nvq
 
 
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      811-22003     
Nuveen Core Equity Alpha 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:    9/30/2010   
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 Core Equity Alpha Fund (JCE)
September 30, 2010
                                 
          Shares     Description (1)                   Value  
 
       
 
                       
       
Common Stocks – 98.8%
                       
       
 
                       
       
Aerospace & Defense – 4.1%
                       
       
 
                       
  36,400    
Boeing Company
                  $ 2,422,056  
  5,600    
General Dynamics Corporation
                    351,736  
  600    
Goodrich Corporation
                    44,238  
  13,300    
L-3 Communications Holdings, Inc.
                    961,191  
  27,100    
Northrop Grumman Corporation
                    1,643,073  
  12,900    
Precision Castparts Corporation
                    1,642,815  
  2,300    
Raytheon Company
                    105,133  
  16,100    
Rockwell Collins, Inc.
                    937,825  
  8,200    
United Technologies Corporation
                    584,086  
 
       
Total Aerospace & Defense
                    8,692,153  
         
       
 
                       
       
Air Freight & Logistics – 0.6%
                       
       
 
                       
  700    
Expeditors International of Washington, Inc.
                    32,361  
  15,300    
FedEx Corporation
                    1,308,150  
 
       
Total Air Freight & Logistics
                    1,340,511  
         
       
 
                       
       
Airlines – 0.9%
                       
       
 
                       
  147,900    
Southwest Airlines Co.
                    1,933,053  
 
       
 
                       
       
Automobiles – 0.2%
                       
       
 
                       
  39,400    
Ford Motor Company, (2)
                    482,256  
 
       
 
                       
       
Beverages – 1.3%
                       
       
 
                       
  3,000    
Brown-Forman Corporation
                    184,920  
  1,400    
Coca-Cola Company
                    81,928  
  21,300    
Coca-Cola Enterprises Inc.
                    660,300  
  51,000    
Dr. Pepper Snapple Group
                    1,811,520  
  800    
Molson Coors Brewing Company, Class B
                    37,776  
 
       
Total Beverages
                    2,776,444  
         
       
 
                       
       
Biotechnology – 0.2%
                       
       
 
                       
  1,600    
Amgen Inc., (2)
                    88,176  
  1,500    
Biogen Idec Inc., (2)
                    84,180  
  800    
Celgene Corporation, (2)
                    46,088  
  500    
Cephalon, Inc., (2)
                    31,220  
  1,500    
Genzyme Corporation, (2)
                    106,185  
 
       
Total Biotechnology
                    355,849  
         
       
 
                       
       
Capital Markets – 1.5%
                       
       
 
                       
  14,100    
Ameriprise Financial, Inc.
                    667,353  
  5,500    
Bank of New York Company, Inc.
                    143,715  
  21,700    
Franklin Resources, Inc.
                    2,319,730  
  1,300    
Invesco LTD
                    27,599  
 
       
Total Capital Markets
                    3,158,397  
         
       
 
                       
       
Chemicals – 1.3%
                       
       
 
                       
  8,000    
Airgas, Inc.
                    543,600  
  3,700    
E.I. Du Pont de Nemours and Company
                    165,094  
  3,000    
Eastman Chemical Company
                    222,000  
  800    
Ecolab Inc.
                    40,592  
  21,100    
International Flavors & Fragrances Inc.
                    1,023,772  
  10,700    
Sherwin-Williams Company
                    803,998  
 
       
Total Chemicals
                    2,799,056  
         
       
 
                       
       
Commercial Banks – 2.2%
                       
       
 
                       
  22,500    
BB&T Corporation
                    541,800  
  21,400    
Comerica Incorporated
                    795,010  
  15,700    
Fifth Third Bancorp.
                    188,871  
  2,100    
First Horizon National Corporation, (2)
                    23,961  
  33,100    
Huntington BancShares Inc.
                    187,677  
  2,800    
KeyCorp.
                    22,288  
  13,000    
M&T Bank Corporation
                    1,063,530  
  4,700    
PNC Financial Services Group, Inc.
                    243,977  
  61,100    
Regions Financial Corporation
                    444,197  
  3,700    
SunTrust Banks, Inc.
                    95,571  
  11,500    
U.S. Bancorp
                    248,630  
  8,950    
Wells Fargo & Company
                    224,914  
  28,700    
Zions Bancorporation
                    613,032  
 
