nvq
Table of Contents

 
 
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549
FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY
Investment Company Act file number   811-21333
Nuveen Multi-Strategy Income and Growth Fund 2
(Exact name of registrant as specified in charter)
     333 West Wacker Drive, Chicago, Illinois 60606     
(Address of principal executive offices) (Zip code)
Kevin J. McCarthy—Vice President and Secretary
     333 West Wacker Drive, Chicago, Illinois 60606     
(Name and address of agent for service)
Registrant’s telephone number, including area code:      312-917-7700     
Date of fiscal year end:        12/31      
Date of reporting period:    3/31/2008   
Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1-5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.
A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to the Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.
 
 

 


TABLE OF CONTENTS

Item 1. Schedule of Investments
Item 2. Controls and Procedures
Item 3. Exhibits
SIGNATURES
Certifications


Table of Contents

Item 1. Schedule of Investments
Portfolio of Investments (Unaudited)
Nuveen Multi-Strategy Income and Growth Fund 2 (JQC)
March 31, 2008
                             
Shares     Description (1)               Value  
 
 
 
                   
 
Common Stocks – 38.5% (24.0% of Total Investments)
 
 
                   
 
Aerospace & Defense – 0.6%
 
 
                   
  30,310    
Boeing Company
              $ 2,254,155  
  17,420    
Finmeccanica S.p.A.
                593,148  
  16,222    
Lockheed Martin Corporation
                1,610,845  
  12,180    
Orbital Sciences Corporation, (2)
                293,538  
  59,500    
Thales S.A.
                3,851,103  
  16,820    
United Technologies Corporation
                1,157,552  
 
 
Total Aerospace & Defense
                9,760,341  
   
 
 
                   
 
Airlines – 0.1%
 
 
                   
  57,810    
Lufthansa AG
                1,565,538  
  2,520    
Ryanair Holdings PLC, (2)
                71,266  
 
 
Total Airlines
                1,636,804  
   
 
 
                   
 
Auto Components – 0.3%
 
 
                   
  56,190    
Aisin Seiki Company Limited
                2,119,137  
  12,410    
Cooper Tire & Rubber
                185,778  
  18,500    
Johnson Controls, Inc.
                625,300  
  33,860    
Magna International Inc., Class A
                2,442,999  
 
 
Total Auto Components
                5,373,214  
   
 
 
                   
 
Automobiles – 0.6%
 
 
                   
  33,570    
Daimler-Chrysler AG, (2)
                2,871,914  
  51,200    
Honda Motor Company Limited
                1,475,072  
  1,566    
S.A. D’Ieteren N.V.
                556,603  
  25,110    
Toyota Motor Corporation
                2,533,348  
  2,400    
Volkswagen AG
                139,872  
  96,800    
Yamaha Motor Company Limited
                1,799,028  
 
 
Total Automobiles
                9,375,837  
   
 
 
                   
 
Beverages – 1.3%
 
 
                   
  2,040    
Boston Beer Company, (2)
                96,982  
  134,440    
Coca-Cola Amatil Limited
                1,046,330  
  72,530    
Coca-Cola Company
                4,414,901  
  52,090    
Coca-Cola Enterprises Inc.
                1,260,578  
  26,540    
Diageo PLC, Sponsored ADR
                2,158,233  
  66,300    
Fomento Economico Mexicano S.A.
                2,770,014  
  91,030    
Heineken N.V.
                5,286,961  
  31,530    
Molson Coors Brewing Company, Class B
                1,657,532  
  41,342    
Pepsi Bottling Group, Inc.
                1,401,907  
  57,070    
SABMiller PLC
                1,251,681  
 
 
Total Beverages
                21,345,119  
   
 
 
                   
 
Biotechnology – 0.7%
 
 
                   
  3,230    
Abraxis Bioscience Inc.
                190,828  
  99,100    
Amgen Inc., (2), (11)
                4,140,398  
  23,470    
Cephalon, Inc., (2)
                1,511,468  
  9,810    
Genentech, Inc., (2)
                796,376  
  31,210    
Genzyme Corporation, (2)
                2,326,393  
  7,570    
Invitrogen Corporation, (2)
                647,008  
  19,020    
Novo-Nordisk A/S
                1,316,945  
 
 
Total Biotechnology
                10,929,416  
   
 
 
                   
 
Building Products – 0.1%
 
 
                   
  286,762    
Sonae Industria-SPGS S.A.
                1,992,676  
 
 
 
                   
 
Capital Markets – 1.0%
 
 
                   
  9,350    
Ameriprise Financial, Inc.
                484,798  
  258,830    
Babcock & Brown Limited
                3,508,355  
  50,470    
Bank of New York Company, Inc.
                2,106,113  
  2,730    
BlackRock Inc.
                557,411  
  15,664    
Calamos Asset Management, Inc. Class A
                255,010  
  41,130    
Credit Suisse Group, (2)
                2,092,694  
  17,010    
Credit Suisse Group
                866,113  
  37,850    
Invesco LTD
                922,026  
  34,490    
JPMorgan Chase & Co.
                1,481,346  
  15,510    
SEI Investments Company
                382,942  
  10,931    
State Street Corporation
                863,549  
  112,000    
UBS AG, (11)
                3,225,600  
 
 
Total Capital Markets
                16,745,957  
   
 
 
                   
 
Chemicals – 1.3%
 
 
                   
  15,980    
Air Products & Chemicals Inc.
                1,470,160  
  860    
Bayer AG
                69,226  
  3,430    
CF Industries Holdings, Inc.
                355,417  
  10,950    
Eastman Chemical Company
                683,828  
  6,730    
Lubrizol Corporation
                373,582  
  285,700    
Mitsui Chemicals
                1,915,497  
  53,120    
Mosaic Company, (2)
                5,450,112  
  464,520    
Nissan Chemical Industries Limited
                4,949,369  
  400    
Potash Corporation of Saskatchewan
                62,084  
  23,050    
Potash Corporation of Saskatchewan
                3,581,738  
  34,940    
Shin-Etsu Chemical Company Limited
                1,819,352  
  10,010    
Terra Industries, Inc., (2)
                355,655  
 
 
Total Chemicals
                21,086,020  
   
 
 
                   
 
Commercial Banks – 2.2%
 
 
                   
  1,110    
Allied Irish Banks
                47,930  
  20,490    
Allied Irish Banks
                436,876  
  104,590    
Allianz S.E.
                2,056,239  
  2,080    
Banco Bilbao Vizcaya Argentaria S.A.
                45,739  
  2,130    
Banco Bradesco S.A., ADR
                59,129  
  2,590    
Banco Itau Holdings Financeira, S.A.
                58,948  
  54,810    
Banco Santander Central S.A.
                1,092,911  
  33,160    
Bank of Montreal
                1,485,900  
  2,100    
Barclays PLC
                76,020  
  30,350    
BB&T Corporation
                973,021  
  35,620    
BNP Paribas S.A.
                3,591,642  
  9,420    
Comerica Incorporated
                330,454  
  13,000    
Community Bank System Inc.
                319,280  
  43,980    
Credit Agricole S.A.
                1,359,766  
  341,600    
DnB NOR ASA
                5,215,100  
  154,940    
Hang Seng Bank
                2,820,877  
  46,990    
ICICI Bank Limited, ADR
                1,794,548  
  23,470    
Kookmin Bank
                1,315,494  
  32,740    
Lloyds TSB Group PLC, Sponsored ADR
                1,175,366  
  18,770    
Marshall and Ilsley Corporation
                435,464  
  3,510    
National Bank of Greece S.A.
                184,791  
  41,050    
National Bank of Greece S.A.
                433,488  
  1,189,740    
Nishi-Nippon City Bank Limited
                3,150,470  
  31,510    
Northern Trust Corporation
                2,094,470  
  13,540    
PNC Financial Services Group, Inc.
                887,818  
  6,043    
Prosperity Bancshares, Inc.
                173,192  
  212,440    
Royal Bank of Scotland, PLC, (2)
                1,423,175  
  63,990    
Standard Chartered PLC
                2,188,179  
  6,210    
SVB Financial Group, (2)
                271,004  
  28,170    
Sydbank A/S
                1,029,437  
  7,200    
UMB Financial Corporation
                296,640  
 
 
Total Commercial Banks
                36,823,368  
   
 
 
                   
 
Commercial Services & Supplies – 0.8%
 
 
                   
  444,100    
Allied Waste Industries, Inc., (2), (11)
                4,800,721  
  3,078    
Consolidated Graphics Inc., (2)
                172,522  
  2,560    
Dun and Bradstreet Inc.
                208,333  
  288,360    
Michael Page International PLC
                1,731,574  
  36,580    
Randstad Holding N.V.
                1,712,983  
  435,000    
Toppan Printing Company Limited
                5,087,003  
 
 
Total Commercial Services & Supplies
                13,713,136  
   
 
 
                   
 
Communications Equipment – 0.8%
 
 
                   
  6,000    
Comtech Telecom Corporation, (2)
                234,000  
  132,450    
Corning Incorporated
                3,184,098  
  8,670    
Interdigital Inc., (2)
                171,753  
  122,300    
LM Ericsson Telefonaktiebolaget, (11)
                2,403,195  
  108,790    
Nokia Oyj, Sponsored ADR
                3,462,786  
  103,370    
QUALCOMM Inc.
                4,238,170  
  8,730    
Tandberg ASA
                131,679  
 
 
Total Communications Equipment
                13,825,681  
   
 
 
                   
 
Computers & Peripherals – 0.8%
 
 
                   
  30,890    
Apple, Inc., (2)
                4,432,715  
  99,720    
Hewlett-Packard Company
                4,553,215  
  10,930    
International Business Machines Corporation (IBM)
                1,258,480  
  10,920    
NCR Corporation, (2)
                249,304  
  117,064    
Network Appliance, Inc., (2)
                2,347,133  
  10,920    
Teradata Corporation
                240,895  
 
 
Total Computers & Peripherals
                13,081,742  
   
 
 
                   
 
Construction & Engineering – 0.7%
 
 
                   
  434,060    
AMEC PLC
                6,234,420  
  12,610    
Fluor Corporation
                1,780,028  
  210,210    
JGC Corporation
                3,225,959  
  6,710    
Perini Corporation
                243,103  
 
 
Total Construction & Engineering
                11,483,510  
   
 
 
                   
 
Consumer Finance – 0.3%
 
 
                   
  12,580    
MasterCard, Inc.
                2,805,214  
  67,290    
Western Union Company
                1,431,258  
 
 
Total Consumer Finance
                4,236,472  
   
 
 
                   
 
Containers & Packaging – 0.0%
 
 
                   
  14,270    
Owens-Illinois, Inc.
                805,256  
 
 
 
                   
 
Distributors – 0.1%
 
 
                   
  114,090    
Jardine Cycle & Carriage Limited
                1,633,341  
 
 
 
                   
 
Diversified Consumer Services – 0.0%
 
 
                   
  3,210    
Apollo Group, Inc., (2)
                138,672  
  3,910    
ITT Educational Services, Inc., (2)
                179,586  
 
 
Total Diversified Consumer Services
                318,258  
   
 
 
                   
 
Diversified Financial Services – 0.6%
 
 
                   
  83,270    
Citigroup Inc.
                1,783,643  
  29,600    
Deutsche Boerse AG
                4,770,530  
  22,960    
Eaton Vance Corporation
                700,510  
  17,000    
eSpeed Inc., Class A
                198,220  
  30,870    
ING Group N.V.
                1,153,612  
  18,500    
Nasdaq Stock Market, Inc., (2)
                715,210  
 
 
Total Diversified Financial Services
                9,321,725  
   
 
 
                   
 
Diversified Telecommunication Services – 1.6%
 
 
                   
