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Portfolio of Closed-End Fund Opportunities, 27

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Strategy Performance

Trust Name Status Deposit Date Maturity Date Term LIQ Price Performance** Historical 12‑Month Dist.* Docs
Diversified Income & Growth, 2 Closed 01-24-2012 01-28-2014 2 Year $9.6177 -3.82% 0.8093
Diversified Income & Growth, 3 Closed 08-28-2012 08-28-2014 2 Year $9.9459 24.46% 0.7237
Diversified Income & Growth, 4 Closed 01-28-2014 01-28-2016 2 Year $8.1726 -4.67% 0.7868
Diversified Income & Growth, 5 Closed 08-28-2014 08-30-2016 2 Year $8.9233 4.42% 0.7501
Diversified Income & Growth, 6 Closed 12-19-2014 12-21-2016 2 Year $8.7048 1.29% 0.7492
Portfolio of Closed-End Fund Opportunities, 7 Closed 04-23-2015 04-25-2017 2 Year $8.6833 2.92% 0.7661
Portfolio of Closed-End Fund Opportunities, 8 Closed 08-27-2015 08-29-2017 2 Year $9.9783 18.58% 0.9901
Portfolio of Closed-End Fund Opportunities, 9 Closed 01-28-2016 01-31-2018 2 Year $10.7486 24.66% 0.9307
Portfolio of Closed-End Fund Opportunities, 10 Closed 08-30-2016 08-30-2018 2 Year $9.6284 10.27% 0.7581
Portfolio of Closed-End Fund Opportunities, 11 Closed 12-21-2016 12-20-2018 2 Year $8.5311 -2.44% 0.7981
Portfolio of Closed-End Fund Opportunities, 12 Closed 04-25-2017 04-25-2019 2 Year $8.9017 2.92% 0.7625
Portfolio of Closed-End Fund Opportunities, 13 Closed 08-29-2017 08-29-2019 2 Year $9.0056 6.55% 0.7326
Portfolio of Closed-End Fund Opportunities, 14 Closed 12-20-2017 12-20-2019 2 Year $9.2906 8.20% 0.7133
Portfolio of Closed-End Fund Opportunities, 15 Closed 04-24-2018 04-28-2020 2 Year $7.5192 -14.03% 0.7496
Portfolio of Closed-End Fund Opportunities, 16 Closed 08-15-2018 08-25-2020 2 Year $8.4054 -2.10% 0.7076
Portfolio of Closed-End Fund Opportunities, 17 Closed 12-19-2018 12-22-2020 2 Year $10.7545 23.10% 0.7621
Portfolio of Closed-End Fund Opportunities, 18 Closed 04-16-2019 04-16-2021 2 Year $10.1886 16.67% 0.6596
Portfolio of Closed-End Fund Opportunities, 19 Closed 08-15-2019 08-17-2021 2 Year $9.8905 13.15% 0.6202
Portfolio of Closed-End Fund Opportunities, 20 Closed 12-20-2019 12-21-2021 2 Year $9.6314 11.58% 0.6818
Portfolio of Closed-End Fund Opportunities, 21 Closed 04-28-2020 04-29-2022 2 Year $9.7142 9.14% 0.6244
Portfolio of Closed-End Fund Opportunities, 22 Closed 08-25-2020 08-26-2022 2 Year $8.2780 -6.23% 0.7001
Portfolio of Closed-End Fund Opportunities, 23 Closed 12-22-2020 12-21-2022 2 Year $7.4157 -16.10% 0.7273
Portfolio of Closed-End Fund Opportunities, 24 Closed 04-16-2021 04-13-2023 2 Year $7.0477 -18.02% 0.4932
Portfolio of Closed-End Fund Opportunities, 25 Closed 08-17-2021 08-17-2023 2 Year $6.9938 -19.70% 0.5696
Portfolio of Closed-End Fund Opportunities, 26 Closed 12-21-2021 12-21-2023 2 Year $7.4341 -14.15% 0.6028
Portfolio of Closed-End Fund Opportunities, 27 Closed 01-19-2022 01-19-2024 2 Year $7.5585 -11.49% 0.6639
Portfolio of Closed-End Fund Opportunities, 28 Closed 04-29-2022 04-30-2024 2 Year $9.1670 6.37% 0.7675
Portfolio of Closed-End Fund Opportunities, 29 Closed 08-26-2022 08-27-2024 2 Year $9.7586 13.35% 0.7311
Portfolio of Closed-End Fund Opportunities, 30 Closed 12-21-2022 12-20-2024 2 Year $10.8378 27.21% 0.8612
Portfolio of Closed-End Fund Opportunities, 31 Closed 04-13-2023 04-09-2025 2 Year $9.5648 12.28% 0.7863
Portfolio of Closed-End Fund Opportunities, 32 Open 08-17-2023 08-13-2025 2 Year $10.6223 23.75% 0.9155
Portfolio of Closed-End Fund Opportunities, 33 Open 12-21-2023 12-17-2025 2 Year $10.1972 14.03% 0.8982
Portfolio of Closed-End Fund Opportunities, 34 Open 04-30-2024 04-28-2026 2 Year $10.0873 10.10% 0.9248
Portfolio of Closed-End Fund Opportunities, 35 Open 08-27-2024 08-27-2026 2 Year $9.3812 -0.36% 0.6585
Portfolio of Closed-End Fund Opportunities, 36 Open 12-20-2024 12-17-2026 2 Year $9.3391 -3.85% 0.7434
Portfolio of Closed-End Fund Opportunities, 37 Open 04-09-2025 04-08-2027 2 Year $10.4402 4.96% 0.8837
Performance for certain Trust series is not available online, please contact the SmartTrust support desk for more information.

*The Historical 12-Month Distribution of Trust Holdings is as of 10/01/2024. If the Trust deposited after, or 90 days prior to, 10/01/2024, the distribution is as of deposit date. The Historical 12-Month Distribution is calculated by taking the weighted average of the regular income distributions paid by the securities included in the trust’s portfolio over the 12 months preceding the trust’s date of deposit reduced to account for the effects of trust fees and expenses. This historical distribution is for illustrative purposes only and is not indicative of amounts that will actually be distributed by the trust. The distributions paid by the trust may be higher or lower than the amount shown above due to factors including, but not limited to, changes in the price of trust units, changes (including reductions) in distributions paid by issuers, changes in actual trust expenses and sales of securities in the portfolio. There is no guarantee that the issuers of the securities included in the trust will pay any distributions in the future.

**Calculated With Transactional Sales Charge (Distributions Reinvested) Since Inception