

3/15/15

 

B+

 

609,000

 

3,700

 

MagIndustries Corporation, (12)

 

11.000%

 

12/14/12

 

N/R

 

3,478,709

 

5,100

 

Total Metals & Mining

 

 

 

 

 

 

 

4,913,709

 

 

 

Multiline Retail – 0.3%

 

 

 

 

 

 

 

 

 

1,850

 

Neiman Marcus Group Inc.

 

10.375%

 

10/15/15

 

CCC+

 

1,919,375

 

1,000

 

Toys R Us Property Company II LLC, 144A

 

8.500%

 

12/01/17

 

Ba2

 

1,042,500

 

2,850

 

Total Multiline Retail

 

 

 

 

 

 

 

2,961,875

 

 

 

Multi-Utilities – 0.1%

 

 

 

 

 

 

 

 

 

800

 

Bon-Ton Department Stores Inc.

 

10.250%

 

3/15/14

 

CCC

 

784,000

 

 

 

Oil, Gas & Consumable Fuels – 0.3%

 

 

 

 

 

 

 

 

 

400

 

Chaparral Energy Inc.

 

8.500%

 

12/01/15

 

CCC+

 

367,000

 

1,200

 

 Western Refining Inc.

 

11.250%

 

6/15/17

 

B+

 

1,086,000

 

1,000

 

 Whiting Petroleum Corporation

 

7.000%

 

2/01/14

 

BB

 

1,028,750

 

2,600

 

Total Oil, Gas & Consumable Fuels

 

 

 

 

 

 

 

2,481,750

 

 

 

Paper & Forest Products – 0.2%

 

 

 

 

 

 

 

 

 

400

 

Boise Paper Holdings Company

 

8.000%

 

4/01/20

 

BB-

 

402,000

 

1,000

 

Georgia-Pacific Corporation

 

7.700%

 

6/15/15

 

BB

 

1,065,000

 

1,400

 

Total Paper & Forest Products

 

 

 

 

 

 

 

1,467,000

 

 

 

Personal Products – 0.2%

 

 

 

 

 

 

 

 

 

1,200

 

Prestige Brands Inc.

 

8.250%

 

4/01/18

 

B+

 

1,236,000

 

400

 

Revlon Consumer Products

 

9.750%

 

11/15/15

 

B-

 

415,000

 

1,600

 

Total Personal Products

 

 

 

 

 

 

 

1,651,000

 

 

 

Real Estate Management & Development – 0.0%

 

 

 

 

 

 

 

 

 

400

 

Realogy Corporation

 

10.500%

 

4/15/14

 

Ca

 

347,000

 

 

 

Road & Rail – 0.1%

 

 

 

 

 

 

 

 

 

1,200

 

Swift Transportation Company, 144A

 

8.000%

 

5/15/15

 

CCC-

 

1,093,500

 

 

 

Semiconductors & Equipment – 0.2%

 

 

 

 

 

 

 

 

 

700

 

Avago Technologies Finance Pte Limited

 

11.875%

 

12/01/15

 

Ba3

 

785,750

 

800

 

Spansion LLC, 144A

 

3.376%

 

6/01/13

 

D

 

808,000

 

1,500

 

Total Semiconductors & Equipment

 

 

 

 

 

 

 

1,593,750

 

 

 

Software – 0.4%

 

 

 

 

 

 

 

 

 

400

 

Telcordia Technologies, Inc., 144A

 

10.000%

 

3/15/13

 

CCC+

 

393,000

 

3,250

 

Telcordia Technologies, Inc.

 

4.008%

 

7/15/12

 

B

 

3,152,500

 

3,650

 

Total Software

 

 

 

 

 

 

 

3,545,500

 

 

 

Specialty Retail – 0.6%

 

 

 

 

 

 

 

 

 

600

 

AutoNation Inc.,

 

6.750%

 

4/15/18

 

BB+

 

590,927

 

600

 

Brookstone Company Inc.

 

12.000%

 

10/15/12

 

CCC-

 

471,000

 

900

 

Claires Stores, Inc.

