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Criteria

CEF Sponsors
Main Group
Dividend Frequency:
BDC Sponsors
Peer Group
Inception Date:
CEF Data Total Return Rankings
Fund Universe Listed
Disc/Prm: -63.18% - 85.5%
Mkt Price Yield: 0% - 34.57%
YTD Mkt Price TR: -16.4% - 39.61%
YTD NAV TR: -13.39% - 40.18%
1 Year Mkt Price TR: -64.52% - 86.11%
1 Year NAV TR: -29.63% - 73.33%
Nav: $0.19 - $80.59
Beta: -0.64 - 2.55
3 Year NAV TR: -56.47% - 89.29%
5 Year NAV TR: -52.8% - 651.48%
Non Lev Expense Ratio: -0.89% - 14.92%
Leverage: 0% - 67.53%
Net Assets (MM): $13 - $13355
90 Day $ ADV (M): $0 - $332352
Price: $0.11 - $57.54
Corr: -0.13 - 0.85
    

Criteria

Sponsors
Major Group
Dividend Frequency:
Structure
Sub Group
Inception Date:
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Records found (452)         * Beta and Correlation data is based on CEF Advisors’ 12 Major Sector Index market price data
TickerNameSponsorPeer GroupLeverage %Non Lev Expense RatioMkt Price YieldDiv FrequencyDisc/Prm3-month Z-Stat6-month Z-StatNet AssetsEffective DurationPG Mkt Pr RankMarket PriceNAV*Beta*CorrInception NAV TRInception Mkt PrInception Date
ACPAbrdn Income Credit Strategies FundabrdnHigh Yield Bond Funds25.962.0415.5Monthly-4.310.721-0.3597862.682666.270.580.532.171.7501/27/2011
ACVVirtus Diversified Income & Convertible FundVirtusConvertible Funds31.151.6410.59Monthly-3.95-1.655-0.347220920.421.241.620.817.286.5905/26/2015
ADXAdams Diversified Equity FundAdams FundsGeneral Equity Funds0.619.81Quarterly-10.93-0.716-0.1625291119.1621.511.410.6310/01/1929
AEFAbrdn Emerging Markets Ex-China FundabrdnEmerging Market Equity11.411.211.56Quarterly-14.36-1.532-0.61824635.196.061.380.4809/25/1989
AFBAllianceBernstein National Municipal Income FundAllianceBernsteinNational Municipal (tax-free) Bond39.71.024.33Monthly-10.360.8390.243528.952810.9912.260.820.623.222.8101/29/2002
AGDAbrdn Global Dynamic Dividend FundabrdnGlobal Equity0.881.1612.95Monthly-6.681.1781.707271410.1910.921.20.51-0.06-0.4207/26/2006
AIOVirtus Artificial Intelligence & Technology Opportunities FundVirtusHybrid / Balanced Funds14.381.568.33Monthly2.37-1.299-0.173725521.621.11.380.7110.6110.910/31/2019
AODAbrdn Total Dynamic Dividend FundabrdnGlobal Equity1.1413.92Monthly-8.881.6311.62699758.629.461.230.74-0.74-1.2701/26/2007
ARCCAres Capital CorporationAresDebt Focused BDC48.586.778.82Quarterly9.4-1.344-0.456133551321.7619.890.660.546.336.5110/05/2004
ARDCAres Dynamic Credit Allocation FundAresLoan Participation36.792.339.57Monthly-2.56-1.449-2.1673311.16314.114.470.270.523.863.3711/28/2012
ASAASA Gold And Precious Metals LimitedMerk InvestmentsEnergy Natural Resources Funds1.640.14Semiannual-10.49-0.1250.471599128.2331.541.390.2709/23/1958
ASGLiberty All-Star Growth FundALPSGeneral Equity Funds1.149.68Quarterly-8.15-1.097-1.164324224.965.41.650.7603/14/1986
ASGIAbrdn Global Infrastructure Income FundabrdnUtilities Funds1.6512.31Monthly-7.910.203-0.781582718.5220.111.260.556.866.7107/29/2020
AVKAdvent Convertible And Income FundGuggenheim FundsConvertible Funds39.061.7812.08Monthly-3.32-0.4840.522531611.6412.041.390.533.172.9104/30/2003
AWFAllianceBernstein Global High Income FundAllianceBernsteinMultisector Bond Funds15.240.997.29Monthly-4.350.308-0.1229712.992110.7811.270.560.733.463.207/28/1993
AWPAbrdn Global Premier Properties FundabrdnGlobal Real Estate, REIT & Real Assets19.551.2512.4Monthly2.651.2261.04632483.873.772.150.57-1.34-1.5704/26/2007
BANXArrowMark Financial CorpArrowMarkInvestment Grade Bond26.44.058.64Quarterly-5.44-1.109-0.169156120.8422.040.450.364.574.311/07/2013
BBDCBarings BDC, Inc.BaringsDebt Focused BDC53.816.6110.84Quarterly-15.06-0.711-0.741190149.5911.290.720.437.944.7802/15/2007
BBNBlackRock Taxable Municipal Bond TrustBlackRockTaxable Municipal Bond Funds32.380.856.67Monthly-4.410.4630.23108010.87216.7117.480.80.554.934.4408/27/2010
BCATBlackRock Capital Allocation Term TrustBlackRockHybrid / Balanced Funds1.3523.5Monthly-6.14-0.427-0.86416371714.6715.630.80.573.412.4509/28/2020
BCSFBain Capital Specialty FinanceBCSF AdvisorsDebt Focused BDC52.826.6210Quarterly-4.82-1.397-0.61111391116.817.650.710.435.076.5111/15/2018
BCVBancroft FundGabelliConvertible Funds191.417.12Quarterly-9.242.1482.747115117.9719.81.310.7310/04/1971
BCXBlackRock Resources & Commodities Strategy TrustBlackRockEnergy Natural Resources Funds1.068.99Monthly-8.280.9711.27879259.310.141.170.570.63-0.0103/29/2011
BDJBlackRock Enhanced Equity Dividend TrustBlackRockCovered Call Funds0.868.65Monthly-6.12-0.4680.266161988.599.151.030.582.852.4708/26/2005
BFKBlackRock Municipal Income TrustBlackRockNational Municipal (tax-free) Bond38.460.935.96Monthly-8.550.870.78948211.793910.06110.640.663.262.9207/27/2001