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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: -56.56% - 100.95%
Mkt Price Yield: 0% - 37.35%
YTD Mkt Price TR: -46.15% - 63.35%
YTD NAV TR: -11.11% - 62.49%
1 Year Mkt Price TR: -56.25% - 91.37%
1 Year NAV TR: -25.44% - 81.99%
Nav: $0.16 - $78.72
Beta: -0.72 - 2.41
3 Year NAV TR: -54.94% - 139.37%
5 Year NAV TR: -31.7% - 265.87%
Non Lev Expense Ratio: 0.23% - 17.82%
Leverage: 0% - 74.4%
Net Assets (MM): $14 - $13668
90 Day $ ADV (M): $0 - $492097
Price: $0.07 - $58.51
Corr: -0.04 - 0.89
    

Criteria

Sponsors
Major Group
Dividend Frequency:
Structure
Sub Group
Inception Date:
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Records found (450)         * 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 Funds28.182.0415.84Monthly-4.080.7440.9197672.82255.876.120.680.792.151.7401/27/2011
ACVVirtus Diversified Income & Convertible FundVirtusConvertible Funds31.631.749.84Monthly-1.170.4250.707230621.9622.221.430.837.436.8905/26/2015
ADXAdams Diversified Equity FundAdams FundsGeneral Equity Funds0.568.88Quarterly-7.541.3251.92826331220.7122.41.320.7610/01/1929
AEFAbrdn Emerging Markets Ex-China FundabrdnEmerging Market Equity10.971.210.49Quarterly-11.731.060.69626335.726.481.80.5809/25/1989
AFBAllianceBernstein National Municipal Income FundAllianceBernsteinNational Municipal (tax-free) Bond46.051.024.67Monthly-11.17-0.0540.1232910.874010.1811.461.140.353.082.6801/29/2002
AGDAbrdn Global Dynamic Dividend FundabrdnGlobal Equity4.171.1612.45Monthly-3.111.7722.281272410.610.941.630.65-0.01-0.3107/26/2006
AIOVirtus Artificial Intelligence & Technology Opportunities FundVirtusHybrid / Balanced Funds14.631.567.66Monthly4.720.9490.603772523.522.441.350.8111.1111.6810/31/2019
AODAbrdn Total Dynamic Dividend FundabrdnGlobal Equity2.461.1412.47Monthly-8.460.841.17599778.669.461.650.88-0.69-1.201/26/2007
ARCCAres Capital CorporationAresDebt Focused BDC49.165.558.93Quarterly8.530.239-0.42913668921.5119.820.770.756.296.4506/03/2024
ARDCAres Dynamic Credit Allocation FundAresLoan Participation36.882.549.49Monthly-1.660.809-0.2193311.31914.2214.460.330.753.873.4311/28/2012
ASAASA Gold And Precious Metals LimitedMerk InvestmentsEnergy Natural Resources Funds0.980.15Semiannual-9.660.40.47369413336.531.430.3609/23/1958
ASGLiberty All-Star Growth FundALPSGeneral Equity Funds1.147.68Quarterly-8.76-0.792-0.798343205.215.711.560.7603/14/1986
ASGIAbrdn Global Infrastructure Income FundabrdnUtilities Funds1.6512.43Monthly-3.242.3742.76606820.2820.961.240.597.628.2807/29/2020
AVKAdvent Convertible And Income FundGuggenheim FundsConvertible Funds39.171.7812.07Monthly-4.19-0.599-0.965536711.6512.161.380.683.182.9204/30/2003
AWFAllianceBernstein Global High Income FundAllianceBernsteinMultisector Bond Funds20.781.017.26Monthly-3.90.7430.73397131810.8311.270.530.843.453.1907/28/1993
AWPAbrdn Global Premier Properties FundabrdnGlobal Real Estate, REIT & Real Assets11.821.2512.15Monthly2.070.2670.47833563.953.871.920.56-1.25-1.4804/26/2007
BANXArrowMark Financial CorpArrowMarkInvestment Grade Bond23.184.298.63Quarterly-4.051.3210.711154120.8621.740.420.574.414.2111/07/2013
BBDCBarings BDC, Inc.BaringsDebt Focused BDC54.35.9711.47Quarterly-19.660.341-0.5451188169.0711.290.730.647.914.5410/10/2006
BBNBlackRock Taxable Municipal Bond TrustBlackRockTaxable Municipal Bond Funds33.810.877.11Monthly-7-0.85-1.163104110.91215.6816.860.860.54.794.2208/27/2010
BCATBlackRock Capital Allocation Term TrustBlackRockHybrid / Balanced Funds1.3722.63Monthly-4.220.7331.0581613914.7515.40.840.753.83.209/28/2020
BCSFBain Capital Specialty FinanceBCSF AdvisorsDebt Focused BDC54.925.5411.21Quarterly-15.08-0.672-1.21511441914.9817.640.930.645.034.8210/13/2016
BCVBancroft FundGabelliConvertible Funds201.337.01Quarterly-12.16-0.343-0.238121218.2720.81.370.7710/04/1971
BCXBlackRock Resources & Commodities Strategy TrustBlackRockEnergy Natural Resources Funds1.18.84Monthly-7.89-0.230.42878269.4610.271.290.760.730.1203/29/2011
BDJBlackRock Enhanced Equity Dividend TrustBlackRockCovered Call Funds0.888.71Monthly-6.88-0.81-0.912162048.539.161.150.752.852.4708/26/2005
BFKBlackRock Municipal Income TrustBlackRockNational Municipal (tax-free) Bond41.020.896.32Monthly-9.88-0.233-0.15146113.42199.4910.530.840.513.182.8307/27/2001