 

9.250%

 

6/01/15

 

CCC+

 

796,500

 

800

 

Michael’s Stores

 

11.375%

 

11/01/16

 

CCC

 

868,000

 

2,068

 

 Warnaco Inc., Senior Notes

 

8.875%

 

6/15/13

 

BB+

 

2,124,870

 

4,968

 

Total Specialty Retail

 

 

 

 

 

 

 

4,851,297

 

 

 

Textiles, Apparel & Luxury Goods – 0.5%

 

 

 

 

 

 

 

 

 

200

 

Express LLC, 144A

 

8.750%

 

3/01/18

 

B

 

205,000

 

400

 

Hanesbrands Inc.

 

8.000%

 

12/15/16

 

B+

 

416,000

 

3,000

 

Jostens IH Corporation

 

7.625%

 

10/01/12

 

BB-

 

3,022,500

 

1,200

 

Quiksilver Inc.

 

6.875%

 

4/15/15

 

CCC

 

1,116,000

 

4,800

 

Total Textiles, Apparel & Luxury Goods

 

 

 

 

 

 

 

4,759,500

 

 

 

 Wireless Telecommunication Services – 0.4%

 

 

 

 

 

 

 

 

 

1,500

 

IPCS, Inc.

 

2.374%

 

5/01/13

 

Ba2

 

1,395,000

 

2,450

 

Sprint Nextel Corporation

 

8.375%

 

8/15/17

 

BB-

 

2,474,500

 

3,950

 

Total Wireless Telecommunication Services

 

 

 

 

 

 

 

3,869,500

 

$   105,420

 

Total Corporate Bonds (cost $99,091,617)

 

 

 

 

 

 

 

100,517,651

 

Principal

 

 

 

 

 

 

 

 

 

 

 

Amount (000)/

 

 

 

 

 

 

 

 

 

 

 

Shares

 

Description (1)

 

Coupon

 

Maturity

 

Ratings (4)

 

Value

 

 

 

Capital Preferred Securities – 23.6% (17.9% of Total Investments)

 

 

 

 

 

 

 

Capital Markets – 0.4%

 

 

 

 

 

 

 

 

 

3,200

 

UBS Perferred Funding Trust I

 

8.622%

 

10/01/51

 

BBB-

 

$       3,168,954

 

 

 

Commercial Banks – 12.2%

 

 

 

 

 

 

 

 

 

2,155

 

AgFirst Farm Credit Bank

 

8.393%

 

12/15/16

 

A

 

2,128,063

 

6,200

 

AgFirst Farm Credit Bank

 

7.300%

 

12/15/53

 

A

 

4,847,036

 

3,384

 

Banco Santander Finance

 

10.500%

 

9/29/49

 

A-

 

3,782,101

 

1,500

 

Barclays Bank PLC, 144A

 

7.434%

 

12/15/57

 

A-

 

1,500,000

 

3,500

 

Barclays Bank PLC

 

6.278%

 

12/15/34

 

A-

 

2,975,000

 

3,350

 

BBVA International Unipersonal

 

5.919%

 

4/18/58

 

A-

 

2,793,461

 

2,300

 

BNP Paribas, 144A

 

7.195%

 

12/25/57

 

A

 

2,242,500

 

11,360

 

Credit Agricole, S.A

 

9.750%

 

12/26/54

 

A-

 

12,552,800

 

6,200

 

First Empire Capital Trust I

 

8.234%

 

2/01/27

 

Baa2

 

5,525,948

 

600

 

First Union Institutional Capital II

 

7.850%

 

1/01/27

 

A-

 

589,388

 

3,100

 

Fulton Capital Trust I

 

6.290%

 

2/01/36

 

BBB-

 

1,952,061

 

550

 

HSBC Capital Funding LP, Debt

 

10.176%

 

6/30/50

 

A-

 

708,950

 

5,000

 

LBG Capital I PLC

 

8.000%

 

6/15/20

 

B+

 

4,375,000

 

4,200

 

Nordea Bank AB

 

8.375%

 

3/25/15

 

A-

 

4,533,396

 

8,000

 

North Fork Capital Trust II

 

8.000%

 

12/15/27

 

Baa3

 

7,860,000

 

2,600

 

Northgroup Preferred Capital Corporation, 144A

 

6.378%

 

10/15/57

 

A

 

2,396,311

 

9,145

 

Rabobank Nederland, 144A

 

11.000%

 

6/30/19

 

AA-

 

11,802,821

 

600

 

Reliance Capital Trust I, Series B

 

8.170%

 

5/01/28

 

N/R

 

439,566

 

11,624

 

Societe Generale

 

8.750%

 

10/07/49

 

