UIT TRUST SUMMARY BY ASSET CLASS

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  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 ESTIMATED ANNUAL
INCOME4
ECR5 ELTR5 DEPOSIT DATE FACT CARD PROSPECTUS
TAXABLE FIXED INCOME (click to view CUSIPs)
Short Duration High Yield Trust, 039 CGSYNX 3/2/15 $1,079.47 $1,047.62 $1,047.62 $67.37 6.24% 5.03% 2/20/15
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
LADDERED TAXABLE FIXED INCOME (click to view CUSIPs)
BulletShares High Yield Low Duration 2016-2019 Bond Ladder Portfolio of ETFs , 005 CBHYEX 3/2/15 $10.18770 $10.08070 $9.83570 $0.3471 12/10/14 12/14/16
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
U.S. EQUITY (click to view CUSIPs)
SMid Dividend Strength Portfolio, 002 CSMDBX 3/2/15 $10.82460 $10.69250 $10.44750 $0.2416 9/10/14 9/14/16
US Capital Strength Portfolio, 006 CUCAFX 3/2/15 $10.57660 $10.45390 $10.20890 $0.1320 11/19/14 11/16/16
Multinational Titans Portfolio, 007 CMNTGX 3/2/15 $10.53070 $10.40960 $10.16460 $0.2251 10/22/14 10/19/16
Dow Jones Value Dividend Focus Portfolio, 019 CRBDSX 3/2/15 $10.49870 $10.38430 $10.23930 $0.3883 12/15/14 3/15/16
Diversified Dividend & Income Portfolio, 020 CDDITX 3/2/15 $10.35060 $10.35060 $10.00560 $0.2473 9/24/14 9/28/16
US 50 Dividend Strategy Portfolio, 003 CUFTCX 3/2/15 $10.40100 $10.28870 $10.14370 $0.5762 1/26/15 4/22/16
US SMID High Dividend Portfolio , 015 CSMHOX 3/2/15 $10.36890 $10.25800 $10.11300 $0.4682 1/16/15 4/15/16
Blue Chip Growth Portfolio, 006 CBCHFX 3/2/15 $10.19680 $10.08870 $9.84370 $0.1418 2/18/15 2/15/17
Zacks Rank Strong Buy 50 Strategy Portfolio, 002 CZRSBX 3/2/15 $10.13930 $10.03490 $9.88990 $0.0153 1/2/15 4/1/16
ML Top Picks for 2015 (AVAILABLE THROUGH MERRILL LYNCH ADVISORS ONLY), 003 CMPICX 3/2/15 $10.12680 $10.02350 $9.87850 $0.0942 2/18/15 4/7/16
Dow 10 Portfolio, 020 CDOWTX 3/2/15 $10.11760 $10.01440 $9.86940 $0.3286 1/2/15 4/1/16
Dividend Growth Portfolio, 006 CDGPFX 3/2/15 $10.07840 $9.97460 $9.62960 $0.2474 11/26/14 11/27/19
Flaherty & Crumrine Preferred Portfolio, 035 CPREJX 3/2/15 $10.05560 $9.95300 $9.70800 $0.5321 2/11/15 5/10/17
Large-Cap Core Portfolio, 023 CACEWX 3/2/15 $10.03120 $9.92990 $9.68490 $0.1625 2/25/15 2/22/17
Dividend Strength Portfolio, 016 CGROPX 3/2/15 $9.99890 $9.89890 $9.65390 $0.2228 2/25/15 2/22/17
Compass Undervalued Top Picks Portfolio, 004 CUVADX 3/2/15 $9.98040 $9.88060 $9.73560 $0.1484 2/24/15 5/23/16
US Low Volatility Strategy Portfolio, 010 CULOJX 3/2/15 $9.97340 $9.87470 $9.72970 $0.2333 2/2/15 5/2/16
US High Dividend Strategy Portfolio , 015 CUSHOX 3/2/15 $9.96230 $9.86370 $9.71870 $0.3637 1/16/15 4/15/16
US High Dividend Strategy Portfolio (2-Year), 007 CTUHGX 3/2/15 $9.84790 $9.75430 $9.50930 $0.3818 2/18/15 2/15/17
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
INTERNATIONAL/GLOBAL (click to view CUSIPs)
Global Growth Portfolio, 002 CGGPBX 3/2/15 $10.99880 $10.85910 $10.61410 $0.1629 10/23/14 10/27/16
European High Dividend Portfolio, 003 CEUHCX 3/2/15 $10.48810 $10.36850 $10.12350 $0.3685 12/17/14 12/21/16