  50,470    
AT&T Inc.
                1,933,001  
  540    
Brasil Telecom
                35,348  
  9,810    
Cbeyond Inc., (2)
                184,330  
  1,918    
Chunghwa Telecom Co., Ltd., Sponsored ADR
                50,445  
  29,170    
France Telecom S.A.
                979,529  
  138,350    
KT Corporation, Sponsored ADR, (11)
                3,285,813  
  526,670    
Nippon Telegraph and Telephone Corporation, ADR, (11)
                11,418,206  
  81,350    
Telecom Argentina S.A., (2)
                1,722,993  
  650,000    
Telecom Italia S.p.A.
                1,074,040  
  33,990    
Telefonica S.A.
                2,940,475  
  74,060    
Telefonos de Mexico de C.V., Series L
                2,784,656  
 
 
Total Diversified Telecommunication Services
                26,408,836  
   
 
 
                   
 
Electric Utilities – 1.7%
 
 
                   
  400    
Ameren Corporation
                17,616  
  7,950    
Black Hills Corporation
                284,451  
  357,200    
Centrais Electricas Brasileiras S.A., ADR
                5,178,721  
  55,390    
E.ON A.G
                3,454,630  
  44,570    
Edison International
                2,184,821  
  12,000    
El Paso Electric Company, (2)
                256,440  
  21,030    
FPL Group, Inc.
                1,319,422  
  146,000    
IDACORP, INC
                4,688,060  
  382,100    
Korea Electric Power Corporation, Sponsored ADR
                5,746,784  
  211,100    
PNM Resources Inc.
                2,632,417  
  11,880    
Progress Energy, Inc.
                495,396  
  86,830    
Reliant Energy Inc., (2)
                2,053,530  
 
 
Total Electric Utilities
                28,312,288  
   
 
 
                   
 
Electrical Equipment – 0.4%
 
 
                   
  50,590    
ABB Limited
                1,363,510  
  66,994    
Emerson Electric Co.
                3,447,511  
  1,890    
First Solar Inc., (2)
                436,855  
  26,070    
Nikon Corporation
                697,751  
 
 
Total Electrical Equipment
                5,945,627  
   
 
 
                   
 
Electronic Equipment & Instruments – 0.7%
 
 
                   
  2,234    
Itron Inc., (2)
                201,574  
  103,190    
LG Philips LCD Company Limited, Sponsored ADR, (2)
                2,304,233  
  25,000    
MEMC Electronic Materials, (2)
                1,772,500  
  9,690    
Mettler-Toledo International Inc., (2)
                941,093  
  89,700    
Tech Data Corporation, (2), (11)
                2,942,160  
  4,641    
Teledyne Technologies Inc., (2)
                218,127  
  41,210    
Thermo Fisher Scientific, Inc., (2)
                2,342,376  
 
 
Total Electronic Equipment & Instruments
                10,722,063  
   
 
 
                   
 
Energy Equipment & Services – 1.2%
 
 
                   
  2,000    
Atwood Oceanics Inc., (2)
                183,440  
  328,000    
BJ Services Company, (11)
                9,351,280  
  36,560    
Cooper Cameron Corporation, (2)
                1,522,358  
  2,680    
Dawson Geophysical Company, (2)
                180,900  
  13,190    
Dresser Rand Group, Inc., (2)
                405,593  
  16,160    
FMC Technologies Inc., (2)
                919,342  
  58,260    
Global Industries, Limited, (2)
                937,403  
  10,270    
Matrix Service Company, (2)
                176,439  
  22,740    
National-Oilwell Varco Inc., (2)
                1,327,561  
  12,620    
Noble Corporation
                626,835  
  46,990    
Patterson-UTI Energy, Inc.
                1,230,198  
  14,300    
Technip S.A.
                1,113,924  
  13,640    
Tidewater Inc.
                751,700  
  6,990    
Transocean Inc.
                945,048  
  5,290    
Trico Marine Services Inc., (2)
                206,151  
  9,350    
Unit Corporation, (2)
                529,678  
 
 
Total Energy Equipment & Services
                20,407,850  
   
 
 
                   
 
Food & Staples Retailing – 0.5%
 
 
                   
  25,040    
Casino Guichard-Perrachon S.A.
                3,001,531  
  4,580    
Koninklijke Ahold N.V., (2)
                68,219  
  155,380    
Marks and Spencer Group PLC
                1,195,531  
  4,750    
Nash Finch Company
                161,405  
  45,640    
Safeway Inc.
                1,339,534  
  35,660    
Wal-Mart Stores, Inc.
                1,878,569  
  82,250    
William Morrison Supermarkets PLC
                448,456  
 
 
Total Food & Staples Retailing
                8,093,245  
   
 
 
                   
 
Food Products – 1.8%
 
 
                   
  31,050    
ConAgra Foods, Inc.
                743,648  
  21,830    
Flowers Foods Inc.
                540,293  
  44,110    
H.J. Heinz Company
                2,071,847  
  267,890    
Jeronimo Martins SGPS
                2,154,495  
  6,240    
Monsanto Company
                695,760  
  580    
Nestle S.A.
                72,753  
  377,700    
Smithfield Foods, Inc., (2), (11)
                9,729,552  
  135,550    
Tingyi Holding Corporation
                178,647  
  679,300    
Tyson Foods, Inc., Class A, (11)
                10,834,835  
  96,960    
Unilever PLC
                3,269,491  
 
 
Total Food Products
                30,291,321  
   
 
 
                   
 
Gas Utilities – 0.5%
 
 
                   
  1,460    
BG PLC
                169,319  
  6,530    
E. ON AG
                1,208,220  
  34,933    
Energen Corporation
                2,176,326  
  11,060    
Equitable Resources Inc.
                651,434  
  3,560    
Gas Natural SDG
                219,957  
  56,290    
Questar Corporation
                3,183,762  
  25,880    
Spectra Energy Corporation
                588,770  
 
 
Total Gas Utilities
                8,197,788  
   
 
 
                   
 
Health Care Equipment & Supplies – 0.6%
 
 
                   
  27,550    
Alfresa Holdings Corporation
                2,186,181  
  3,060    
Analogic Corporation
                203,612  
  13,370    
Applera Corporation-Applied Biosystems Group
                439,338  
  38,520    
Baxter International Inc.
                2,227,226  
  753    
Fresenius Medical Care, ADR
                37,891  
  44,670    
Fresenius Medical Care, ADR
                2,247,981  
  155,500    
Paramount Bed Company Limited
                2,129,515  
  12,480    
Patterson Companies Inc., (2)
                453,024  
  5,719    
Surmodics Inc., (2)
                239,512  
 
 
Total Health Care Equipment & Supplies
                10,164,280  
   
 
 
                   
 
Health Care Providers & Services – 0.1%
 
 
                   
  27,818    
Express Scripts, Inc., (2)
                1,789,254  
  6,350    
Mentor Corporation
                163,322  
 
 
Total Health Care Providers & Services
                1,952,576  
   
 
 
                   
 
Hotels, Restaurants & Leisure – 0.3%
 
 
                   
  2,950    
Bally Technologies, Inc., (2)
                101,303  
  26,800    
Burger King Holdings Inc.
                741,288  
  1,220    
Carnival Corporation
                49,190  
  32,100    
McDonald’s Corporation
                1,790,217  
  33,650    
Royal Caribbean Cruises Limited
                1,107,085  
  3,680    
WMS Industries Inc., (2)
                132,370  
  10,580    
Wynn Resorts Ltd.
                1,064,771  
 
 
Total Hotels, Restaurants & Leisure
                4,986,224  
   
 
 
                   
 
Household Durables – 0.0%
 
 
                   
  2,050    
Desarrolladora Homex SAB de C.V., Sponsored ADR
                119,003  
  4,400    
Matsushita Electric Industrial Co., Ltd., ADR
                95,524  
  6,210    
Tupperware Corporation
                240,203  
 
 
Total Household Durables
                454,730  
   
 
 
                   
 
Household Products – 0.4%
 
 
                   
  52,430    
Colgate-Palmolive Company
                4,084,821  
  82,000    
KAO Corporation
                2,333,230  
 
 
Total Household Products
                6,418,051  
   
 
 
                   
 
Independent Power Producers & Energy Traders – 0.1%
 
 
                   
  30,280    
NRG Energy Inc., (2)
                1,180,617  
 
 
 
                   
 
Industrial Conglomerates – 0.5%
 
 
                   
  27,790    
East Asiatic Co., LTD.
                2,441,421  
  344,660    
Keppel Corporation
                2,508,978  
  22,530    
Siemens AG, Sponsored ADR
                2,454,418  
  4,480    
Teleflex Inc.
                213,741  
 
 
Total Industrial Conglomerates
                7,618,558  
   
 
 
                   
 
Insurance – 0.9%
 
 
                   
  1,040    
Aegon N.V.
                15,226  
  46,758    
AFLAC Incorporated
                3,036,932  
  10,930    
American International Group, Inc.
                472,723  
  13,890    
Amtrust Financial Services, Inc.
                225,157  
  22,710    
Aon Corporation
                912,942  
  17,870    
Arch Capital Group Limited, (2)
                1,227,133  
  5,400    
Aspen Insurance Holdings Limited
                142,452  
  11,780    
Axis Capital Holdings Limited
                400,284  
  345,100    
Benfield Group, Limited
                1,706,827  
  5,470    
Fairfax Financial Holdings Limited
                1,570,437  
  13,440    
HCC Insurance Holdings Inc.
                304,954  
  7,270    
Philadelphia Consolidated Holding Corporation, (2)
                234,094  
  9,020    
Power Financial Corporation
                308,532  
  11,210    
Seabright Insurance Holdings Inc., (2)
                165,123  
  32,690    
Sun Life Financial Inc.
                1,523,354  
  7,350    
Tower Group Inc.
                185,000  
  89,250    
WR Berkley Corporation
                2,471,333  
  1,730    
Zurich Financial Services AG
                545,310  
 
 
Total Insurance
                15,447,813  
   
 
 
                   
 
Internet & Catalog Retail – 0.2%
 
 
                   
  22,810    
Amazon.com, Inc., (2)
                1,626,353  
  184,690    
Home Retail Group
                958,667  
 
 
Total Internet & Catalog Retail
                2,585,020  
   
 
 
                   
 
Internet Software & Services – 0.2%
 
 
                   
  10,610    
Blue Coat Systems Inc.
                233,844  
  90,000    
eBay Inc., (2), (11)
                2,685,600  
 
 
Total Internet Software & Services
                2,919,444  
   
 
 
                   
 
IT Services – 0.3%
 
 
                   
  45,470    
Accenture Limited
                1,599,180  
  16,970    
CGI Group Inc., (2)
                179,882  
  9,860    
Convergys Corporation, (2)
                148,492  
  140,000    
Electronic Data Systems Corporation, (11)
                2,331,000  
  8,470    
Savvis Inc., (2)
                137,807  
  7,670    
TNS Inc.
                158,309  
 
 
Total IT Services
                4,554,670  
   
 
 
                   
 
Leisure Equipment & Products – 0.2%
 
 
                   
  2,840    
Canon Inc.
                131,691  
  19,370    
Fuji Photo Film Co., Ltd.
                692,338  
  10,890    
FujiFilm Holdings Corporation, ADR
                387,031  
  40,434    
Hasbro, Inc.
                1,128,109  
  14,860    
Marvel Entertainment Inc., (2)
                398,099  
 
 
Total Leisure Equipment & Products
                2,737,268  
   
 
 
                   
 
Life Sciences Tools & Services – 0.1%
 
 
                   
  3,600    
Dionex Corporation, (2)
                277,164  
  7,490    
Illumina Inc., (2)
                568,491  
 
 
Total Life Sciences Tools & Services
                845,655  
   
 
 
                   
 
Machinery – 0.8%
 
 
                   