BBB+

 

11,960,445

 

2,000

 

Sparebanken Rogaland, Notes, 144A

 

6.443%

 

5/01/49

 

Ba1

 

1,750,704

 

3,300

 

Standard Chartered PLC, 144A

 

7.014%

 

7/30/37

 

BBB

 

3,046,332

 

(13)

Union Planters Preferred Fund, 144A

 

7.750%

 

7/15/53

 

Ba3

 

17,793,625

 

 

 

Total Commercial Banks

 

 

 

 

 

 

 

107,555,508

 

 


 

 

 

Diversified Financial Services – 1.3%

 

 

 

 

 

 

 

 

 

6

 

AMG Capital Trust II, Convertible Bond

 

5.150%

 

10/15/37

 

BB

 

201,638

 

1,800

 

Bank One Capital III

 

8.750%

 

9/01/30

 

A2

 

2,097,479

 

7,500

 

JP Morgan Chase Capital Trust XX Ser T

 

6.550%

 

9/29/36

 

A2

 

7,059,443

 

2,450

 

JP Morgan Chase Capital XXV

 

6.800%

 

10/01/37

 

A2

 

2,446,332

 

 

 

Total Diversified Financial Services

 

 

 

 

 

 

 

11,804,892

 

 

 

Diversified Telecommunication Services – 1.2%

 

 

 

 

 

 

 

 

 

10

 

Centaur Funding Corporation, Series B, 144A

 

9.080%

 

4/21/20

 

BBB

 

10,862,465

 

 

 

Insurance – 7.8%

 

 

 

 

 

 

 

 

 

2,600

 

AXA SA, 144A

 

6.463%

 

12/14/18

 

Baa1

 

2,288,000

 

1,000

 

AXA SA, 144A

 

6.379%

 

12/14/36

 

Baa1

 

880,000

 

1,200

 

Catlin Insurance Company Limited

 

7.249%

 

1/19/17

 

BBB+

 

1,068,000

 

8,000

 

Great West Life & Annuity Capital I, 144A

 

6.625%

 

11/15/34

 

A-

 

7,479,343

 

1,700

 

Hartford Financial Services Group Inc.

 

8.125%

 

6/15/18

 

BB+

 

1,780,750

 

2,000

 

Liberty Mutual Group, 144A

 

7.800%

 

3/15/37

 

Baa3

 

1,790,000

 

4,200

 

MetLife Capital Trust IV, 144A

 

7.875%

 

12/15/37

 

BBB

 

4,326,000

 

7,000

 

National Financial Services Inc.

 

6.750%

 

5/15/37

 

Baa2

 

5,906,795

 

1,150

 

Nationwide Financial Services Capital Trust

 

7.899%

 

3/01/37

 

Baa2

 

724,980

 

5,500

 

Oil Insurance Limited, 144A

 

7.558%

 

6/30/11

 

Baa1

 

4,770,645

 

2,500

 

Old Mutual Capital Funding, Notes, (2)

 

8.000%

 

6/22/53

 

Baa3

 

2,413,000

 

5,600

 

Progressive Corporation

 

6.700%

 

6/15/67

 

A2

 

5,506,177

 

10,200

 

Prudential Financial Inc.

 

8.875%

 

6/15/18

 

BBB+

 

11,551,500

 

6,200

 

Prudential PLC

 

6.500%

 

6/29/49

 

A-

 

5,626,500

 

14,600

 

XL Capital, Limited

 

6.500%

 

10/15/57

 

BBB-

 

12,556,000

 

 

 

Total Insurance

 

 

 

 

 

 

 

68,667,690

 

 

 

Road & Rail – 0.7%

 

 

 

 

 

 

 

 

 

6,400

 

Burlington Northern Santa Fe Funding Trust I

 

6.613%

 

12/15/55

 

BBB

 

6,231,436

 

 

 

Total Capital Preferred Securities (cost $221,962,968)

 

 

 

 

 

 

 

208,290,945

 

Shares

 

Description (1)

 

 

 

 

 

 

 

Value

 

 

 

Investment Companies – 1.4% (1.1% of Total Investments)

 

 

 

 

 

 

 

 

 

354,750

 

BlackRock Credit Allocation Income Trust II

 

 

 

 

 

 

 

$       3,572,332

 

298,160

 

Flaherty and Crumrine/Claymore Preferred Securities Income Fund Inc.