       
Total Commercial Banks
                    4,693,458  
         
       
 
                       
       
Commercial Services & Supplies – 0.2%
                       
       
 
                       
  4,800    
Republic Services, Inc.
                    146,352  
  4,700    
Stericycle Inc., (2)
                    326,556  
 
       
Total Commercial Services & Supplies
                    472,908  
         
       
 
                       
       
Communications Equipment – 1.8%
                       
       
 
                       
  38,300    
Harris Corporation
                    1,696,307  
  20,800    
JDS Uniphase Corporation, (2)
                    257,712  
  800    
Juniper Networks Inc., (2)
                    24,280  
  123,400    
Motorola, Inc., (2)
                    1,052,602  
  500    
QUALCOMM, Inc.
                    22,560  
  88,100    
Tellabs Inc.
                    656,345  
 
       
Total Communications Equipment
                    3,709,806  
         
       
 
                       
       
Computers & Peripherals – 7.8%
                       
       
 
                       
  39,800    
Apple, Inc., (2)
                    11,293,250  
  25,900    
Lexmark International, Inc., Class A, (2)
                    1,155,658  
  77,000    
Network Appliance Inc., (2)
                    3,833,830  
  3,900    
Western Digital Corporation, (2)
                    110,721  
 
       
Total Computers & Peripherals
                    16,393,459  
         
       
 
                       
       
Construction & Engineering – 0.0%
                       
       
 
                       
  1,300    
Fluor Corporation
                    64,389  
 
       
 
                       
       
Consumer Finance – 0.0%
                       
       
 
                       
  2,500    
Capital One Financial Corporation
                    98,875  
 
       
 
                       
       
Containers & Packaging – 0.1%
                       
       
 
                       
  5,500    
Pactiv Corporation, (2)
                    181,390  
 
       
 
                       
       
Diversified Consumer Services – 0.7%
                       
       
 
                       
  20,800    
Devry, Inc.
                    1,023,568  
  36,200    
H & R Block Inc.
                    468,790  
 
       
Total Diversified Consumer Services
                    1,492,358  
         
       
 
                       
       
Diversified Financial Services – 0.3%
                       
       
 
                       
  15,700    
Bank of America Corporation
                    205,827  
  50,500    
Citigroup Inc., (2)
                    196,950  
  5,105    
JPMorgan Chase & Co.
                    194,347  
  5,500    
Moody’s Corporation
                    137,390  
 
       
Total Diversified Financial Services
                    734,514  
         
       
 
                       
       
Diversified Telecommunication Services – 0.9%
                       
       
 
                       
  3,200    
AT&T Inc.
                    91,520  
  7,600    
Frontier Communications Corporation
                    62,092  
  174,200    
Qwest Communications International Inc.
                    1,092,234  
  1,400    
Verizon Communications Inc.
                    45,626  
  42,300    
Windstream Corporation
                    519,867  
 
       
Total Diversified Telecommunication Services
                    1,811,339  
         
       
 
                       
       
Electric Utilities – 0.7%
                       
       
 
                       
  4,200    
American Electric Power Company, Inc.
                    152,166  
  1,500    
Duke Energy Corporation
                    26,565  
  1,100    
NextEra Energy Inc.
                    59,829  
  41,600    
Pepco Holdings, Inc.
                    773,760  
  7,000    
Pinnacle West Capital Corporation
                    288,890  
  1,900    
Progress Energy, Inc.
                    84,398  
  2,600    
Southern Company
                    96,824  
 
       
Total Electric Utilities
                    1,482,432  
         
       
 
                       
       
Electrical Equipment – 1.8%
                       
       
 
                       
  31,900    
Emerson Electric Company
                    1,679,854  
  34,500    
Rockwell Automation, Inc.
                    2,129,685  
  700    
Roper Industries Inc.
                    45,626  
 
       
Total Electrical Equipment
                    3,855,165  
         
       
 
                       
       
Electronic Equipment & Instruments – 1.3%
                       
       
 
                       
  65,400    
Agilent Technologies, Inc., (2)
                    2,182,398  
  1,300    
Corning Incorporated
                    23,764  
  23,300    
FLIR Systems Inc., (2)
                    598,810  
 
       
Total Electronic Equipment & Instruments
                    2,804,972  
         
       
 