  77,850    
ABB Limited
                2,095,722  
  45,080    
AGCO Corporation, (2)
                2,699,390  
  10,990    
Deere & Company
                884,036  
  27,448    
Harsco Corporation
                1,520,070  
  10,830    
ITT Industries Inc.
                561,102  
  16,260    
MAN AG
                2,159,413  
  42,100    
Manitowoc Company Inc.
                1,717,680  
  211,160    
Mitsui Engineering & Shipbuilding Company Limited
                572,097  
  11,510    
Pall Corporation
                403,656  
  7,737    
Parker Hannifin Corporation
                535,942  
  10,670    
RBC Bearings Inc., (2)
                396,177  
  5,750    
Robbins & Myers, Inc.
                187,738  
 
 
Total Machinery
                13,733,023  
   
 
 
                   
 
Marine – 0.2%
 
 
                   
  250,340    
Kawasaki Kisen Kaisha Limited
                2,457,280  
 
 
 
                   
 
Media – 0.3%
 
 
                   
  74,890    
DIRECTV Group, Inc., (2)
                1,856,523  
  8,240    
Echostar Communications Corporation, (2)
                236,735  
  65,250    
Eniro AB
                475,612  
  22,450    
ProSiebensati Media AG
                485,050  
  300    
Scholastic Corporation, (2)
                9,081  
  860    
Shaw Communication Inc.
                15,635  
  9,830    
Thomson Corporation
                329,600  
  31,120    
Walt Disney Company
                976,546  
  1,080    
WPP Group PLC
                64,411  
 
 
Total Media
                4,449,193  
   
 
 
                   
 
Metals & Mining – 3.7%
 
 
                   
  277,200    
AngloGold Ashanti Limited, Sponsored ADR, (11)
                9,413,712  
  276,900    
Apex Silver Mines Limited, (2)
                3,356,028  
  144,800    
Barrick Gold Corporation
                6,291,560  
  17,590    
BHP Billiton PLC
                518,094  
  13,650    
BHP Billiton PLC
                801,938  
  83,770    
BHP Billiton PLC
                2,752,765  
  4,580    
Compass Minerals International, Inc.
                270,128  
  204,690    
Cookson Group
                2,700,628  
  319,100    
Crystallex International Corporation, (2)
                724,357  
  25,890    
Freeport-McMoRan Copper & Gold, Inc.
                2,491,136  
  286,100    
Gold Fields Limited, (11)
                3,956,763  
  2,015,500    
Lihir Gold Limited, (2)
                6,431,321  
  604,210    
Mitsubishi Materials
                2,652,562  
  235,100    
Newmont Mining Corporation, (11)
                10,650,030  
  265,900    
NovaGold Resources Inc., (2), (11)
                2,050,089  
  4,710    
Olympic Steel Inc.
                212,421  
  6,010    
Rio Tinto PLC, Sponsored ADR
                2,475,158  
  81,490    
SSAB Svenskt Stal AB
                2,295,104  
  6,920    
Stillwater Mining Company, (2)
                107,052  
 
 
Total Metals & Mining
                60,150,846  
   
 
 
                   
 
Multiline Retail – 0.5%
 
 
                   
  42,470    
Big Lots, Inc., (2)
                947,081  
  55,450    
Costco Wholesale Corporation
                3,602,587  
  11,830    
Dollar Tree Stores Inc., (2)
                326,390  
  161,810    
Next PLC
                3,665,428  
 
 
Total Multiline Retail
                8,541,486  
   
 
 
                   
 
Multi-Utilities – 0.1%
 
 
                   
  63,560    
National Grid Group PLC
                878,340  
 
 
 
                   
 
Oil, Gas & Consumable Fuels – 3.3%
 
 
                   
  22,100    
Arch Coal Inc.
                961,350  
  167,060    
BP Amoco PLC, (11)
                10,132,189  
  9,720    
Cabot Oil & Gas Corporation
                494,165  
  3,780    
Carrizo Oil & Gas, Inc., (2)
                224,041  
  58,710    
Chesapeake Energy Corporation
                2,709,467  
  18,150    
Chevron Corporation
                1,549,284  
  5,740    
Comstock Resources Inc.
                231,322  
  28,530    
Denbury Resources Inc., (2)
                814,532  
  41,340    
Eni S.p.A., Sponsored ADR
                2,815,667  
  14,550    
EOG Resources, Inc.
                1,746,000  
  10,010    
Frontier Oil Corporation
                272,873  
  38,300    
Hess Corporation
                3,377,294  
  33,250    
Murphy Oil Corporation
                2,731,155  
  86,500    
Nexen Inc., (11)
                2,561,265  
  23,550    
Occidental Petroleum Corporation
                1,723,154  
  10,700    
Petrohawk Energy Corporation, (2)
                215,819  
  21,830    
Petroquest Energy Inc., (2)
                378,532  
  22,567    
Pioneer Drilling Company, (2)
                359,492  
  50,110    
Repsol YPF S.A.
                1,724,285  
  111,100    
Royal Dutch Shell PLC, Class B, Sponsored ADR, (11)
                7,485,918  
  101,050    
Singapore Petroleum
                499,860  
  270,323    
Statoil ASA, (11)
                8,074,548  
  28,620    
Total S.A., Sponsored ADR
                2,118,166  
  8,880    
Total S.A.
                657,865  
  4,900    
Valero Energy Corporation
                240,639  
  8,020    
XTO Energy, Inc.
                496,117  
 
 
Total Oil, Gas & Consumable Fuels
                54,594,999  
   
 
 
                   
 
Paper & Forest Products – 0.3%
 
 
                   
  14,390    
Aracruz Celulose S.A.
                982,261  
  8,170    
Buckeye Technologies Inc., (2)
                91,177  
  9,610    
Potlatch Corporation
                396,605  
  13,750    
Rayonier Inc.
                597,300  
  11,320    
Stora Enso Oyj, R Shares
                130,904  
  74,190    
Votorantim Celulose e Papel S.A.
                2,115,157  
 
 
Total Paper & Forest Products
                4,313,404  
   
 
 
                   
 
Personal Products – 0.1%
 
 
                   
  23,670    
Herbalife, Limited
                1,124,325  
  4,680    
Oriflame Cosmetics S.A.
                311,112  
 
 
Total Personal Products
                1,435,437  
   
 
 
                   
 
Pharmaceuticals – 1.6%
 
 
                   
  24,100    
Astellas Pharma Inc.
                946,489  
  181,990    
AstraZeneca Group, (11)
                6,913,800  
  114,430    
Daiichi Sankyo Company Limited
                3,394,721  
  37,640    
Eli Lilly and Company
                1,941,848  
  9,200    
GlaxoSmithKline PLC, ADR
                390,356  
  28,730    
H. Lundbeck A/S
                720,630  
  139,000    
Kissei Pharmaceuticals Company Limited
                2,932,954  
  28,800    
Merck & Co. Inc.
                1,092,960  
  3,990    
Novo Nordisk A/S
                274,573  
  271,700    
Patheon Inc., (2)
                802,037  
  45,420    
Pfizer Inc.
                950,641  
  11,580    
Pozen Inc., (2)
                119,969  
  90,580    
Sanofi-Aventis, ADR, (11)
                3,400,373  
  49,240    
Shionogi & Company Limited
                846,818  
  21,840    
Shire Pharmaceuticals Group
                422,763  
  54,665    
Warner Chilcott Limited, (2)
                983,970  
 
 
Total Pharmaceuticals
                26,134,902  
   
 
 
                   
 
Real Estate/Mortgage – 0.3%
 
 
                   
  30,590    
Annaly Capital Management Inc.
                468,639  
  8,767    
LaSalle Hotel Properties
                251,876  
  10,550    
Lexington Corporate Properties Trust
                152,026  
  8,920    
Macerich Company
                626,808  
  10,264    
SL Green Realty Corporation
                836,208  
  13,597    
Tanger Factory Outlet Centers
                523,077  
  20,554    
Taubman Centers Inc.
                1,070,863  
  1,089,583    
Wing Tai Holdings Limited
                1,747,024  
 
 
Total Real Estate/Mortgage
                5,676,521  
   
 
 
                   
 
Real Estate Management & Development – 0.0%
 
 
                   
  129,610    
New World Development Company, Limited
                318,815  
 
 
 
                   
 
Road & Rail – 0.4%
 
 
                   
  1,250    
Canadian National Railways Company
                60,400  
  59,130    
CSX Corporation
                3,315,419  
  25,760    
Hertz Global Holdings, Inc., (2)
                310,666  
  17,870    
Kansas City Southern Industries, (2)
                716,766  
  20,080    
Landstar System
                1,047,373  
  8,200    
Union Pacific Corporation
                1,028,116  
 
 
Total Road & Rail
                6,478,740  
   
 
 
                   
 
Semiconductors & Equipment – 0.2%
 
 
                   
  16,690    
Amkor Technology Inc., (2)
                178,583  
  8,550    
Monolithic Power Systems, Inc., (2)
                150,737  
  91,510    
National Semiconductor Corporation
                1,676,463  
  6,670    
Rubicon Technology Inc., (2)
                193,297  
  20,120    
Semtech Corporation, (2)
                288,320  
  117,618    
Taiwan Semiconductor Manufacturing Company Ltd., Sponsored ADR
                1,207,937  
 
 
Total Semiconductors & Equipment
                3,695,337  
   
 
 
                   
 
Software – 0.7%
 
 
                   
  61,940    
Activision Inc., (2)
                1,691,581  
  53,150    
Adobe Systems Incorporated, (2)
                1,891,609  
  8,920    
Ansys Inc., (2)
                307,918  
  58,890    
Autodesk, Inc., (2)
                1,853,857  
  7,994    
Blackbaud, Inc.
                194,094  
  7,800    
Blackboard, Inc., (2)
                259,974  
  65,000    
Microsoft Corporation, (11)
                1,844,700  
  28,820    
Salesforce.com, Inc., (2)
                1,667,813  
  7,720    
SPSS Inc., (2)
                299,382  
  77,570    
Symantec Corporation, (2)
                1,289,213  
 
 
Total Software
                11,300,141  
   
 
 
                   
 
Specialty Retail – 0.3%
 
 
                   
  8,540    
Aeropostale, Inc., (2)
                231,519  
  17,680    
GameStop Corporation
                914,233  
  25,230    
Gap, Inc.
                496,526  
  3,515    
Hennes & Mauritz AB
                216,380  
  6,200    
J. Crew Group Inc., (2)
                273,854  
  13,790    
NetFlix.com Inc.
                477,823  
  760    
Sony Corporation
                30,452  
  58,850    
TJX Companies, Inc.
                1,946,169  
 
 
Total Specialty Retail
                4,586,956  
   
 
 
                   
 
Textiles, Apparel & Luxury Goods – 0.1%
 
 
                   
  2,780    
Deckers Outdoor Corporation, (2)
                299,739  
  860    
Gildan Activewear Inc, Sponsored ADR, (2)
                32,129  
  19,638    
Guess Inc.
                794,749  
 
 
Total Textiles, Apparel & Luxury Goods
                1,126,617  
   
 
 
                   
 
Thrifts & Mortgage Finance – 0.2%
 
 
                   
  224,530    
Hudson City Bancorp, Inc.
                3,969,690  
 
 
 
                   
 
Tobacco – 0.4%
 
 
                   
  30,000    
Altria Group, Inc.
                665,999  
  15,820    
British American Tobacco PLC
                1,198,364  
  350    
Japan Tobacco, Inc.
                1,750,872  
  30,000    
Philip Morris International
                1,517,399  
  30,790    
UST Inc.
                1,678,670  
 
 
Total Tobacco
                6,811,304  
   
 
 
                   
 
Transportation Infrastructure – 0.2%
 
 
                   
  1,226,750    
Macquarie Airports
                3,646,326  
 
 
 
                   
 
Wireless Telecommunication Services – 0.2%
 
 
                   
  23,720    
Millicom International Cellular S.A.
                2,242,725  
  1,730    
Mobile Telesystems, Sponsored ADR
                131,220  
 
 
Total Wireless Telecommunication Services
                2,373,945  
   
 
Total Common Stocks (cost $658,613,768)
                630,405,099  
   
                             
Shares     Description (1)   Coupon       Ratings (3)   Value  
 
 
 