 

 

 

 

 

 

 

4,561,848

 

259,567

 

John Hancock Preferred Income Fund III

 

 

 

 

 

 

 

4,192,007

 

 

 

Total Investment Companies (cost $17,741,875)

 

 

 

 

 

 

 

12,326,187

 

Principal

 

 

 

 

 

 

 

 

 

 

 

Amount (000)

 

Description (1)

 

Coupon

 

Maturity

 

 

 

Value

 

 

 

Short-Term Investments – 3.0% (2.2% of Total Investments)

 

 

 

 

 

 

 

 

 

$       5,337

 

Repurchase Agreement with Fixed Income Clearing Corporation, dated 3/31/10, repurchase price $5,336,924, collateralized by:

$4,045,000 U.S. Treasury Notes, 1.375%, due 1/15/13, value $4,034,888, and

$1,420,000 U.S. Treasury Notes, 1.375% due 2/15/13, value $1,412,900

 

0.000%

 

4/01/10

 

 

 

$      5,336,924

 

20,658

 

Repurchase Agreement with Fixed Income Clearing Corporation, dated 3/31/10, repurchase price $20,657,893, collateralized by:

$7,715,000 U.S. Treasury Notes, 2.750%, due 11/30/16, value $7,551,056, and

$13,590,000 U.S. Treasury Notes, 3.250%, due 3/31/17, value $13,522,050

 

0.000%

 

4/01/10

 

 

 

20,657,893

 

$      25,995

 

Total Short-Term Investments (cost $25,994,817)

 

 

 

 

 

 

 

25,994,817

 

 

 

Total Investments (cost $1,159,093,534) – 131.7%

 

 

 

 

 

 

 

1,161,999,742

 

Shares

 

Description (1)

 

 

 

 

 

 

 

Value

 

 

 

Common Stocks Sold Short - (0.7)%

 

 

 

 

 

 

 

 

 

 

 

Chemicals – (0.1)%

 

 

 

 

 

 

 

 

 

(10,500)

 

Sigma-Aldrich Corporation

 

 

 

 

 

 

 

$       (563,430)

 

 

 

Diversified Consumer Services – (0.1)%

 

 

 

 

 

 

 

 

 

(3,750)

 

Strayer Education Inc.

 

 

 

 

 

 

 

(913,200)

 

 

 

Food Products – (0.0)%

 

 

 

 

 

 

 

 

 

(3,000)

 

Green Mountain Coffee Roasters Inc., (2)

 

 

 

 

 

 

 

(290,460)

 

 

 

Health Care Equipment & Supplies – (0.1)%

 

 

 

 

 

 

 

 

 

(14,300)

 

C. R. Bard, Inc.

 

 

 

 

 

 

 

(1,238,666)

 

 

 

Hotels, Restaurants & Leisure – (0.1)%

 

 

 

 

 

 

 

 

 

(7,100)

 

P.F. Changs China Bistro, Inc., (2)

 

 

 

 

 

 

 

(313,323)

 

(6,300)

 

 WMS Industries Inc.

 

 

 

 

 

 

 

(264,222)

 

 

 

Total Hotels, Restaurants & Leisure

 

 

 

 

 

 

 

(577,545)

 

 

 

Internet & Catalog Retail – (0.1)%

 

 

 

 

 

 

 

 

 

(2,800)

 

Amazon.com, Inc., (2)

 

 

 

 

 

 

 

(380,044)

 

 

 

Specialty Retail – (0.2)%

 

 

 

 

 

 

 

 

 

(10,100)

 

AutoZone, Inc., (2)

 

 

 

 

 

 

 

(1,748,209)

 

(8,500)

 

Urban Outfitters, Inc., (2)

 

 

 

 

 

 

 

(323,255)

 

 

 

Total Specialty Retail

 

 

 

 

 

 

 

(2,071,464)

 

 

 

Total Common Stocks Sold Short (proceeds $5,253,474)

 

 

 

 

 

 

 

(6,034,809)

 

 

 

Borrowings –  (30.6)% (14), (15)

 

 

 

 

 

 

 

(270,000,000)

 

 

 

Other Assets Less Liabilities – (0.4)%

 

 

 

 

 

 

 

(3,351,299)

 

 

 

Net Assets Applicable to Common Shares – 100%

 

 

 

 

 

 

 

$   882,613,634

 

 

Investments in Derivatives

 

Number of

 

 

 

Notional

 

Expiration

 

Strike

 

 

 

Contracts

 

Type

 

Amount (16)

 

Date

 

Price

 

Value

 

 

 

Call Options Written – (0.7)%

 

 

 

 

 

 

 

 

 

(745)

 

Aetna Inc.