                       
       
Energy Equipment & Services – 1.0%
                       
       
 
                       
  1,127    
Baker Hughes Incorporated
                    48,010  
  22,000    
Halliburton Company
                    727,540  
  22,642    
Schlumberger Limited
                    1,394,974  
 
       
Total Energy Equipment & Services
                    2,170,524  
         
       
 
                       
       
Food & Staples Retailing – 0.2%
                       
       
 
                       
  2,200    
Kroger Co.
                    47,652  
  2,400    
Sysco Corporation
                    68,448  
  8,200    
Walgreen Co.
                    274,700  
  700    
Wal-Mart Stores, Inc.
                    37,464  
  1,100    
Whole Foods Market, Inc., (2)
                    40,821  
 
       
Total Food & Staples Retailing
                    469,085  
         
       
 
                       
       
Food Products – 6.3%
                       
       
 
                       
  95,800    
General Mills, Inc.
                    3,500,532  
  19,100    
Hershey Foods Corporation
                    908,969  
  31,200    
JM Smucker Company
                    1,888,536  
  30,300    
Kellogg Company
                    1,530,453  
  3,100    
Kraft Foods Inc.
                    95,666  
  4,300    
McCormick & Company, Incorporated
                    180,772  
  24,500    
Mead Johnson Nutrition Company, Class A Shares
                    1,394,295  
  168,900    
Sara Lee Corporation
                    2,268,327  
  100,200    
Tyson Foods, Inc., Class A
                    1,605,204  
 
       
Total Food Products
                    13,372,754  
         
       
 
                       
       
Gas Utilities – 0.4%
                       
       
 
                       
  17,800    
ONEOK, Inc.
                    801,712  
 
       
 
                       
       
Health Care Equipment & Supplies – 6.1%
                       
       
 
                       
  39,500    
CareFusion Corporation, (2)
                    981,180  
  33,700    
Hospira Inc., (2)
                    1,921,237  
  14,600    
Intuitive Surgical, Inc., (2)
                    4,142,604  
  3,700    
Medtronic, Inc.
                    124,246  
  60,500    
Stryker Corporation
                    3,028,025  
  21,900    
Varian Medical Systems, Inc., (2)
                    1,324,950  
  26,400    
Zimmer Holdings, Inc., (2)
                    1,381,512  
 
       
Total Health Care Equipment & Supplies
                    12,903,754  
         
       
 
                       
       
Health Care Providers & Services – 6.0%
                       
       
 
                       
  116,900    
AmerisourceBergen Corporation
                    3,584,154  
  132,200    
Cardinal Health, Inc.
                    4,367,888  
  6,900    
Express Scripts, Inc., (2)
                    336,030  
  23,200    
Humana Inc., (2)
                    1,165,568  
  46,600    
McKesson HBOC Inc.
                    2,878,948  
  3,100    
Medco Health Solutions, Inc., (2)
                    161,386  
  1,900    
UnitedHealth Group Incorporated
                    66,709  
  1,600    
Wellpoint Inc., (2)
                    90,624  
 
       
Total Health Care Providers & Services
                    12,651,307  
         
       
 
                       
       
Hotels, Restaurants & Leisure – 3.4%
                       
       
 
                       
  35,300    
Darden Restaurants, Inc.
                    1,510,134  
  8,700    
Marriott International, Inc., Class A
                    311,721  
  5,500    
McDonald’s Corporation
                    409,805  
  135,400    
Starbucks Corporation
                    3,463,532  
  4,700    
Starwood Hotels & Resorts Worldwide, Inc.
                    246,985  
  6,500    
Wyndham Worldwide Corporation
                    178,555  
  600    
Wynn Resorts Ltd.
                    52,062  
  21,500    
YUM! Brands, Inc.
                    990,290  
 
       
Total Hotels, Restaurants & Leisure
                    7,163,084  
         
       
 
                       
       
Household Durables – 2.3%
                       
       
 
                       
  6,300    
Fortune Brands Inc.
                    310,149  
  6,100    
Harman International Industries Inc., (2)
                    203,801  
  10,300    
Lennar Corporation, Class A
                    158,414  
  53,987    
Stanley Black & Decker Inc.
                    3,308,323  
  11,500    
Whirlpool Corporation
                    931,040  
 