                   
 
Convertible Preferred Securities – 1.6% (1.0% of Total Investments)
 
 
                   
 
Automobiles – 0.3%
 
 
                   
  42,300    
General Motors Corporation, Convertible Bonds
  1.500%       B-   $ 968,670  
  79,550    
General Motors Corporation, Convertible Notes, Senior Debentures, Series B
  5.250%       B-     1,291,097  
  129,800    
General Motors Corporation
  6.250%       B-     2,141,700  
 
 
Total Automobiles
                4,401,467  
         
 
 
                   
 
Capital Markets – 0.0%
 
 
                   
  15,800    
AMG Capital Trust II, Convertible Bond
  5.150%       BB     606,325  
 
 
 
                   
 
Commercial Banks – 0.0%
 
 
                   
  20,650    
Sovereign Capital Trust IV, Convertible Security
  4.375%       Baa1     632,406  
 
 
 
                   
 
Communications Equipment – 0.5%
 
 
                   
  12,500    
Lucent Technologies Capital Trust I
  7.750%       B2     8,750,000  
 
 
 
                   
 
Diversified Financial Services – 0.1%
 
 
                   
  43,100    
Citigroup Inc., Series T
  6.500%       A     2,046,388  
 
 
 
                   
 
Electric Utilities – 0.1%
 
 
                   
  26,400    
Centerpoint Energy Inc.
  2.000%       BBB-     765,072  
  5,600    
CMS Energy Corporation, Convertible Bonds
  4.500%       Ba2     402,850  
 
 
Total Electric Utilities
                1,167,922  
         
 
 
                   
 
Food Products – 0.0%
 
 
                   
  4,050    
Bunge Limited, Convertible Bonds
  4.875%       BB     460,688  
 
 
 
                   
 
Household Durables – 0.1%
 
 
                   
  16,800    
Newell Financial Trust I
  5.250%       BBB-     762,300  
 
 
 
                   
 
Independent Power Producers & Energy Traders – 0.1%
 
 
                   
  400    
NRG Energy Inc., Convertible Bond
  4.000%       B2     801,120  
 
 
 
                   
 
Metals & Mining – 0.1%
 
 
                   
  1,100    
Freeport McMoran Copper & Gold, Inc.
  5.500%       B-     2,333,375  
 
 
 
                   
 
Oil, Gas & Consumable Fuels – 0.1%
 
 
                   
  750    
El Paso Corporation
  4.990%       B     1,020,000  
 
 
 
                   
 
Real Estate – 0.1%
 
 
                   
  13,100    
Simon Property Group, Inc., Series I
  6.000%       BBB+     994,028  
 
 
 
                   
 
Thrifts & Mortgage Finance – 0.1%
 
 
                   
  42,650    
Washington Mutual, Inc., Unit 1 Trust
  5.375%       A3     1,211,260  
 
 
 
                   
 
U.S. Agency – 0.0%
 
 
                   
  7    
Federal National Mortgage Association
  5.375%       AA-     469,874  
 
 
Total Convertible Preferred Securities (cost $30,801,095)
                25,657,153  
         
                             
Shares     Description (1)   Coupon       Ratings (3)   Value  
 
 
 
                   
 
$25 Par (or similar) Preferred Securities – 50.7% (31.6% of Total Investments)
 
 
                   
 
Capital Markets – 3.5%
 
 
                   
  221,874    
BNY Capital Trust V, Series F
  5.950%       Aa3   $ 4,759,197  
  1,195,600    
Deutsche Bank Capital Funding Trust II
  6.550%       Aa3     26,040,168  
  23,000    
First Union Institutional Capital II (CORTS)
  8.200%       A1     575,000  
  1,200    
Goldman Sachs Capital I (CORTS)
  6.000%       A1     25,740  
  12,000    
Goldman Sachs Capital I, Series A (CORTS)
  6.000%       A1     245,520  
  3,000    
Goldman Sachs Group Inc., (CORTS)
  6.300%       A     64,170  
  5,600    
Goldman Sachs Group Inc., Series 2003-11 (SATURNS)
  5.625%       Aa3     110,208  
  7,600    
Goldman Sachs Group Inc., Series 2004-04 (SATURNS)
  6.000%       A1     155,800  
  2,900    
Goldman Sachs Group Inc., Series 2004-06 (SATURNS)
  6.000%       A1     59,015  
  16,200    
Goldman Sachs Group Inc., Series 2004-4 (CORTS)
  6.000%       A1     332,748  
  20,200    
Goldman Sachs Group Inc., Series GSC-3 (PPLUS)
  6.000%       A1     388,042  
  7,900    
Goldman Sachs Group Inc., Series GSC-4 Class A (PPLUS)
  6.000%       A1     152,944  
  6,500    
Goldman Sachs Group Inc., Series GSG-1 (PPLUS)
  6.000%       AA-     139,100  
  4,500    
Goldman Sachs Group Inc., Series GSG-2 (PPLUS)
  5.750%       AA-     91,125  
  339,545    
Merrill Lynch Preferred Capital Trust III
  7.000%       A2     6,913,136  
  19,700    
Merrill Lynch Preferred Capital Trust IV
  7.120%       A2     419,413  
  225,600    
Merrill Lynch Preferred Capital Trust V
  7.280%       A2     4,827,840  
  191,992    
Morgan Stanley Capital Trust III
  6.250%       A1     3,891,678  
  113,125    
Morgan Stanley Capital Trust IV
  6.250%       A1     2,274,944  
  12,794    
Morgan Stanley Capital Trust V
  5.750%       A+     245,005  
  267,700    
Morgan Stanley Capital Trust VI
  6.600%       A1     5,755,550  
  23,058    
Morgan Stanley Capital Trust VII
  6.600%       A1     493,441  
 
 
Total Capital Markets
                57,959,784  
         
 
 
                   
 
Commercial Banks – 9.9%
 
 
                   
  651,200    
ABN AMRO Capital Fund Trust V
  5.900%       A1     12,932,832  
  116,700    
ASBC Capital I
  7.625%       A3     2,905,830  
  93,595    
BAC Capital Trust I
  7.000%       Aa2     2,264,063  
  553,449    
BAC Capital Trust II
  7.000%       Aa2     13,404,535  
  91,600    
BAC Capital Trust III
  7.000%       Aa2     2,222,216  
  13,600    
BAC Capital Trust IV
  5.875%       Aa2     289,952  
  12,100    
BAC Capital Trust V
  6.000%       Aa3     257,125  
  9,500    
BAC Capital Trust VIII
  6.000%       Aa2     200,830  
  504,642    
Banco Santander Finance
  6.800%       Aa3     11,228,285  
  897,198    
Banco Santander Finance
  6.500%       A     19,065,458  
  65,911    
Banco Santander Finance
  6.410%       Aa3     1,544,295  
  28,800    
Banesto Holdings, Series A, 144A
  10.500%       A1     911,701  
  154,700    
Bank One Capital Trust VI
  7.200%       Aa3     3,825,731  
  187,590    
Barclays Bank PLC
  7.750%       Aa3     4,689,750  
  40,542    
Barclays Bank PLC
  6.625%       Aa3     962,062  
  36,700    
Capital One Capital II Corporation
  7.500%       Baa1     722,990  
  141,700    
Citizens Funding Trust I
  7.500%       Baa1     2,437,240  
  146,500    
Cobank ABC, 144A
  7.000%       A     6,556,608  
  419,100    
Credit Suisse Guernsey
  7.900%       Aa3     10,556,081  
  52,900    
Fifth Third Capital Trust VI
  7.250%       A1     1,150,575  
  2,400    
Fleet Capital Trust IX
  6.000%       Aa2     50,904  
  418,000    
Fleet Capital Trust VIII
  7.200%       Aa2     10,032,000  
  57,700    
HSBC Finance Corporation
  6.875%       AA-     1,391,147  
  83,705    
KeyCorp Capital Trust IX
  6.750%       A3     1,673,263  
  1,300    
KeyCorp Capital Trust V
  5.875%       A3     23,400  
  1,300    
KeyCorp Capital Trust VI
  6.125%       A3     25,402  
  757,338    
National City Capital Trust II
  6.625%       BBB+     12,799,012  
  8,728    
National City Capital Trust IV
  8.000%       A2     172,640  
  21,700    
ONB Capital Trust II
  8.000%       A3     542,283  
  25,700    
PNC Capital Trust
  6.125%       A2     558,975  
  176,800    
Royal Bank of Scotland Group PLC
  6.600%       Aa3     3,942,640  
  41,890    
Royal Bank of Scotland Group PLC, Series L
  5.750%       A1     825,233  
  57,600    
Royal Bank of Scotland Group PLC, Series M
  6.400%       A1     1,304,640  
  125,740    
Royal Bank of Scotland Group PLC, Series N
  6.350%       A1     2,776,339  
  500    
Royal Bank of Scotland Group PLC, Series P
  6.250%       A1     10,820  
  13,900    
Royal Bank of Scotland Group PLC, Series T
  7.250%       Aa3     340,133  
  15,200    
SunAmerica (CORTS)
  6.700%       AA     332,880  
  400    
USB Capital Trust VI
  5.750%       Aa3     7,928  
  5,000    
USB Capital Trust VII
  5.875%       Aa3     100,700  
  65,700    
USB Capital Trust XI
  6.600%       Aa3     1,497,303  
  27,340    
VNB Capital Trust I
  7.750%       A3     683,500  
  142,870    
Wachovia Capital Trust IX
  6.375%       A1     3,048,846  
  285,891    
Wachovia Trust IV
  6.375%       A1     6,103,773  
  432,035    
Wells Fargo Capital Trust V
  7.000%       Aa2     10,399,082  
  111,882    
Wells Fargo Capital Trust VII
  5.850%       Aa2     2,437,909  
  8,500    
Wells Fargo Capital Trust IX
  5.625%       Aa2     183,090  
  114,700    
Zions Capital Trust B
  8.000%       BBB-     2,823,914  
 
 
Total Commercial Banks
                162,215,915  
         
 
 
                   
 
Computers & Peripherals – 0.0%
 
 
                   
  1,000    
IBM Corporation, Class A (CORTS)
  5.625%       A+     23,990  
  17,000    
IBM Trust IV (CORTS)
  7.000%       A+     436,560  
 
 
Total Computers & Peripherals
                460,550  
         
 
 
                   
 
Consumer Finance – 0.0%
 
 
                   
  12,200    
MBNA Corporation, Capital Trust D
  8.125%       Aa2     303,170  
 
 
 
                   
 
Diversified Financial Services – 5.6%
 
 
                   
  95,400    
BAC Capital Trust XII
  6.875%       Aa3     2,257,164  
  174,400    
Citigroup Capital Trust VII
  7.125%       A1     3,857,728  
  729,022    
Citigroup Capital Trust VIII
  6.950%       A1     15,929,131  
  20,600    
Citigroup Capital Trust IX
  6.000%       A1     406,438  
  14,100    
Citigroup Capital Trust XI
  6.000%       A1     276,924  
  9,100    
Citigroup Capital X
  6.100%       A1     176,540  
  257,721    
Citigroup Capital XV
  6.500%       A1     5,376,060  
  26,300    
Citigroup Capital XVI
  6.450%       A1     533,890  
  708,500    
Citigroup Capital XIX
  7.250%       A1     16,281,330  
  75,000    
Citigroup Inc., Series M
  8.125%       A     1,804,688  
  300    
General Electric Capital Corporation
  6.000%       AAA     7,572  
  327,900    
ING Groep N.V.
  7.375%       A1     8,048,306  
  568,920    
ING Groep N.V.
  7.200%       A1     13,699,594  
  718,475    
ING Groep N.V.
  7.050%       A     16,848,239  
  37,200    
ING Groep N.V.
  6.375%       A1     814,308  
  7,900    
JPMorgan Chase Capital Trust XIV
  6.200%       Aa3     183,043  
  223,100    
Merrill Lynch Capital Trust I
  6.450%       A     4,441,921  
  13,000    
Royal Bank of Scotland Group PLC, Series R
  6.125%       A1     276,250  
 