 

$  (2,235,000)

 

1/22/11

 

$ 30.0

 

$    (532,675)

 

(1,288)

 

Ameren Corporation

 

(3,220,000)

 

9/18/10

 

25.0

 

(228,620)

 

(155)

 

AngloGold Ashanti Limited

 

(620,000)

 

1/22/11

 

40.0

 

(66,650)

 

(638)

 

Barrick Gold Corporation

 

(2,552,000)

 

1/22/11

 

40.0

 

(255,200)

 

(142)

 

BP PLC

 

(923,000)

 

1/22/11

 

65.0

 

(16,188)

 

(600)

 

Cameco Corporation

 

(2,100,000)

 

1/22/11

 

35.0

 

(55,500)

 

(442)

 

Chevron Corporation

 

(2,873,000)

 

1/22/11

 

65.0

 

(540,345)

 

(218)

 

ConocoPhillips

 

(981,000)

 

1/22/11

 

45.0

 

(168,405)

 

(1,040)

 

Gold Fields Limited

 

(1,300,000)

 

1/22/11

 

12.5

 

(189,800)

 

(565)

 

Gold Fields Limited

 

(847,500)

 

1/22/11

 

15.0

 

(50,850)

 

(280)

 

Lockheed Martin Corporation

 

(2,100,000)

 

1/22/11

 

75.0

 

(305,200)

 

(550)

 

Newmont Mining Corporation

 

(2,750,000)

 

1/22/11

 

50.0

 

(365,750)

 

(1,510)

 

Nippon Telegraph & Telephone Corporation

 

(3,020,000)

 

6/19/10

 

20.0

 

(218,950)

 

(1,773)

 

NovaGold Resources, Inc.

 

(886,500)

 

9/18/10

 

5.0

 

(407,790)

 

(1,600)

 

Pfizer Inc.

 

(2,800,000)

 

1/22/11

 

17.5

 

(188,000)

 

(176)

 

Royal Dutch Shell PLC

 

(1,056,000)

 

7/17/10

 

60.0

 

(12,320)

 

(1,746)

 

Smithfield Foods, Inc.

 

(3,055,500)

 

1/22/11

 

17.5

 

(785,700)

 

(537)

 

Suncor Energy Inc.

 

(1,611,000)

 

1/22/11

 

30.0

 

(283,268)

 

(1,048)

 

Telus Corporation

 

(3,144,000)

 

9/18/10

 

30.0

 

(634,040)

 

(1,408)

 

Tesoro Corporation

 

(1,760,000)

 

1/22/11

 

12.5

 

(401,280)

 

(347)

 

Tesoro Corporation

 

(520,500)

 

1/22/11

 

15.0

 

(55,520)

 

(1,755)

 

Tyson Foods, Inc.

 

(3,510,000)

 

1/22/11

 

20.0

 

(311,512)

 

(434)

 

 Wal-Mart Stores, Inc.

 

(2,387,000)

 

1/22/11

 

55.0

 

(157,325)

 

(18,997)

 

Total Call Options Written (premiums received $4,929,278)

 

$ (46,252,000)

 

 

 

 

 

$ (6,230,888)

 

 

 

Fair Value Measurements

 

 

 

In determining the value of the Fund’s investments, various inputs are used.  These inputs are summarized in the three broad levels listed below:

 

Level 1 - Quoted prices in active markets for identical securities.

 

Level 2 - Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 - Significant unobservable inputs (including management’s assumptions in determining the fair value of investments).