       
Total Household Durables
                    4,911,727  
         
       
 
                       
       
Household Products – 0.4%
                       
       
 
                       
  5,300    
Clorox Company
                    353,828  
  2,300    
Colgate-Palmolive Company
                    176,778  
  3,700    
Kimberly-Clark Corporation
                    240,685  
 
       
Total Household Products
                    771,291  
         
       
 
                       
       
Industrial Conglomerates – 0.5%
                       
       
 
                       
  2,500    
3M Co.
                    216,775  
  22,400    
General Electric Company
                    364,000  
  1,300    
Textron Inc.
                    26,728  
  10,400    
Tyco International Ltd.
                    381,992  
 
       
Total Industrial Conglomerates
                    989,495  
         
       
 
                       
       
Insurance – 1.4%
                       
       
 
                       
  5,600    
Ace Limited
                    326,200  
  2,500    
AFLAC Incorporated
                    129,275  
  1,800    
American International Group, (2)
                    70,380  
  5,300    
Assurant Inc.
                    215,710  
  3,331    
Berkshire Hathaway Inc., Class B, (2)
                    275,407  
  31,700    
Progressive Corporation
                    661,579  
  7,800    
Torchmark Corporation
                    414,492  
  15,000    
Travelers Companies, Inc.
                    781,500  
 
       
Total Insurance
                    2,874,543  
         
       
 
                       
       
Internet & Catalog Retail – 4.1%
                       
       
 
                       
  32,600    
Amazon.com, Inc., (2)
                    5,120,156  
  10,200    
Priceline.com Incorporated, (2)
                    3,553,068  
 
       
Total Internet & Catalog Retail
                    8,673,224  
         
       
 
                       
       
Internet Software & Services – 4.8%
                       
       
 
                       
  23,200    
Akamai Technologies, Inc., (2)
                    1,164,176  
  95,200    
eBay Inc., (2)
                    2,322,880  
  12,600    
Google Inc., Class A, (2)
                    6,624,954  
 
       
Total Internet Software & Services
                    10,112,010  
         
       
 
                       
       
IT Services – 3.9%
                       
       
 
                       
  84,700    
Cognizant Technology Solutions Corporation, Class A, (2)
                    5,460,609  
  6,500    
Fidelity National Information Services
                    176,345  
  12,100    
International Business Machines Corporation (IBM)
                    1,623,094  
  2,200    
MasterCard, Inc.
                    492,800  
  5,400    
Visa Inc.
                    401,004  
 
       
Total IT Services
                    8,153,852  
         
       
 
                       
       
Leisure Equipment & Products – 1.1%
                       
       
 
                       
  50,300    
Hasbro, Inc.
                    2,238,853  
 
       
 
                       
       
Life Sciences Tools & Services – 0.2%
                       
       
 
                       
  300    
Life Technologies Corporation, (2)
                    14,007  
  4,400    
Perkinelmer Inc.
                    101,816  
  3,000    
Waters Corporation, (2)
                    212,340  
 
       
Total Life Sciences Tools & Services
                    328,163  
         
       
 
                       
       
Machinery – 2.1%
                       
       
 
                       
  13,200    
Caterpillar Inc.
                    1,038,576  
  5,100    
Cummins Inc.
                    461,958  
  2,800    
Deere & Company
                    195,384  
  1,800    
Dover Corporation
                    93,978  
  25,300    
Eaton Corporation
                    2,086,997  
  1,600    
PACCAR Inc.
                    77,040  
  4,800    
Parker Hannifin Corporation
                    336,288  
  2,200    
Snap-on Incorporated
                    102,322  
 
       
Total Machinery
                    4,392,543  
         
       
 
                       
       
Media – 3.4%
                       
       
 
                       
  3,600    
Comcast Corporation, Class A
                    65,088  
  120,900    
DIRECTV Group, Inc., (2)
                    5,033,067  
  8,300    
Discovery Communications Inc., Class A Shares, (2)
                    361,465  
  4,400    
McGraw-Hill Companies, Inc.
                    145,464  
  19,000    
Scripps Networks Interactive, Class A Shares
                    904,020  
  4,900    
Time Warner Cable, Class A
                    264,551  
  7,400    
Viacom Inc., Class B
                    267,806  
  6,800    
Walt Disney Company
                    225,148  
 
       
Total Media
                    7,266,609  
         
       
 