 
Total Diversified Financial Services
                91,219,126  
         
 
 
                   
 
Diversified Telecommunication Services – 1.3%
 
 
                   
  620,100    
AT&T Inc.
  6.375%       A     15,490,098  
  38,500    
BellSouth Capital Funding (CORTS)
  7.100%       A     872,268  
  30,500    
BellSouth Corporation (CORTS)
  7.000%       A     688,156  
  28,000    
Verizon Communications (CORTS)
  7.625%       A     702,240  
  151,800    
Verizon Communications, Series 2004-1 (SATURNS)
  6.125%       A     3,678,114  
 
 
Total Diversified Telecommunication Services
                21,430,876  
   
 
 
                   
 
Electric Utilities – 0.9%
 
 
                   
  50,000    
American Electric Power
  8.750%       Baa3     1,263,750  
  10,300    
DTE Energy Trust I
  7.800%       Baa3     261,826  
  1,700    
Entergy Arkansas Inc.
  6.700%       AAA     43,775  
  2,400    
Entergy Arkansas Inc.
  6.000%       AAA     60,960  
  28,900    
Entergy Louisiana LLC
  7.600%       A-     728,858  
  5,300    
Entergy Mississippi Inc.
  7.250%       A-     132,818  
  1,800    
Entergy Mississippi Inc.
  6.000%       AAA     44,784  
  51,600    
FPL Group Capital Inc.
  6.600%       A3     1,295,676  
  6,000    
National Rural Utilities Cooperative Finance Corporation
  6.750%       A3     145,440  
  8,600    
National Rural Utilities Cooperative Finance Corporation
  6.100%       A3     194,876  
  2,500    
National Rural Utilities Cooperative Finance Corporation
  5.950%       A3     57,900  
  9,300    
PPL Capital Funding, Inc.
  6.850%       Baa2     226,269  
  15,000    
PPL Energy Supply LLC
  7.000%       BBB     377,850  
  122,500    
Virginia Power Capital Trust
  7.375%       BBB     3,083,325  
  258,500    
Xcel Energy Inc.
  7.600%       Baa2     6,426,956  
 
 
Total Electric Utilities
                14,345,063  
         
 
 
                   
 
Food Products – 0.2%
 
 
                   
  35,100    
Dairy Farmers of America Inc., 144A
  7.875%       BBB-     3,007,631  
 
 
 
                   
 
Insurance – 11.2%
 
 
                   
  1,210,933    
Ace Ltd., Series C
  7.800%       BBB     29,958,482  
  12,600    
Aegon N.V., Series 1
  4.000%       A-     228,060  
  10,000    
Aegon N.V.
  6.875%       A-     225,100  
  3,500    
Aegon N.V.
  6.500%       A-     75,495  
  1,420,300    
Aegon N.V.
  6.375%       A-     28,832,090  
  3,000    
Aegon N.V.
  7.250%       A-     70,290  
  12,233    
AMBAC Financial Group Inc.
  5.950%       AA     165,268  
  238,113    
Arch Capital Group Limited, Series B
  7.785%       BBB-     6,012,353  
  392,973    
Arch Capital Group Limited
  8.000%       BBB-     10,028,671  
  709,600    
Berkley WR Corporation, Capital Trust II
  6.750%       BBB-     14,830,640  
  677,301    
Delphi Financial Group, Inc.
  8.000%       BBB+     15,584,696  
  32,500    
Delphi Financial Group, Inc.
  7.376%       BBB-     617,825  
  6,000,000    
Everest Reinsurance Holdings, Inc.
  6.600%       Baa1     5,065,440  
  200,456    
EverestRe Capital Trust II
  6.200%       Baa1     4,021,147  
  7,800    
Financial Security Assurance Holdings
  6.250%       AA     166,842  
  6,100    
Financial Security Assurance Holdings
  5.600%       AA     118,950  
  1,395,900    
Lincoln National Capital Trust VI
  6.750%       A-     32,943,240  
  4,000    
Lincoln National Corporation
  6.750%       A-     96,400  
  123,700    
Markel Corporation
  7.500%       BBB-     3,043,020  
  897,802    
PartnerRe Limited, Series C
  6.750%       BBB+     20,398,061  
  146,500    
PLC Capital Trust III
  7.500%       BBB+     3,502,815  
  6,800    
PLC Capital Trust IV
  7.250%       BBB+     160,684  
  28,900    
PLC Capital Trust V
  6.125%       BBB+     578,000  
  40,700    
Protective Life Corporation
  7.250%       BBB     974,358  
  39,343    
Prudential PLC
  6.750%       A     934,396  
  124,700    
RenaissanceRe Holdings Limited, Series B
  7.300%       BBB     2,719,707  
  35,600    
RenaissanceRe Holdings Limited, Series C
  6.080%       BBB+     674,620  
  26,200    
RenaissanceRe Holdings Ltd.
  6.600%       BBB     541,030  
  3,300    
Torchmark Capital Trust III
  7.100%       BBB+     79,134  
 
 
Total Insurance
                182,646,814  
         
 
 
                   
 
IT Services – 0.0%
 
 
                   
  2,700    
Vertex Industries Inc. (PPLUS)
  7.625%       A     67,959  
 
 
 
                   
 
Media – 3.2%
 
 
                   
  29,700    
CBS Corporation
  7.250%       BBB     719,631  
  556,900    
CBS Corporation
  6.750%       BBB     12,301,921  
  1,038,100    
Comcast Corporation
  7.000%       BBB+     24,447,255  
  14,200    
Comcast Corporation
  6.625%       BBB+     321,772  
  649,400    
Viacom Inc.
  6.850%       BBB     15,111,538  
  1,400    
Walt Disney Company (CORTS)
  6.875%       A     35,014  
 
 
Total Media
                52,937,131  
         
 
 
                   
 
Oil, Gas & Consumable Fuels – 1.0%
 
 
                   
  680,500    
Nexen Inc.
  7.350%       Baa3     16,325,195  
 
 
 
                   
 
Pharmaceuticals – 0.1%
 
 
                   
  49,200    
Bristol Myers Squibb Company (CORTS)
  6.250%       A+     1,115,856  
 
 
 
                   
 
Real Estate/Mortgage – 11.7%
 
 
                   
  15,700    
AMB Property Corporation, Series P
  6.850%       Baa2     368,793  
  77,100    
AvalonBay Communities, Inc., Series H
  8.700%       BBB     1,964,508  
  4,000    
BRE Properties, Series C
  6.750%       BBB-     85,520  
  9,100    
BRE Properties, Series D
  6.750%       BBB-     194,422  
  104,300    
Developers Diversified Realty Corporation, Series G
  8.000%       BBB-     2,503,200  
  1,265,945    
Developers Diversified Realty Corporation, Series H
  7.375%       BBB-     27,129,201  
  126,000    
Duke Realty Corporation, Series L
  6.600%       BBB     2,783,340  
  31,700    
Duke Realty Corporation, Series N
  7.250%       BBB     735,757  
  481,220    
Duke Realty Corporation, Series O
  8.375%       BBB     11,813,951  
  104,400    
Duke-Weeks Realty Corporation
  6.950%       BBB     2,345,868  
  96,000    
Duke-Weeks Realty Corporation
  6.625%       BBB     2,079,360  
  312,323    
Equity Residential Properties Trust, Series N
  6.480%       BBB     6,849,243  
  4,700    
First Industrial Realty Trust, Inc., Series J
  7.250%       BBB-     98,465  
  1,800    
First Industrial Realty Trust, Inc., Series J
  7.250%       BBB-     37,170  
  401,683    
HRPT Properties Trust, Series B
  8.750%       BBB-     9,624,325  
  533,000    
HRPT Properties Trust, Series C
  7.125%       BBB-     10,233,600  
  581,600    
Kimco Realty Corporation, Series G
  7.750%       BBB+     13,856,620  
  3,997    
Prologis Trust, Series C
  8.540%       BBB     212,091  
  55,275    
Prologis Trust, Series G
  6.750%       BBB     1,296,199  
  11,600    
PS Business Parks, Inc.
  6.700%       BBB-     232,116  
  412,088    
PS Business Parks, Inc.
  7.000%       BBB-     9,000,002  
  4,800    
PS Business Parks, Inc., Series I
  6.875%       BBB-     101,040  
  700    
PS Business Parks, Inc., Series K
  7.950%       BBB-     16,695  
  243,000    
PS Business Parks, Inc., Series L
  7.600%       BBB-     5,578,065  
  131,900    
PS Business Parks, Inc., Series O
  7.375%       BBB-     2,938,073  
  249,836    
Public Storage, Inc.
  6.750%       BBB+     5,433,933  
  3,000    
Public Storage, Inc., Series N
  7.000%       BBB+     68,400  
  63,900    
Public Storage, Inc., Series C
  6.600%       BBB+     1,367,460  
  149,000    
Public Storage, Inc., Series E
  6.750%       BBB+     3,225,850  
  21,400    
Public Storage, Inc., Series F
  6.450%       BBB+     435,490  
  16,511    
Public Storage, Inc., Series H
  6.950%       BBB+     373,314  
  19,000    
Public Storage, Inc., Series I
  7.250%       BBB+     454,290  
  40,000    
Public Storage, Inc., Series K
  7.250%       BBB+     947,600  
  726,938    
Public Storage, Inc., Series M
  6.625%       BBB+     15,127,580  
  31,500    
Public Storage, Inc., Series V
  7.500%       BBB+     761,355  
  33,403    
Realty Income Corporation, Series E
  6.750%       BBB-     705,137  
  166,100    
Regency Centers Corporation
  7.450%       BBB     3,835,249  
  6,300    
United Dominion Realty Trust
  6.750%       BBB-     148,775  
  169,000    
Vornado Realty Trust, Series G
  6.625%       BBB-     3,523,650  
  185,000    
Vornado Realty Trust, Series H
  6.750%       BBB-     3,905,350  
  1,542,834    
Wachovia Preferred Funding Corporation
  7.250%       A2     36,534,309  
  126,800    
Weingarten Realty Trust, Series E
  6.950%       A-     2,884,700  
 
 
Total Real Estate/Mortgage
                191,810,066  
         
 
 
                   
 
Thrifts & Mortgage Finance – 1.6%
 
 
                   
  70,600    
Countrywide Capital Trust III (PPLUS)
  8.050%       BBB-     1,225,616  
  601,104    
Countrywide Capital Trust IV
  6.750%       BBB-     10,230,790  
  546,678    
Countrywide Capital Trust V
  7.000%       BBB-     9,129,522  
  50,200    
Federal Home Loan Mortgage Corporation, Notes
  5.570%       AA-     958,819  
  42,200    
Federal Home Loan Mortgage Corporation
  6.550%       AA-     947,389  
  175,000    
Federal Home Loan Mortgage Corporation
  8.375%       AA-     4,269,999  
 
 
Total Thrifts & Mortgage Finance
                26,762,135  
         
 
 
                   
 
U.S. Agency – 0.4%
 
 
                   
  139,000    
Federal National Mortgage Association
  7.000%       AA-     6,298,438  
 
 
 
                   
 
Wireless Telecommunication Services – 0.1%
 
 
                   
  52,800    
United States Cellular Corporation
  8.750%       A-     1,320,528  
 
 
Total $25 Par (or similar) Preferred Securities (cost $931,447,289)
                830,226,237  
         

 


Table of Contents

                             
          Weighted              
Principal         Average              
Amount (000)     Description (1)   Coupon   Maturity (4)   Ratings (3)   Value  
 
 
 
                   
 
Variable Rate Senior Loan Interests – 11.8% (7.4% of Total Investments) (5)
 
 
                   