European Capital Strength Portfolio, 006 CECPFX 3/2/15 $10.45010 $10.33200 $10.08700 $0.1872 11/19/14 11/16/16
European Small-Cap Capital Strength Portfolio, 002 CEUSBX 3/2/15 $10.44340 $10.32540 $10.08040 $0.1005 9/24/14 9/28/16
Global Dow 30 Portfolio, 008 CGDWHX 3/2/15 $10.22920 $10.12280 $9.97780 $0.3304 1/2/15 4/1/16
Quality Dividend Strategy Portfolio, 011 CTPLKX 3/2/15 $10.18100 $10.07610 $9.93110 $0.3923 1/2/15 4/1/16
Global 100 Dividend Strategy Portfolio, 001 CGONAX 3/2/15 $10.18010 $10.07520 $9.93020 $0.4841 12/9/14 3/15/16
International Dividend Strategy Portfolio, 026 CMVPAX 3/2/15 $10.05080 $9.94930 $9.80430 $0.3848 1/2/15 4/1/16
ABC High Dividend Strategy Portfolio, 018 CABCRX 3/2/15 $9.98580 $9.88590 $9.64090 $0.1997 1/7/15 3/1/17
Emerging Markets Dividend Strategy Portfolio, 013 CGEMMX 3/2/15 $9.92630 $9.82800 $9.68300 $0.4066 2/24/15 5/23/16
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
THEME/SECTOR (click to view CUSIPs)
Technology Portfolio, 015 CTECOX 3/2/15 $11.62380 $11.45990 $11.21490 $0.0973 10/22/14 10/26/16
REIT Portfolio, 011 CGRTKX 3/2/15 $11.24840 $11.09880 $10.85380 $0.4113 10/15/14 10/19/16
US Housing Recovery Portfolio, 004 CUHRDX 3/2/15 $11.22530 $11.07710 $10.83210 $0.1142 10/23/14 10/20/16
Technological Innovation Portfolio, 003 CATECX 3/2/15 $11.09840 $10.95520 $10.71020 $0.0579 9/17/14 9/21/16
Financials Portfolio, 003 CFINCX 3/2/15 $10.84520 $10.71180 $10.46680 $0.1760 10/23/14 10/20/16
Spin-Off Portfolio, 002 CSPIBX 3/2/15 $10.78550 $10.65500 $10.41000 $0.1371 8/20/14 8/17/16
Global Commodity Producers Portfolio, 003 CGCOCX 3/2/15 $10.64370 $10.51810 $10.27310 $0.2614 1/28/15 1/25/17
Health Care Portfolio, 018 CHCRRX 3/2/15 $10.56310 $10.44060 $10.19560 $0.0889 1/28/15 1/25/17
Rising Rate Defensive Equity Portfolio, 002 CRREBX 3/2/15 $10.41460 $10.29800 $10.05300 $0.0347 10/23/14 10/27/16
BofA Merrill Lynch Health & Wellness Portfolio (AVAILABLE THROUGH MERRILL LYNCH ADVISORS ONLY), 002 CMWEBX 3/2/15 $10.40140 $10.28910 $10.14410 $0.0300 2/2/15 5/2/16
Global Agriculture Portfolio, 016 CGAGFX 3/2/15 $10.34410 $10.23030 $9.98530 $0.0638 12/11/14 11/16/16
Mergers & Acquisitions Portfolio, 004 CMEADX 3/2/15 $10.06990 $9.96720 $9.72220 $0.0939 2/27/15 5/24/17
Infrastructure & MLP Portfolio of CEFs, 021 CCEIUX 3/2/15 $9.98140 $9.88260 $9.63760 $0.6259 2/11/15 2/8/17
MLP & Energy Funds Portfolio, 008 CMLPHX 3/2/15 $9.88960 $9.79370 $9.54870 $0.6517 12/23/14 12/28/16
Global Water Equities Portfolio, 027 CGWEBX 3/2/15 $9.77350 $9.68260 $9.43760 $0.1153 11/19/14 11/16/16
Energy Portfolio, 018 CENPRX 3/2/15 $9.69970 $9.61140 $9.36640 $0.2309 12/23/14 2/22/17
Canadian Energy & Income Portfolio, 031 CCRTFX 3/2/15 $9.20190 $9.13380 $8.88880 $0.4150 12/23/14 1/18/17
Precious Metals & Miners Portfolio, 007 CPMMGX 3/2/15 $9.13870 $9.07290 $8.82790 $0.0000 10/22/14 10/19/16
Utilities Portfolio, 021 COPUUX 3/2/15 $9.09530 $9.03070 $8.78570 $0.2592 1/28/15 1/25/17
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
MULTI-ASSET (click to view CUSIPs)