                       
       
Metals & Mining – 0.2%
                       
       
 
                       
  1,500    
Allegheny Technologies, Inc.
                    69,675  
  900    
Cliffs Natural Resources Inc.
                    57,528  
  2,000    
Nucor Corporation
                    76,400  
  6,500    
Titanium Metals Corporation, (2)
                    129,740  
 
       
Total Metals & Mining
                    333,343  
         
       
 
                       
       
Multiline Retail – 1.2%
                       
       
 
                       
  24,400    
Big Lots, Inc., (2)
                    811,300  
  19,400    
Family Dollar Stores, Inc.
                    856,704  
  11,700    
Sears Holding Corporation, (2)
                    844,038  
 
       
Total Multiline Retail
                    2,512,042  
         
       
 
                       
       
Multi-Utilities – 3.0%
                       
       
 
                       
  41,600    
CenterPoint Energy, Inc.
                    653,952  
  16,400    
CMS Energy Corporation
                    295,528  
  5,400    
Dominion Resources, Inc.
                    235,764  
  54,300    
DTE Energy Company
                    2,493,999  
  28,800    
Integrys Energy Group, Inc.
                    1,499,328  
  30,700    
NiSource Inc.
                    534,180  
  2,400    
Public Service Enterprise Group Incorporated
                    79,392  
  900    
Sempra Energy
                    48,420  
  18,700    
TECO Energy, Inc.
                    323,884  
  3,600    
Wisconsin Energy Corporation
                    208,080  
 
       
Total Multi-Utilities
                    6,372,527  
         
       
 
                       
       
Oil, Gas & Consumable Fuels – 1.0%
                       
       
 
                       
  400    
Chevron Corporation
                    32,420  
  2,500    
Denbury Resources Inc., (2)
                    39,725  
  700    
Hess Corporation
                    41,384  
  28,700    
Pioneer Natural Resources Company
                    1,866,361  
  2,000    
QEP Resources Inc., (2)
                    60,280  
  500    
Sunoco, Inc.
                    18,250  
 
       
Total Oil, Gas & Consumable Fuels
                    2,058,420  
         
       
 
                       
       
Personal Products – 1.5%
                       
       
 
                       
  6,300    
Avon Products, Inc.
                    202,293  
  48,400    
Estee Lauder Companies Inc., Class A
                    3,060,332  
 
       
Total Personal Products
                    3,262,625  
         
       
 
                       
       
Pharmaceuticals – 3.1%
                       
       
 
                       
  30,800    
Abbott Laboratories
                    1,608,992  
  4,700    
Bristol-Myers Squibb Company
                    127,417  
  2,400    
Eli Lilly and Company
                    87,672  
  1,300    
Johnson & Johnson
                    80,548  
  94,232    
Merck & Company Inc.
                    3,468,680  
  62,600    
Mylan Laboratories Inc., (2)
                    1,177,506  
 
       
Total Pharmaceuticals
                    6,550,815  
         
       
 
                       
       
Professional Services – 0.2%
                       
       
 
                       
  16,600    
Equifax Inc.
                    517,920  
 
       
 
                       
       
Real Estate – 0.9%
                       
       
 
                       
  6,600    
Apartment Investment & Management Company, Class A
                    141,108  
  3,600    
AvalonBay Communities, Inc.
                    374,148  
  500    
Boston Properties, Inc.
                    41,560  
  13,300    
Equity Residential
                    632,681  
  900    
Health Care REIT, Inc.
                    32,382  
  3,600    
Host Hotels & Resorts Inc.
                    52,128  
  4,700    
Public Storage, Inc.
                    456,088  
  1,300    
Ventas Inc.
                    67,041  
  600    
Vornado Realty Trust
                    51,318  
 
       
Total Real Estate
                    1,848,454  
         
       
 
                       
       
Road & Rail – 0.0%
                       
       
 
                       
  400    
Ryder System, Inc.
                    17,108  
  500    
Union Pacific Corporation
                    40,900  
 
       
Total Road & Rail
                    58,008  
         
       
 
                       
       
Semiconductors & Equipment – 1.1%
                       
       
 