 
Aerospace & Defense – 0.1%
 
 
                   
$ 574    
DAE Aviation Holdings, Inc., Term Loan B-1
  6.990%   7/31/14   BB-   $ 555,439  
  571    
DAE Aviation Holdings, Inc., Term Loan B-2
  6.990%   7/31/13   BB-     551,708  
 
  1,145    
Total Aerospace & Defense
                1,107,147  
 
 
 
                   
 
Airlines – 0.3%
 
 
                   
  2,504    
ACTS Aero Technical Support & Services Inc., Term Loan
  7.305%   10/01/14   N/R     2,178,172  
  992    
American Airlines, Inc., Term Loan
  6.801%   12/17/10   BB-     912,616  
  1,985    
Delta Air Lines, Inc., Term Loan
  8.082%   4/30/14   B     1,585,023  
 
  5,481    
Total Airlines
                4,675,811  
 
 
 
                   
 
Building Products – 0.5%
 
 
                   
  3,568    
Building Materials Corporation of America, Term Loan
  6.688%   2/22/14   BB     2,866,834  
  2,977    
Nortek, Inc., Term Loan B
  5.350%   8/27/11   Ba3     2,579,948  
  989    
Stile Acquisition Corporation, Canadian Term Loan
  5.184%   4/05/13   BB-     852,290  
  991    
Stile Acquisition Corporation, Term Loan B
  5.183%   4/05/13   BB-     853,738  
  985    
TFS Acquisition, Term Loan
  6.196%   8/11/13   B+     916,050  
 
  9,510    
Total Building Products
                8,068,860  
 
 
 
                   
 
Chemicals – 0.4%
 
 
                   
  1,990    
Celanese Holdings LLC, Term Loan
  6.229%   4/02/14   BB+     1,860,627  
  1,995    
Georgia Gulf Corporation, Term Loan
  5.580%   10/03/13   Ba3     1,819,129  
  2,978    
Hercules Offshore, Inc., Term Loan
  4.450%   7/11/13   BB     2,836,069  
 
  6,963    
Total Chemicals
                6,515,825  
 
 
 
                   
 
Commercial Services & Supplies – 0.2%
 
 
                   
  213    
Aramark Corporation, Letter of Credit
  0.000%   1/24/14   BB-     198,747  
  3,349    
Aramark Corporation, Term Loan
  4.571%   1/24/14   BB-     3,128,405  
 
  3,562    
Total Commercial Services & Supplies
                3,327,152  
 
 
 
                   
 
Diversified Consumer Services – 0.3%
 
 
                   
  258    
Laureate Education, Inc., Delayed Draw, Term Loan B, (6), (7)
  0.500%   8/17/14   B     (24,903 )
  1,738    
Laureate Education, Inc., Term Loan B
  6.068%   8/17/14   B1     1,569,904  
  2,985    
Thomson Learning Center, Term Loan
  5.200%   7/05/14   B+     2,574,563  
 
  4,981    
Total Diversified Consumer Services
                4,119,564  
 
 
 
                   
 
Diversified Telecommunication Services – 0.2%
 
 
                   
  2,985    
Alltel Communications, Inc., Term Loan B3
  5.568%   5/18/15   BB-     2,700,180  
  501    
Intelsat, Tranche B-2, Term Loan A
  5.611%   1/03/14   BB-     459,529  
  501    
Intelsat, Tranche B-2, Term Loan B
  5.611%   1/03/14   BB-     459,391  
  501    
Intelsat, Tranche B-2, Term Loan C
  5.611%   1/03/14   BB-     459,391  
 
  4,488    
Total Diversified Telecommunication Services
                4,078,491  
 
 
 
                   
 
Electric Utilities – 0.6%
 
 
                   
  5,238    
Calpine Corporation, DIP Term Loan
  5.575%   3/31/14   B+     4,662,426  
  1,995    
TXU Corporation, Term Loan B-2
  6.579%   10/10/14   Ba3     1,821,572  
  3,990    
TXU Corporation, Term Loan B-3
  6.583%   10/10/14   Ba3     3,632,895  
 
  11,223    
Total Electric Utilities
                10,116,893  
 
 
 
                   
 
Electrical Equipment – 0.1%
 
 
                   
  1,750    
Allison Transmission Holdings, Inc., Term Loan
  5.746%   8/07/14   BB-     1,542,500  
 
 
 
                   
 
Energy Equipment & Services – 0.1%
 
 
                   
  2,383    
PGS Finance, Inc., Term Loan
  4.450%   6/29/15   Ba2     2,246,292  
 
 
 
                   
 
Health Care Equipment & Supplies – 0.4%
 
 
                   
  120    
Bausch & Lomb, Inc., Delayed Draw Term Loan, (6)
  3.473%   4/24/15   BB-     56,795  
  479    
Bausch & Lomb, Inc., Term Loan
  5.946%   4/24/15   BB-     466,014  
  5,970    
Biomet, Inc., Term Loan
  5.696%   12/25/13   BB-     5,752,095  
 
  6,569    
Total Health Care Equipment & Supplies
                6,274,904  
 
 
 
                   
 
Health Care Providers & Services – 1.8%
 
 
                   
  457    
Community Health Systems, Inc., Delayed Draw, Term Loan, (6), (7)
  0.750%   7/25/14   BB     (34,790 )
  8,941    
Community Health Systems, Inc., Term Loan
  5.335%   7/25/14   BB     8,260,927  
  496    
Concentra, Inc., Term Loan
  4.946%   6/25/14   B+     420,572  
  5,930    
HCA, Inc., Term Loan
  4.946%   11/18/13   BB     5,462,450  
  1,781    
HCA, Inc., Term Loan A
  4.196%   11/18/12   Ba3     1,622,503  
  2,734    
Health Management Associates, Inc., Term Loan
  4.446%   2/28/14   BB-     2,381,841  
  529    
IASIS Healthcare LLC, Delayed Term Loan
  4.979%   3/14/14   Ba2     481,765  
  191    
IASIS Healthcare LLC, Letter of Credit
  2.609%   3/14/14   Ba2     173,609  
  2,259    
IASIS Healthcare LLC, Term Loan
  5.244%   3/14/14   Ba2     2,055,573  
  1,747    
LifePoint Hospitals, Inc., Term Loan B
  4.710%   4/18/12   BB     1,617,544  
  1,848    
Select Medical Corporation, Term Loan
  5.074%   2/24/12   Ba2     1,641,046  
  993    
Select Medical Corporation, Term Loan B-2
  4.631%   2/24/12   Ba2     881,340  
  359    
Sun Healthcare Group, Inc., Delayed Term Loan
  4.654%   4/12/14   Ba2     326,489  
  566    
Sun Healthcare Group, Inc., Synthetic Letter of Credit
  4.596%   4/19/14   Ba2     515,458  
  2,505    
Sun Healthcare Group, Inc., Term Loan
  5.539%   4/19/14   Ba2     2,279,668  
  990    
Vanguard Health Holding Company II LLC, Replacement Term Loan
  4.954%   9/23/11   Ba3     921,147  
 
  32,326    
Total Health Care Providers & Services
                29,007,142  
 
 
 
                   
 
Hotels, Restaurants & Leisure – 0.7%
 
 
                   
  1,980    
Cedar Fair LP, Term Loan
  4.704%   8/30/12   BB     1,837,033  
  922    
Intrawest Corporation, Term Loan
  5.971%   4/24/08   N/R     894,305  
  703    
Isle of Capri Casinos, Inc., Term Loan
  4.446%   11/25/13   BB+     596,790  
  212    
Isle of Capri Casinos, Inc., Delayed Term Loan A
  4.446%   11/25/13   BB+     179,939  
  281    
Isle of Capri Casinos, Inc., Delayed Term Loan B
  4.446%   11/25/13   BB+     238,716  
  995    
Orbitz Worldwide, Inc., Term Loan
  5.895%   7/25/14   BB-     840,775  
  134    
Travelport, LLC, Letter of Credit
  4.946%   8/23/13   BB-     117,563  
  669    
Travelport, LLC, Term Loan
  4.954%   8/23/13   BB-     585,908  
  2,000    
Travelport, LLC, Delayed Term Loan
  4.954%   8/23/13   BB-     1,750,000  
  1,200    
Venetian Casino Resort, LLC, Delayed Draw, Term Loan, (6), (7)
  0.750%   5/23/14   BB     (136,772 )
  4,764    
Venetian Casino Resort, LLC, Term Loan
  4.450%   5/23/14   BB     4,221,014  
 
  13,860    
Total Hotels, Restaurants & Leisure
                11,125,271  
 
 
 
                   
 
Independent Power Producers & Energy Traders – 0.3%
 
 
                   
  1,557    
NRG Energy, Inc., Credit Linked Deposit
  2.560%   2/01/13   Ba1     1,461,061  
  3,198    
NRG Energy, Inc., Term Loan
  4.196%   2/01/13   Ba1     3,000,374  
 
  4,755    
Total Independent Power Producers & Energy Traders
                4,461,435  
 
 
 
                   
 
Insurance – 0.1%
 
 
                   
  3,976    
Conseco, Inc., Term Loan
  4.704%   10/10/13   Ba3     3,095,024  
 
 
 
                   
 
Internet Software & Services – 0.1%
 
 
                   
  1,000    
Sabre, Inc., Term Loan
  5.244%   9/30/14   B+     823,500  
 
 
 
                   
 
IT Services – 0.2%
 
 
                   
  3,980    
First Data Corporation, Term Loan, B-1
  5.355%   9/24/14   BB-     3,594,161  
 
 
 
                   
 
Leisure Equipment & Products – 0.4%
 
 
                   
  400    
Herbst Gaming Inc., Delayed Draw Term Loan, WI/DD
  TBD   TBD   B2     286,800  
  800    
Herbst Gaming Inc., Term Loan, WI/DD
  TBD   TBD   B2     573,600  
  6,000    
Wimar OpCo LLC, Term Loan
  8.500%   1/03/12   B-     5,741,250  
 
  7,200    
Total Leisure Equipment & Products
                6,601,650  
 
 
 
                   
 
Machinery – 0.1%
 
 
                   
  1,975    
Oshkosh Truck Corporation, Term Loan
  4.760%   12/06/13   BBB-     1,843,786  
 
 
 
                   
 
Media – 2.5%
 
 
                   
  3,962    
Cequel Communications LLC, Term Loan B
  6.510%   11/05/13   N/R     4,882,982  
  4,075    
Charter Communications Operating Holdings, LLC, Term Loan
  5.260%   3/06/14   B+     3,452,713  
  2,500    
Citadel Broadcasting Corporation, Term Loan
  4.319%   6/12/14   BB-     2,060,938  
  5,965    
Discovery Communications Holdings LLC, Term Loan
  4.696%   5/14/14   N/R     5,491,505  
  2,200    
Gray Television Inc., Term Loan
  6.210%   12/31/14   B1     1,850,200  
  992    
Idearc, Inc., Term Loan
  4.700%   11/17/14   BBB-     798,560  
  1,985    
Metro-Goldwyn-Mayer Studios, Inc., Term Loan
  5.946%   4/08/12   N/R     1,579,165  
  3,950    
Neilsen Finance LLC, Term Loan
  5.346%   8/09/13   Ba3     3,574,675  
  947    
Philadelphia Newspapers, Term Loan
  6.600%   6/29/13   N/R     785,604  
  1,980    
Readers Digest Association, Inc., Term Loan
  5.075%   3/02/14   B+     1,636,470  
  5,955    
Tribune Company, Term Loan B
  5.542%   6/04/14   BB-     4,005,803  
  3,433    
Tribune Company, Term Loan X
  7.396%   6/04/09   BB-     3,088,160  
  268    
Univision Communications, Inc., Delayed Term Loan, (6), (7)
  1.000%   9/29/14   Ba3     (56,040 )
  7,732    
Univision Communications, Inc., Term Loan
  5.494%   9/29/14   Ba3     6,117,584  
  430    
Valassis Communications, Inc., Delayed Term Loan, (6), (7)
  1.000%   3/02/14   BB     (30,064 )
  1,299    
Valassis Communications, Inc., Tranche B, Term Loan
  4.450%   3/02/14   BB     1,208,490  
 