 

The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities. The following is a summary of the Fund’s fair value measurements as of March 31, 2010:

 

 

 

 

 

 

Level 1 

 

Level 2

 

Level 3

 

Total

 

 

 

Investments:

 

 

 

 

 

 

 

 

 

 

 

Common Stocks*

 

$ 303,727,616

 

$      5,595,032

 

$              —

 

$   309,322,648

 

 

 

Preferred Securities**

 

309,000,225

 

234,845,900

 

 

543,846,125

 

 

 

Variable Rate Senior Loan Interests

 

 

67,994,571

 

 

67,994,571

 

 

 

Convertible Bonds

 

 

101,781,505

 

216,238

 

101,997,743

 

 

 

Corporate Bonds

 

 

97,038,942

 

3,478,709

 

100,517,651

 

 

 

Investment Companies

 

12,326,187

 

 

 

12,326,187

 

 

 

Short-Term Investments

 

25,994,817

 

 

 

25,994,817

 

 

 

Common Stocks Sold Short

 

(6,034,809

)

 

 

(6,034,809

)

 

 

Derivatives:

 

 

 

 

 

 

 

 

 

 

 

Call Options Written

 

(6,230,888

)

 

 

(6,230,888

)

 

 

Total

 

$ 638,783,148

 

$  507,255,950

 

$  3,694,947

 

$1,149,734,045

 

 

 

 

 

*       Refer to the Fund’s Portfolio of Investments for industry breakdown of Common Stocks classified as Level 2.

**     Preferred Securities includes Convertible Preferred Securities, $25 Par (or similar) Preferred Securities and Capital Preferred Securities held by the Fund at the end of the reporting period, if any.

 

 

The following is a reconciliation of the Fund’s Level 3 investments held at the beginning and end of the measurement period:

 

 

 

 

 

 

Level 3

 

Level 3

 

Level 3

 

Level 3

 

 

 

Convertible Bonds

 

Corporate Bonds

 

Warrants

 

Total

 

 

Balance at the beginning of period

$                 —

 

$    3,348,500

 

$    6,725

 

$     3,355,225

 

 

Gains (losses):

 

 

 

 

 

 

 

 

 

Net realized gains (losses)

 

 

(5,519

)

(5,519

)

 

Net change in unrealized appreciation (depreciation)

(6,398

)

116,937

 

 

110,539

 

 

Net purchases at cost (sales at proceeds)

222,636

 

 

(1,206

)

221,430

 

 

Net discounts (premiums)

 

13,272

 

 

13,272

 

 

Net transfers in to (out of) at end of period fair value

 

 

 

 

 

Balance at the end of period

$        216,238

 

$    3,478,709

 

$         —

 

$     3,694,947

 

 

Derivative Instruments and Hedging Activities

 

The Fund records derivative instruments at fair value with changes in fair value recognized in the Statement of Operations, when applicable. Even though the Fund's investments in derivatives may represent economic hedges, they are considered to be non-hedge transactions for financial reporting purposes.

 

The table below presents the fair value of all derivative instruments held by the Fund as of March 31, 2010, the location of these instruments on the Statement of Assets and Liabilities, and the primary underlying risk exposure.

 

 

 

 

 

 

 

Location on the Statement of Assets and Liabilities

 

 

Underlying

 

Derivative

 

Asset Derivatives

 

Liability Derivatives

 

 

Risk Exposure

 

Instrument

 

Location

 

Value

 

Location

 

Value

 

 

Equity Price

 

Options

 

 

$

 

Call options written, at value

 

$

6,230,888

 

 

Income Tax Information

 

The following information is presented on an income tax basis. Differences between amounts for financial statement and federal income tax purposes are primarily due to the treatment of paydown gains and losses, recognition of premium amortization, timing differences in the recognition of income on REIT investments and timing differences in recognizing certain gains and losses on investment transactions. To the extent that differences arise that are permanent in nature, such amounts are reclassified within the capital accounts on the Statement of Assets and Liabilities presented in the annual report, based on their federal tax basis treatment; temporary differences do not require reclassification. Temporary and permanent differences do not impact the net asset value of the Fund.

 

At March 31, 2010, the cost of investments (excluding securities sold short and call options written) was $1,167,866,392.

 

Gross unrealized appreciation and gross unrealized depreciation of investments (excluding securities sold short and call options written) at March 31, 2010, were as follows:

 

 

 

Gross unrealized:

 

 

 

 

Appreciation

 

$    76,460,428

 

 

Depreciation

 

(82,327,078

)

 

 

 

 

 

 

 

Net unrealized appreciation (depreciation) of investments

 

$     (5,866,650

)

 

 

 

 

 

 

 

(1)

All percentages shown in the Portfolio of Investments are based on net assets applicable to Common shares unless otherwise noted.

 

(2)

Non-income producing; issuer has not declared a dividend within the past twelve months.