                       
  35,200    
Advanced Micro Devices, Inc., (2)
                    250,272  
  2,500    
Altera Corporation
                    75,400  
  2,100    
Linear Technology Corporation
                    64,533  
  3,800    
Microchip Technology Incorporated
                    119,510  
  800    
Novellus Systems, Inc., (2)
                    21,264  
  69,800    
Texas Instruments Incorporated
                    1,894,372  
 
       
Total Semiconductors & Equipment
                    2,425,351  
         
       
 
                       
       
Software – 2.1%
                       
       
 
                       
  1,400    
Autodesk, Inc., (2)
                    44,758  
  13,400    
Intuit, Inc., (2)
                    587,054  
  60,200    
Microsoft Corporation
                    1,474,298  
  105,700    
Novell Inc., (2)
                    631,029  
  14,300    
Salesforce.com, Inc., (2)
                    1,598,740  
 
       
Total Software
                    4,335,879  
         
       
 
                       
       
Specialty Retail – 4.6%
                       
       
 
                       
  900    
Abercrombie & Fitch Co., Class A
                    35,388  
  800    
AutoNation Inc., (2)
                    18,600  
  2,200    
AutoZone, Inc., (2)
                    503,602  
  6,300    
GameStop Corporation, (2)
                    124,173  
  38,000    
Home Depot, Inc.
                    1,203,840  
  87,300    
Limited Brands, Inc.
                    2,337,894  
  9,200    
O’Reilly Automotive Inc., (2)
                    489,440  
  2,400    
RadioShack Corporation
                    51,192  
  5,200    
Ross Stores, Inc.
                    284,024  
  14,000    
Tiffany & Co.
                    657,860  
  87,900    
TJX Companies, Inc.
                    3,922,977  
 
       
Total Specialty Retail
                    9,628,990  
         
       
 
                       
       
Textiles, Apparel & Luxury Goods – 0.1%
                       
       
 
                       
  2,900    
Nike, Inc., Class B
                    232,406  
 
       
 
                       
       
Thrifts & Mortgage Finance – 0.1%
                       
       
 
                       
  10,700    
Hudson City Bancorp, Inc.
                    131,182  
 
       
 
                       
       
Tobacco – 1.1%
                       
  6,900    
Altria Group, Inc.
                    165,738  
  300    
Lorillard Inc.
                    24,093  
  900    
Philip Morris International
                    50,418  
  36,000    
Reynolds American Inc.
                    2,138,040  
 
       
Total Tobacco
                    2,378,289  
         
       
 
                       
       
Trading Companies & Distributors – 1.2%
                       
       
 
                       
  46,300    
Fastenal Company
                    2,462,697  
 
       
 
                       
       
Wireless Telecommunication Services – 1.9%
                       
       
 
                       
  74,300    
American Tower Corporation, (2)
                    3,808,618  
  45,400    
Sprint Nextel Corporation, (2)
                    210,202  
 
       
Total Wireless Telecommunication Services
                    4,018,820  
         
       
Total Common Stocks (cost $185,086,331)
                    208,705,082  
         
       
 
                       
                                     
Principal    
 
                           
Amount (000)    
Description (1)
  Coupon     Maturity         Rating (3)   Value  
 
       
 
                           
       
Short-Term Investments – 4.0%
                           
 
       
U.S. Government and Agency Obligations – 1.9%
                           
       
 
                           
$ 2,000    
U.S. Treasury Bills, (4)
    0.000 %     1/27/11     AAA   $ 1,999,214  
  2,000    
U.S. Treasury Bills
    0.000 %     2/03/11     AAA     1,999,118  
 
  4,000    
Total U.S. Government and Agency Obligations
                        3,998,332  
 
       
Repurchase Agreements – 2.1%
                           
 
  4,465    
Repurchase Agreement with State Street Bank, dated 9/30/10, repurchase price $4,464,799, collateralized by $4,255,000 U.S. Treasury Notes, 2.500%, due 4/30/15, value $4,555,829
    0.080 %     10/01/10     N/A     4,464,789  
 
$ 8,465    
Total Short-Term Investments (cost $8,462,469)
                        8,463,121  
 
       
Total Investments (cost $193,548,800) — 102.8%
                        217,168,203  
         
       
Other Assets Less Liabilities — (2.8)%
                        (5,817,522 )
         
       
Net Assets — 100%
                      $ 211,350,681  
         
Investments in Derivatives
Call Options Written outstanding at September 30, 2010:
                                                   