  47,673    
Total Media
                40,446,745  
 
 
 
                   
 
Metals & Mining – 0.1%
 
 
                   
  1,200    
John Maneely Company, Term Loan
  7.461%   12/08/13   B+     1,037,143  
 
 
 
                   
 
Oil, Gas & Consumable Fuels – 0.1%
 
 
                   
  2,000    
Venoco, Inc., Term Loan
  7.125%   9/20/11   B     1,790,000  
 
 
 
                   
 
Paper & Forest Products – 0.3%
 
 
                   
  3,960    
Georgia-Pacific Corporation, Term Loan B
  4.727%   12/21/12   BB+     3,678,592  
  45    
Ply Gem Industries, Inc., Canadian Term Loan
  5.450%   8/15/11   BB-     38,305  
  1,435    
Ply Gem Industries, Inc., Term Loan B-3
  5.450%   8/15/11   BB-     1,227,541  
 
  5,440    
Total Paper & Forest Products
                4,944,438  
 
 
 
                   
 
Real Estate Management & Development – 0.2%
 
 
                   
  880    
LNR Property Corporation, Term Loan B
  6.360%   7/12/11   BB     693,733  
  3,980    
Realogy Corporation, Delayed Draw Term Loan
  7.505%   10/01/13   BB-     3,239,573  
 
  4,860    
Total Real Estate Management & Development
                3,933,306  
 
 
 
                   
 
Road & Rail – 0.3%
 
 
                   
  6,419    
Swift Transportation Company, Inc., Term Loan
  6.500%   5/10/14   BB-     4,841,464  
 
 
 
                   
 
Software – 0.2%
 
 
                   
  2,688    
Dealer Computer Services, Inc., Term Loan
  4.678%   10/26/12   BB     2,446,013  
  1,256    
Intergraph Corporation, Term Loan
  5.061%   5/29/14   BB-     1,139,885  
 
  3,944    
Total Software
                3,585,898  
 
 
 
                   
 
Specialty Retail – 0.8%
 
 
                   
  1,972    
Blockbuster, Inc., Tranche B, Term Loan
  8.572%   8/20/11   B     1,775,946  
  6,416    
Burlington Coat Factory Warehouse Corporation, Term Loan
  5.340%   5/28/13   B2     5,372,301  
  3,451    
Michaels Stores, Inc., Term Loan
  5.345%   10/31/13   B     2,900,048  
  1,500    
TRU 2005 RE Holding Co I LLC, Term Loan
  6.119%   12/08/08   B3     1,350,749  
  1,800    
TRU 2005 RE Holding Co I LLC, Term Loan B, WI/DD
  TBD   TBD   BB-     1,639,799  
 
  15,139    
Total Specialty Retail
                13,038,843  
 
 
 
                   
 
Wireless Telecommunication Services – 0.4%
 
 
                   
  6,000    
Asurion Corporation, Term Loan
  6.095%   7/03/14   N/R     5,109,998  
  1,985    
Leap Wireless International Inc., Term Loan
  5.696%   6/17/13   Ba2     1,886,708  
 
  7,985    
Total Wireless Telecommunication Services
                6,996,707  
 
$ 221,787    
Total Variable Rate Senior Loan Interests (cost $213,993,797)
                193,239,951  
 
                             
Principal                        
Amount (000)     Description (1)   Coupon   Maturity   Ratings (3)   Value  
 
 
 
                   
 
Convertible Bonds – 9.4% (5.9% of Total Investments)
 
 
                   
 
Aerospace & Defense – 0.3%
 
 
                   
$ 300    
Alliant Techsystems, Inc., Convertible Bonds
  2.750%   9/15/11   B+   $ 372,750  
  300    
Alliant Techsystems, Inc., Convertible Bonds
  2.750%   2/15/24   B+     409,875  
  650    
DRS Technologies, Inc., Convertible Bonds, 144A
  2.000%   2/01/26   BB-     735,313  
  850    
L-3 Communications Corporation, Convertible Bond
  3.000%   8/01/35   BB+     1,065,688  
  1,300    
Lockheed Martin Corporation
  2.818%   8/15/33   A-     1,786,980  
 
  3,400    
Total Aerospace & Defense
                4,370,606  
 
 
 
                   
 
Beverages – 0.0%
 
 
                   
  450    
Molson Coors Brewing Company, Senior Convertible Notes
  2.500%   7/30/13   BBB     555,188  
 
 
 
                   
 
Biotechnology – 0.3%
 
 
                   
  4,700    
Amgen Inc., 144A
  0.125%   2/01/11   A+     4,282,875  
  800    
Genzyme Corporation
  1.250%   12/01/23   BBB+     931,000  
 
  5,500    
Total Biotechnology
                5,213,875  
 
 
 
                   
 
Capital Markets – 0.1%
 
 
                   
  350    
BlackRock Inc.
  2.625%   2/15/35   A+     721,875  
 
 
 
                   
 
Commercial Banks – 0.0%
 
 
                   
  700    
National City Corporation, Convertible Senior Notes
  4.000%   2/01/11   A     578,375  
 
 
 
                   
 
Commercial Services & Supplies – 0.3%
 
 
                   
  5,400    
Allied Waste Industries Inc., Convertible Debentures
  4.250%   4/15/34   B+     4,968,000  
 
 
 
                   
 
Communications Equipment – 0.4%
 
 
                   
  800    
Ciena Corporation, Convertible Bond
  0.875%   6/15/17   B+     769,000  
  300    
CommScope Inc.
  1.000%   3/15/24   B     498,750  
  350    
Juniper Networks Inc., Convertible Subordinated Notes
  0.000%   6/15/08   BB     443,188  
  950    
Liberty Media Corporation, Senior Debentures Exchangeable for Motorola Common Stock
  3.500%   1/15/31   BB+     559,587  
  700    
Lucent Technologies Inc., Series B
  2.750%   6/15/25   BB-     540,750  
  1,050    
Lucent Technologies Inc.
  2.750%   6/15/23   BB-     935,813  
  1,006    
Nortel Networks Corp.
  4.250%   9/01/08   B-     998,455  
  1,000    
Nortel Networks Corporation, Convertible Bonds, 144A
  1.750%   4/15/12   B-     680,000  
  850    
Nortel Networks Corporation, Convertible Bonds, 144A
  2.125%   4/15/14   B-     532,313  
 
  7,006    
Total Communications Equipment
                5,957,856  
 
 
 
                   
 
Computers & Peripherals – 0.3%
 
 
                   
  1,750    
EMC Corporation, Convertible Bonds 144A
  1.750%   12/01/11   BBB+     2,067,188  
  700    
EMC Corporation, Convertible Bonds 144A
  1.750%   12/01/13   BBB+     825,125  
  350    
EMC Corporation, Convertible Bonds 144A
  1.750%   12/01/13   BBB+     412,563  
  1,800    
Sandisk Corporation, Convertible Bond
  1.000%   5/15/13   BB-     1,332,000  
 
  4,600    
Total Computers & Peripherals
                4,636,876  
 
 
 
                   
 
Construction & Engineering – 0.1%
 
 
                   
  350    
Fluor Corporation, Convertible Bonds
  1.500%   2/15/24   A3     887,250  
  400    
Quanta Services, Inc., Convertible Bonds
  4.500%   10/01/23   BB     842,500  
 
  750    
Total Construction & Engineering
                1,729,750  
 
 
 
                   
 
Containers & Packaging – 0.1%
 
 
                   
  750    
Sealed Air Corporation, 144A
  3.000%   6/30/33   BBB     736,875  
 
 
 
                   
 
Diversified Financial Services – 0.1%
 
 
                   
  350    
Leucadia National Corporation, Convertible Bonds
  3.750%   4/15/14   BB-     731,063  
 
 
 
                   
 
Diversified Telecommunication Services – 0.1%
 
 
                   
  1,400    
Qwest Communications International Inc., Convertible Bond
  3.500%   11/15/25   B+     1,445,500  
 
 
 
                   
 
Electric Utilities – 0.1%
 
 
                   
  700    
Centerpoint Energy Inc., Convertible Bond
  3.750%   5/15/23   BBB-     888,125  
  400    
Covanta Holding Corporation, Convertible Bonds
  1.000%   2/01/27   B1     445,000  
 
  1,100    
Total Electric Utilities
                1,333,125  
 
 
 
                   
 
Electrical Equipment – 0.1%
 
 
                   
  900    
General Cable Corporation, Convertible Bonds
  1.000%   10/15/12   B+     892,125  
 
 
 
                   
 
Electronic Equipment & Instruments – 0.1%
 
 
                   
  700    
Anixter International Inc., Convertible Bond
  0.000%   7/07/33   BB-     693,000  
  500    
Itron Inc.
  2.500%   8/01/26   B-     781,250  
  100    
Tech Data Corporation, Convertible Bonds
  2.750%   12/15/26   BBB-     94,250  
  700    
Vishay Intertechnology Inc.
  3.625%   8/01/23   B+     700,000  
 
  2,000    
Total Electronic Equipment & Instruments
                2,268,500  
 
 
 
                   
 
Energy Equipment & Services – 1.5%
 
 
                   
  300    
Cooper Cameron Corporation
  1.500%   5/15/24   BBB+     731,625  
  950    
Halliburton Company, Convertible Bond
  3.125%   7/15/23   A     2,000,938  
  5,600    
Nabors Industries Inc., Convertible Bond Series 144A
  0.940%   5/15/11   BBB+     5,754,000  
  2,350    
Nabors Industries Inc., Convertible Bond Series 144A
  0.940%   5/15/11   BBB+     1,130,250  
  6,900    
Nabors Industries Inc.
  0.000%   6/15/23   BBB+     7,296,750  
  400    
Pride International Inc.
  3.250%   5/01/33   BB+     547,000  
  750    
Schlumberger Limited
  2.125%   6/01/23   A+     1,656,563  
  400    
SESI LLC, Convertible Bond, 144A
  1.500%   12/15/26   BB     434,000  
  1,000    
Transocean Inc., Convertible Bond
  1.625%   12/15/37   BBB+     1,098,750  
  2,550    
Transocean Inc.
  1.500%   12/15/37   BBB+     2,808,188  
  1,700    
Transocean Inc.
  1.500%   12/15/37   BBB+     1,874,250  
 
  22,900    
Total Energy Equipment & Services
                25,332,314  
 
 
 
                   
 
Food & Staples Retailing – 0.0%
 
 
                   
  300    
Great Atlantic & Pacific Tea Company Inc.
  6.750%   12/15/12   CCC+     295,125  
 
 
 
                   
 
Food Products – 0.1%
 
 
                   
  500    
Archer Daniels Midland Company, Convertible Bonds
  0.875%   2/15/14   A     583,125  
  300    
Archer Daniels Midland Company, Convertible Bonds
  0.875%   2/15/14   A     349,875  
  1,400    
General Mills, Inc., Convertible Bonds
  2.820%   4/11/37   BBB+     1,402,380  
 
  2,200    
Total Food Products
                2,335,380  
 
 
 
                   
 
Health Care Equipment & Supplies – 0.5%
 
 
                   
  750    
Advanced Medical Optics
  3.250%   8/01/26   B-     546,563  
  450    
American Medical Systems Holdings, Convertible Bond
  3.250%   7/01/36   B     441,000  
  450    
Beckman Coulter Inc., Convertible Bonds, 144A
  2.500%   12/15/36   BBB     494,438  
  1,600    
Hologic Inc.
  2.000%   12/15/37   B     1,546,000  
  3,600    
Medtronic, Inc., Convertible Bond
  1.500%   4/15/11   AA-     3,811,500  
  250    
Medtronic, Inc.
  1.500%   4/15/11   AA-     264,688  
  1,050    
Saint Jude Medical, Inc., Convertible Bonds
  1.220%   12/15/08   BBB+     1,069,688  
 
