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  • Fund Type: Closed-End Fund
  • Objective: Convertible
  • Asset Class: Asset Allocation
  • Geographic Focus: Global

Advent Claymore Convertible Securities and Income Fund II

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AGC:US

7.5200 USD 0.0200 0.27%

As of 10:05:37 ET on 05/21/2013.

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Snapshot for Advent Claymore Convertible Securities and Income Fund II (AGC)

Open: 7.5100 High - Low: 7.5700 - 7.5100 Primary Exchange: New York
Volume: 19,142 52-Week Range: 6.0600 - 7.6200 Beta vs SPX: 0.8567

ETF Chart for AGC

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  • AGC:US 7.5200
  • 1D
  • 1M
  • 1Y
7.5400
Interactive AGC Chart

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Fund Profile & Information for AGC

Advent Claymore Convertible Securities and Income Fund II is a diversified, closed-end management investment company. The Fund's objective is to provide total return, through a combination of capital appreciation and current income. The Fund invests at least 80% of its managed assets in a diversified portfolio of convertible securities and non-convertible income-producing securities.

Inception Date: 2007-05-24 Telephone: 1-212-482-1600
Managers: -
Web Site: www.guggenheimfunds.com/AGC

Fundamentals for AGC

NAV (on 2013-05-20) 8.1500
Assets (M) (on 2012-10-31) 231.5120
Shares out (M) 32.24
Market Cap (M) 243.10
% Premium -7.48
Average 52-Week % Premium -8.7123
Fund Leveraged Y
Fund Leverage Percent 40.6100 %

Dividends for AGC

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-05-13) 0.0470
Dividend Yield (ttm) 7.48%

Performance for AGC

1-Month +7.78% 1-Year +32.46%
3-Month +10.78% 3-Year +7.91%
Year To Date +20.27% 5-Year -3.24%
Expense Ratio 2.35

Top Fund Holdings for AGC

Filing Date: 01/31/2013
Name Position Value % of Total
KCN 1 ¾ 03/15/28 7,800 7,804,875 3.149%
BAC 7 ¼ 12/31/49 5,646 6,694,857 2.701%
PCLN 1 03/15/18 6,025 6,683,984 2.697%
MDT 1 ⅝ 04/15/13 6,159 6,189,795 2.497%
LPNT 3 ½ 05/15/14 5,751 6,142,787 2.478%
EMC 1 ¾ 12/01/13 3,968 6,138,020 2.477%
RGLD 2 ⅞ 06/15/19 5,573 6,123,334 2.471%
GM 4 ¾ 12/01/13 135,186 5,856,258 2.363%
MGM 4 ¼ 04/15/15 5,350 5,811,438 2.345%
ANR 2 ⅜ 04/15/15 6,165 5,795,100 2.338%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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