Number of         Notional     Expiration     Strike        
Contracts     Type   Amount (5)     Date     Price     Value  
 
  (455,052 )  
Custom Basket NASDAQ
  $ (45,505,214 )     10/21/10     $ 103.0     $ (817,319 )
  (463,508 )  
Custom Basket NASDAQ
    (46,350,790 )     11/04/10       103.0       (486,683 )
 
  (918,560 )  
Total Call Options Written (premiums received $996,342)
  $ (91,856,004 )                   $ (1,304,002 )
 
Futures Contracts outstanding at September 30, 2010:
                                         
                                    Unrealized  
    Contract     Number of     Contract     Value at     Appreciation  
Type   Position     Contracts     Expiration     September 30, 2010     (Depreciation)  
 
S&P 500 Index
    Long       125       12/10       $7,104,375       $130,250  
 
Fair Value Measurements
In determining the fair 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 methodologies 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 September 30, 2010:
                                 
    Level 1     Level 2     Level 3     Total  
 
 
                               
Investments:
                               
Common Stocks
  $ 208,705,082     $     $     $ 208,705,082  
Short-Term Investments
    8,463,121                   8,463,121  
Derivatives:
                               
Call Options Written
          (1,304,002 )           (1,304,002 )
Futures Contracts *
    130,250                   130,250  
 
Total
  $ 217,298,453     $ (1,304,002 )   $     $ 215,994,451  
 
* Represents net unrealized appreciation (depreciation).
Derivative Instruments and Hedging Activities
The Fund records derivative instruments at fair value, with changes in fair value recognized on the Statement of Operations, when applicable. Even though the Fund’s investments in derivatives may represent economic hedges, they are not considered to be hedge transactions for financial reporting purposes.
The following table presents the fair value of all derivative instruments held by the Fund as of September 30, 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  
Futures Contracts
  Receivable for variation margin on futures contracts*   $ 130,250     Payable for variation margin on futures contracts*   $  
 
Equity Price  
Options
          Call options written, at value     1,304,002  
 
Total  
 
      $ 130,250         $ 1,304,002  
 
Value represents cumulative unrealized appreciation (depreciation) of futures contracts as reported in the Portfolio of Investments and not the deposits with brokers, if any, or the receivable or payable for variation margin presented on the Statement of Assets and Liabilities.
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 timing differences in recognizing certain gains and losses on investment transactions and the recognition of unrealized gain or loss for tax (mark-to-market) on futures contracts. 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 September 30, 2010, the cost of investments (excluding investments in derivatives) was $195,113,910.
Gross unrealized appreciation and gross unrealized depreciation of investments (excluding investments in derivatives) at September 30, 2010, were as follows:
         
 
 
       
Gross unrealized:
       
Appreciation
  $ 25,022,506  
Depreciation
    (2,968,213 )
 
 
       
Net unrealized appreciation (depreciation) of investments
  $ 22,054,293  
 
       
 
For Fund portfolio compliance purposes, the Fund’s industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. This definition may not apply for purposes of this report, which may combine industry sub-classifications into sectors for reporting ease.
           
(1)
  All percentages shown in the Portfolio of Investments are based on net assets.
 
   
(2)
  Non-income producing; issuer has not declared a dividend within the past twelve months.
 
   
(3)
  Ratings: Using the highest of Standard & Poor’s Group (“Standard & Poor’s”), Moody’s Investor Service, Inc. (“Moody’s”) or Fitch, Inc. (“Fitch”) rating. Ratings below BBB by Standard & Poor’s, Baa by Moody’s or BBB by Fitch are considered to be below investment grade. Holdings designated N/R are not rated by any of these national rating agencies.
 
   
(4)
  Investment, or portion of investment, has been pledged to collateralize the net payment obligations for investments in derivatives.
 
   
(5)
  For disclosure purposes, Notional Amount is calculated by multiplying the Number of Contracts by $100.
 
   
N/A
  Not applicable.


 

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 Core Equity Alpha Fund
         
     
By (Signature and Title)  /s/ Kevin J. McCarthy    
  Kevin J. McCarthy  
  Vice President and Secretary   
 
Date November 29, 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 November 29, 2010
         
     
By (Signature and Title)  /s/ Stephen D. Foy    
  Stephen D. Foy   
  Vice President and Controller (principal financial officer)   
 
Date November 29, 2010