 

(3)

Investment, or portion of investment, has been pledged as collateral for call options written during and as of the end of the reporting period.

 

(4)

Ratings: Using the higher of Standard & Poor’s Group (“Standard & Poor’s”) or Moody’s Investor Service, Inc. (“Moody’s”) rating. Ratings below BBB by Standard & Poor’s or Baa by Moody’s are considered to be below investment grade.

 

(5)

Senior Loans generally are subject to mandatory and/or optional prepayment. Because of these mandatory prepayment conditions and because there may be significant economic incentives for a Borrower to prepay, prepayments of Senior Loans may occur. As a result, the actual remaining maturity of Senior Loans held may be substantially less than the stated maturities shown.

 

(6)

Senior Loans generally pay interest at rates which are periodically adjusted by reference to a base short-term, floating lending rate plus an assigned fixed rate. These floating lending rates are generally (i) the lending rate referenced by the London Inter-Bank Offered Rate (“LIBOR”), or (ii) the prime rate offered by one or more major United States banks.

 

 

Senior Loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the Agent Bank and/or Borrower prior to the disposition of a Senior Loan.

 

(7)

Non-income producing; denotes that the issuer has defaulted on the payment of principal or interest or has filed for bankruptcy.

 

(8)

At or subsequent to March 31, 2010, this issue was under the protection of the Federal Bankruptcy Court.

 

(9)

The Fund’s Adviser has concluded this issue is not likely to meet its future interest payment  obligations and has directed the Fund’s custodian to cease accruing additional income on the  Fund’s records.

 

(10)

At or subsequent to March 31, 2010, the Fund’s Adviser concluded this issue is not likely to meet its future interest payment obligations and has directed the Fund’s custodian to cease accruing additional income and “write-off” any remaining recorded balances on the Fund’s records.

 

(11)

This issue is under protection of the Federal Bankruptcy Court. As a result, the Fund’s Adviser has concluded this issue is not likely to meet its future interest payment obligations and has directed the Fund’s custodian to cease accruing additional income on the Fund’s records.

 

(12)

Investment valued at fair value using methods determined in good faith by, or at the discretion of, the Board of Trustees. For fair value measurement disclosure purposes, investment categorized as Level 3.

 

(13)

Principal Amount (000) rounds to less than $1,000.

 

(14)

Borrowings as a percentage of Total Investments is 23.2%.

 

(15)

The Fund may pledge up to 100% of its eligible investments in the Portfolio of Investments as collateral for Borrowings. As of March 31, 2010, investments with a value of $807,213,051 have been pledged as collateral for Borrowings.

 

(16)

For disclosure purposes, Notional Amount is calculated by multiplying the Number of Contracts by the Strike Price by 100.

 

(17)

For fair value measurement disclosure purposes, Common Stock categorized as Level 2.

 

N/A

Not applicable.

 

N/R

Not rated.

 

WI/DD

Purchased on a when-issued or delayed delivery basis.

 

DD1

Investment or portion of investment purchased on a delayed delivery basis.

 

144A

Investment is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These investments may only be resold in transactions exempt from registration which are normally those transactions with qualified institutional buyers

 

ADR

American Depositary Receipt.

 

CORTS

Corporate Backed Trust Securities.

 

PPLUS

PreferredPlus Trust.

 



 

Item 2. Controls and Procedures.

a.                 The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of this report that includes the disclosure required by this paragraph, based on their evaluation of the controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rule 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934 (17 CFR 240.13a-15(b) or 240.15d-15(b)).

b.                There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 3. Exhibits.

File as exhibits as part of this Form a separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)), exactly as set forth below: EX-99 CERT Attached hereto.

 



 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant)

Nuveen Multi-Strategy Income and Growth Fund

 

 

 

By (Signature and Title)*

/s/ Kevin J. McCarthy

 

 

Kevin J. McCarthy

 

 

Vice President and Secretary

 

 

 

Date May 28, 2010

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

 

By (Signature and Title)*

/s/ Gifford R. Zimmerman

 

 

Gifford R. Zimmerman

 

 

Chief Administrative Officer (principal executive officer)

 

 

 

Date May 28, 2010

 

 

By (Signature and Title)*

/s/ Stephen D. Foy

 

 

Stephen D. Foy

 

 

Vice President and Controller (principal financial officer)

 

 

 

Date May 28, 2010


*                      Print the name and title of each signing officer under his or her signature.