Multiple Asset Portfolio Plus, 052 CMPPZX 3/2/15 $10.17330 $10.17330 $9.82830 $0.6486 1/14/15 1/11/17
Global Balanced Income Builder Portfolio, 005 CGBLEX 3/2/15 $10.26610 $10.15520 $9.91020 $0.4167 1/28/15 1/25/17
Total Income Portfolio, 004 CTIPDX 3/2/15 $10.11220 $10.00800 $9.76300 $0.5575 12/17/14 2/22/17
Floating Rate & Dividend Growth Portfolio, 007 CFRDGX 3/2/15 $10.09540 $9.99140 $9.74640 $0.3409 11/26/14 11/23/16
Diversified Credit Portfolio of ETFs, 006 CDCPFX 3/2/15 $10.02060 $9.91940 $9.67440 $0.4306 2/18/15 2/15/17
Balanced Income Builder Portfolio, 010 CGBIJX 3/2/15 $9.96230 $9.86370 $9.61870 $0.3417 1/23/15 1/18/17
Zacks Income Advantage Strategy Portfolio, 029 CCZIDX 3/2/15 $9.92920 $9.83090 $9.68590 $0.6430 2/17/15 5/16/16
Zacks Income Advantage Strategy Portfolio (2-Year), 011 CTZIKX 3/2/15 $9.91700 $9.81980 $9.57480 $0.6368 2/17/15 2/15/17
Alternative Income Portfolio, 003 CAIPCX 3/2/15 $9.29060 $9.21910 $8.97410 $0.7321 10/23/14 10/20/16
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
TAXABLE CEF INCOME (click to view CUSIPs)
Strategic Income Portfolio, 091 CSIPVX 3/2/15 $10.32760 $10.32760 $9.98260 $0.8162 1/14/15 1/11/17
Strategic Income Portfolio (15-Month), 082 CFSIOX 3/2/15 $10.32940 $10.21990 $10.07490 $0.8244 1/14/15 4/7/16
Diversified Income Wave Portfolio, 057 CWAVNX 3/2/15 $10.20830 $10.20830 $9.86330 $0.9204 2/11/15 2/8/17
Discount Opportunity Strategy Portfolio of CEFs, 007 CGDOGX 3/2/15 $10.30400 $10.19170 $9.94670 $0.6399 12/17/14 12/21/16
Equity & Income Portfolio of CEFs, 037 CCEELX 3/2/15 $10.24750 $10.13790 $9.89290 $0.8198 12/10/14 12/14/16
Income & Treasury Limited Duration Portfolio of Funds, 041 CICEBX 3/2/15 $10.09960 $10.09960 $9.75460 $0.5581 1/30/15 1/11/17
Senior Loan & Income Portfolio of CEFs, 026 CESLZX 3/2/15 $10.12870 $10.02340 $9.77840 $0.6109 11/12/14 11/9/16
Corporate High Yield & Income Portfolio of CEFs, 027 CEIPYX 3/2/15 $10.11210 $10.00790 $9.76290 $0.8268 2/11/15 2/8/17
Covered Call & Income Portfolio of CEFs, 034 CCCIFX 3/2/15 $10.10450 $10.00040 $9.75540 $0.7995 12/10/14 12/14/16
Income & Treasury Limited Duration Portfolio of Funds (Trust Termination Date 3/7/2016), 040 CFICOX 3/2/15 $10.04340 $9.94200 $9.79700 $0.5431 12/5/14 3/7/16
Diversified Income Wave Portfolio (15 Month), 050 CFWAOX 3/2/15 $9.98300 $9.88320 $9.73820 $0.9151 12/5/14 3/7/16
Convertible & Income Portfolio of Funds, 020 CECITX 3/2/15 $9.92930 $9.83200 $9.58700 $0.6619 10/8/14 10/12/16
  TRUST NASDAQ TICKER SYMBOL PRICE DATE OFFER1 BID2 LIQUIDATION3 HIST.
ANNUAL DIVIDEND DIST.6
DEPOSIT DATE MANDATORY MATURITY
DATE
FACT CARD PROSPECTUS
MUNICIPAL CEF (click to view CUSIPs)
New York Municipal Portfolio of CEFs, 022 CENYVX 3/2/15 $10.25370 $10.14400 $9.89900 $0.5405 11/12/14 11/9/16
California Municipal Portfolio of CEFs, 015 CECAOX 3/2/15 $10.19280 $10.08480 $9.83980 $0.5428 12/11/14 1/11/17
National Municipal Portfolio of CEFs, 027 CENMBX 3/2/15 $10.13830 $10.03290 $9.78790 $0.5727 11/12/14 11/9/16
New Jersey Municipal Portfolio of CEFs, 015 CENJOX 3/2/15 $9.99530 $9.89530 $9.65030 $0.5346 1/14/15 1/11/17

