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Criteria

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Records found (466)         * 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 Funds29.481.9918.52Monthly-2.11-1.625-0.4117623216.486.620.810.642.191.7901/27/2011
ACVVirtus Diversified Income & Convertible FundVirtusConvertible Funds31.851.6710.71Monthly-4.81-1.073-1.661219520.1721.191.510.827.456.6605/26/2015
ADXAdams Diversified Equity FundAdams FundsGeneral Equity Funds0.618.3Quarterly-8.461.2551.882874121.2123.171.30.6910/01/1929
AEFAbrdn Emerging Markets Equity Income FundabrdnEmerging Market Equity10.121.27.74Quarterly-13.980.7051.1630535.176.011.410.6609/25/1989
AFBAllianceBernstein National Municipal Income FundAllianceBernsteinNational Municipal (tax-free) Bond39.541.033.51Monthly-11.350.7981.4113628.933411.1712.60.620.683.322.8801/29/2002
AGDAbrdn Global Dynamic Dividend FundabrdnGlobal Equity0.931.168.01Monthly-12.81.1091.64727799.7411.171.270.54-0.14-0.6307/26/2006
AIOVirtus Artificial Intelligence & Technology Opportunities FundVirtusHybrid / Balanced Funds14.671.588.62Monthly-1.421.7142.327726420.8721.171.250.7711.3711.1610/31/2019
AODAbrdn Total Dynamic Dividend FundabrdnGlobal Equity3.471.148.21Monthly-13.041.5122.213101888.49.661.290.87-0.86-1.4801/26/2007
ARCCAres Capital CorporationAresDebt Focused BDC48.217.529.24Quarterly6.35-0.896-0.043118692120.7719.530.760.616.366.4810/05/2004
ARDCAres Dynamic Credit Allocation FundAresLoan Participation37.022.589.48Monthly1.090.771.3613371.13214.8814.720.440.583.883.5211/28/2012
ASAASA Gold And Precious Metals LimitedMerk InvestmentsEnergy Natural Resources Funds1.720.16Semiannual-9.961.8832.126397318.5420.591.90.3109/23/1958
ASGLiberty All-Star Growth FundALPSGeneral Equity Funds1.139.01Quarterly-7.31.5571.819340215.335.751.650.803/14/1986
ASGIAbrdn Global Infrastructure Income FundabrdnUtilities Funds2.0512.99Monthly-8.930.2330.989511318.4720.281.240.796.766.2707/29/2020
AVKAdvent Convertible And Income FundGuggenheim FundsConvertible Funds42.421.7811.3Monthly1.971.8892.285422212.4512.211.430.823.192.9904/30/2003
AWFAllianceBernstein Global High Income FundAllianceBernsteinMultisector Bond Funds16.761.017.48Monthly-6.08-1.626-0.6939643.29910.5111.190.660.783.483.207/28/1993
AWPAbrdn Global Premier Properties FundabrdnGlobal Real Estate, REIT & Real Assets17.21.1911.82Monthly3.312.7062.30733584.063.932.030.79-1.44-1.6704/26/2007
BANXArrowMark Financial CorpArrowMarkInvestment Grade Bond25.853.679.33Quarterly-10.572.7432.828153219.321.580.50.084.353.7711/07/2013
BBDCBarings BDC, Inc.BaringsDebt Focused BDC53.776.4310.41Quarterly-12.670.4621.001121239.9911.440.90.488.144.902/15/2007
BBNBlackRock Taxable Municipal Bond TrustBlackRockTaxable Municipal Bond Funds33.310.876.75Monthly-6.031.7811.275108511.4216.5117.570.630.755.044.4708/27/2010
BCATBlackRock Capital Allocation Term TrustBlackRockHybrid / Balanced Funds1.3121.43Monthly-6.740.4141.05718481216.0417.20.750.63.141.7309/28/2020
BCSFBain Capital Specialty FinanceBCSF AdvisorsDebt Focused BDC52.627.910.17Quarterly-6.670.270.9831142816.5217.70.880.554.786.1111/15/2018
BCVBancroft FundGabelliConvertible Funds221.428.02Quarterly-14.93-0.743-0.5551101115.9618.761.320.7510/04/1971
BCXBlackRock Resources & Commodities Strategy TrustBlackRockEnergy Natural Resources Funds1.066.72Monthly-11.91.2881.70388599.2510.51.320.580.62-0.2203/29/2011
BDJBlackRock Enhanced Equity Dividend TrustBlackRockCovered Call Funds0.868.17Monthly-10.620.5890.4851718178.259.231.010.832.862.3708/26/2005
BFKBlackRock Municipal Income TrustBlackRockNational Municipal (tax-free) Bond34.3715.92Monthly-11.210.201-0.1350011.144010.1411.420.520.663.362.9607/27/2001