1 The "offer" price represents the net asset value of one unit of a trust plus a transactional sales charge, if applicable.

2 The "bid" price represents the net asset value of one unit of a trust excluding deferred sales charge, if applicable.

3 The "liquidation" price represents the net asset value of one unit of a trust and includes any front-end and deferred sales charges, if applicable, accounted for if investors liquidate units.

4 Estimated Annual Income per Unit is computed by dividing the estimated annual income of the underlying bonds by the number of units outstanding. The amount may be lower or greater than the above-stated amount due to certain factors that may include, but are not limited to, the selling of bonds to pay for the deferred sales charge, a change in Trust expenses or the sale or maturity of securities in the portfolio. Fees and expenses of the Trust may vary as a result of a variety of factors including the Trust's size, redemption activity, brokerage and other transaction costs and extraordinary expenses.

5 ECR is computed by dividing the estimated net annual interest income per unit by the public offering price. ELTR is calculated using a formula that (i) takes into consideration, and determines and factors in the relative weightings of, the market values, yields (taking into account the amortization of premiums and the accretion of discounts) and estimated retirements of all the bonds in the trust and (ii) takes into account the expenses and sales charge associated with each unit of the trust. Therefore, there is no assurance that the ECR and ELTR will be realized in the future.

6 The Historical Annual Dividend Distribution is as of date of deposit. The amount of distributions of the Trust may be lower or greater than the above-stated amount due to certain factors that may include, but are not limited to, a change in the dividends paid by issuers, a change in Trust expenses or the sale or maturity of securities in the portfolio. Fees and expenses of the Trust may vary as a result of a variety of factors including the Trust's size, redemption activity, brokerage and other transaction costs and extraordinary expenses.

† Anticipated date of deposit. Information contained herein and in the preliminary prospectus is subject to completion or amendment. A registration statement relating to these securities has been filed with the Securities and Exchange Commission, but has not yet become effective. These securities may not be sold nor may offers to buy be accepted prior to the time the registration statement becomes effective. This communication shall not constitute an offer to sell or a solicitation of any offer to buy; nor shall there be any sale of these securities in any state in which such offer, solicitation, or sale would be unlawful prior to registration or qualification under the securities laws of any such state.

Past performance does not guarantee future results. Investment return and principal value will fluctuate with changes in market conditions. Investors units, when redeemed, may be worth more or less than their original cost.

Read a prospectus and summary prospectus (if available) carefully before investing. It contains the investment objectives, risks, charges, expenses and other information, which should be considered carefully before investing. To obtain a prospectus and summary prospectus (if available) click here or call 800.820.0888.

Guggenheim Investments represents the investment management businesses of Guggenheim Partners, LLC (“Guggenheim”), which includes Security Investors, LLC (“SI”), Guggenheim Funds Investment Advisors, LLC ("GFIA") and Guggenheim Partners Investment Management (“GPIM”), the investment advisors to the referenced funds. Guggenheim Funds Distributors, LLC, is affiliated with Guggenheim, SI, GFIA and GPIM.

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• Not FDIC Insured • No Bank Guarantee • May Lose Value