  8,150    
Total Health Care Equipment & Supplies
                8,173,877  
 
 
 
                   
 
Health Care Providers & Services – 0.5%
 
 
                   
  950    
Health Management Associates Inc.
  1.500%   8/01/23   Baa3     948,813  
  550    
Laboratory Corporation of America Holdings
  0.000%   9/11/21   BBB-     556,875  
  1,000    
LifePoint Hospitals, Inc., Convertible Bonds
  3.500%   5/15/14   B     845,000  
  9,065    
Omnicare, Inc.
  3.250%   12/15/35   B+     6,050,888  
  300    
Saint Jude Medical, Inc., Convertible Bonds
  1.220%   12/15/08   BBB+     305,625  
 
  11,865    
Total Health Care Providers & Services
                8,707,201  
 
 
 
                   
 
Hotels, Restaurants & Leisure – 0.1%
 
 
                   
  850    
Carnival Corporation
  2.000%   4/15/21   A-     936,063  
  650    
International Game Technology
  2.600%   12/15/36   BBB     658,125  
 
  1,500    
Total Hotels, Restaurants & Leisure
                1,594,188  
 
 
 
                   
 
Insurance – 0.2%
 
 
                   
  3,850    
Prudential Financial, Inc., Convertible Bonds
  0.539%   12/12/36   A+     3,746,820  
 
 
 
                   
 
Internet & Catalog Retail – 0.1%
 
 
                   
  700    
Amazon.com, Inc., Convertible Bonds
  4.750%   2/01/09   Ba2     740,250  
  250    
Priceline.com, Inc., Convertible Bonds
  0.500%   9/30/11   B+     761,875  
  250    
Priceline.com, Inc., Convertible Bonds
  0.750%   9/30/13   B+     762,813  
 
  1,200    
Total Internet & Catalog Retail
                2,264,938  
 
 
 
                   
 
Internet Software & Services – 0.0%
 
 
                   
  500    
Yahoo! Inc., Convertible Bond
  0.000%   4/01/08   BBB-     500,000  
 
 
 
                   
 
IT Services – 0.1%
 
 
                   
  1,100    
Electronic Data Systems Corporation, Convertible Bonds
  3.875%   7/15/23   BBB-     1,076,625  
 
 
 
                   
 
Leisure Equipment & Products – 0.0%
 
 
                   
  700    
Eastman Kodak Company
  3.375%   10/15/33   B     681,625  
 
 
 
                   
 
Life Sciences Tools & Services – 0.2%
 
 
                   
  500    
Apogent Technologies, Inc., Convertible Bonds
  1.514%   12/15/33   BBB+     977,900  
  500    
Charles River Laboratories International, Inc.
  2.250%   6/15/13   BB+     667,500  
  350    
Fisher Scientific International, Inc., Convertible Bonds
  2.500%   10/01/23   BBB+     850,938  
 
  1,350    
Total Life Sciences Tools & Services
                2,496,338  
 
 
 
                   
 
Machinery – 0.1%
 
 
                   
  1,100    
Danaher Corporation, Convertible Bonds
  0.000%   1/22/21   A+     1,245,750  
  350    
Kaydon Corporation, Convertible Bonds
  4.000%   5/23/23   BB-     530,688  
  700    
Trinity Industries Inc., Convertible Bonds
  3.875%   6/01/36   Ba2     596,750  
 
  2,150    
Total Machinery
                2,373,188  
 
 
 
                   
 
Media – 0.7%
 
 
                   
  300    
ELF Special Financing Limited, Convertible Bonds, 144A
  6.008%   6/15/09   Ba3     321,720  
  800    
ELF Special Financing Limited, Convertible Bonds, 144A
  3.150%   6/15/09   Ba3     772,000  
  2,400    
Getty Images, Inc., Convertible Bonds
  0.500%   6/09/23   Ba2     2,382,000  
  700    
Interpublic Group, Inc., Convertible Bonds
  4.250%   3/15/23   Ba3     693,000  
  400    
Lamar Advertising Company, Convertible
  2.875%   12/31/10   B1     404,500  
  900    
Liberty Media Corporation, Senior Debentures, Exchangeable for Class B Viacom Common Stock
  3.250%   3/15/31   BB+     612,000  
  1,000    
Liberty Media Corporation, Senior Debentures, Exchangeable for PCS Common Stock, Series 1
  4.000%   11/15/29   BB+     545,000  
  1,350    
Omnicom Group, Inc.
  0.000%   7/31/32   A-     1,360,125  
  750    
Omnicom Group, Inc.
  0.000%   7/01/38   A-     792,188  
  1,450    
Omnicom Group, Inc.
  0.000%   2/07/31   A-     1,442,750  
  400    
Sinclair Broadcast Group, Inc., Convertible Bonds
  3.000%   5/15/27   B     364,000  
  1,200    
Walt Disney Company, Convertible Senior Notes
  2.125%   4/15/23   A     1,287,000  
 
  11,650    
Total Media
                10,976,283  
 
 
 
                   
 
Metals & Mining – 0.2%
 
 
                   
  3,000    
Gold Reserve, Inc., Convertible Bonds
  5.500%   6/15/22   N/A     2,685,000  
  900    
Newmont Mining Corporation
  1.625%   7/15/17   BBB+     1,103,625  
  50    
Newmont Mining Corp., Senior Convertible Note
  1.625%   7/15/17   BBB     61,313  
 
  3,950    
Total Metals & Mining
                3,849,938  
 
 
 
                   
 
Multiline Retail – 0.0%
 
 
                   
  350    
Saks, Inc., Convertible Bonds
  2.000%   3/15/24   B+     410,375  
 
 
 
                   
 
Oil, Gas & Consumable Fuels – 0.4%
 
 
                   
  1,150    
Chesapeake Energy Corporation, 144A
  2.750%   11/15/35   BB     1,541,000  
  1,400    
Chesapeake Energy Corporation, Convertible Bonds
  2.500%   5/15/37   BB     1,771,000  
  650    
Devon Energy Corporation
  4.900%   8/15/08   BBB+     1,040,000  
  900    
Peabody Energy Corp., Convertible Bond
  4.750%   12/15/66   Ba3     1,026,000  
  1,550    
USEC Inc., Convertible Bond
  3.000%   10/01/14   CCC     908,688  
 
  5,650    
Total Oil, Gas & Consumable Fuels
                6,286,688  
 
 
 
                   
 
Pharmaceuticals – 0.5%
 
 
                   
  700    
Allergan Inc., Convertible Bond
  1.500%   4/01/26   A     775,250  
  1,050    
Bristol-Myers Squibb Company, Convertible Bond
  2.300%   9/15/23   A+     1,046,115  
  900    
Myland Labs, Inc., Convertible Bonds
  1.250%   3/15/12   B+     752,625  
  695    
Teva Pharmaceutical Finance, Series A
  0.500%   2/01/24   BBB+     866,144  
  900    
Teva Pharmaceutical Finance, Series B
  0.250%   2/01/24   BBB+     1,227,375  
  1,050    
Watson Pharmaceuticals Inc., Convertible Bond
  1.750%   3/15/23   BB+     1,015,875  
  1,850    
Wyeth, Convertible Bond
  3.581%   1/15/24   A+     1,864,745  
 
  7,145    
Total Pharmaceuticals
                7,548,129  
 
 
 
                   
 
Real Estate – 0.8%
 
 
                   
  1,450    
Boston Properties Limited Partnership, Convertible Bonds, 144A
  2.875%   2/15/37   A-     1,377,500  
  650    
Brandywine Operating Partnership, Convertible Bonds
  3.875%   10/15/26   BBB-     554,125  
  750    
BRE Properties Inc., Convertible Bond
  4.125%   8/15/26   BBB     697,500  
  1,050    
Developers Diversified Realty Corporation, Convertible Bonds
  3.000%   3/15/12   BBB     892,500  
  700    
Duke Realty Corporation, Series D
  3.750%   12/01/11   BBB+     614,250  
  450    
Health Care REIT, Inc., Convertible Bonds
  4.750%   12/01/26   Baa2     491,625  
  800    
Hospitality Properties Trust, Convertible Bonds
  3.800%   3/15/27   BBB     712,000  
  700    
Host Hotels & Resorts Inc, Convertible Bonds, 144A
  2.625%   4/15/27   BB     589,750  
  900    
Host Marriott LP, Convertible Bonds, 144A
  3.250%   4/15/24   Ba1     1,010,250  
  2,200    
Prologis, Convertible Bonds, 144A
  2.250%   4/01/37   BBB+     2,098,250  
  1,900    
Prologis, Convertible Bonds, 144A
  1.875%   11/15/37   BBB+     1,719,500  
  900    
Vornado Realty Trust, Convertible Bonds
  2.850%   4/01/27   BBB     768,374  
  900    
Weingarten Realty Investment Trust, Convertible Bonds
  3.950%   8/01/26   BBB+     862,874  
 
  13,350    
Total Real Estate
                12,388,498  
 
 
 
                   
 
Road & Rail – 0.0%
 
 
                   
  150    
CSX Corporation
  0.000%   10/30/21   BBB-     299,063  
 
 
 
                   
 
Semiconductors & Equipment – 0.6%
 
 
                   
  1,400    
Advanced Micro Devices, Inc., Convertible Bonds
  5.750%   8/15/12   B     993,999  
  550    
Advanced Micro Devices, Inc., Convertible Bonds
  5.750%   8/15/12   B     390,499  
  1,400    
Advanced Micro Devices, Inc., Convertible Bonds
  6.000%   5/01/15   B     887,249  
  1,250    
Advanced Micro Devices, Inc., Convertible Bonds
  6.000%   5/01/15   B     792,187  
  2,150    
Intel Corporation, Convertible Bond
  2.950%   12/15/35   A-     2,120,437  
  3,500    
Qimonda Finance LLC, Convertible Bond
  6.750%   3/22/13   N/A     3,193,749  
  1,000    
Xilinx Inc., Convertible Bond, 144A
  3.125%   3/15/37   BB     907,499  
  350    
Xilinx Inc., Convertible Bond, 144A
  3.125%   3/15/37   BB     317,624  
 
  11,600    
Total Semiconductors & Equipment
                9,603,243  
 
 
 
                   
 
Software – 0.1%
 
 
                   
  750    
Amdocs Limited
  0.500%   3/15/24   BBB-     746,249  
  600    
Computer Associates International Inc., Convertible Bond, Series 144A
  1.625%   12/15/09   Ba1     740,249  
  700    
Red Hat Inc., Convertible Bond
  0.500%   1/15/24   BB-     693,874  
 
  2,050    
Total Software
                2,180,372  
 
 
 
                   
 
Specialty Retail – 0.1%
 
 
                   
  750    
TJX Companies, Inc.
  0.000%   2/13/21   A-     838,125  
 
 
 
                   
 
Textiles, Apparel & Luxury Goods – 0.0%
 
 
                   
  400    
Iconix Brand Group, Inc., Convertible Notes
  1.875%   6/30/12   B     364,500  
 
 
 
                   
 
Thrifts & Mortgage Finance – 0.1%
 
 
                   
  2,150    
Countrywide Financial Corporation, Convertible Bonds, 144A
  0.498%   4/15/37   BBB+     1,913,500  
 
 
 
                   
 
Wireless Telecommunication Services – 0.1%
 
 
                   
  450    
American Tower Corporation
  3.000%   8/15/12   BB+     887,062  
  950    
Liberty Media Corporation Convertible Bonds
  3.750%   2/15/30   BB+     470,249  
 
  1,400    
Total Wireless Telecommunication Services
                1,357,311  
 
$ 153,016    
Total Convertible Bonds (cost $158,306,568)
                153,733,233  
 
                             
Principal                        
Amount (000)     Description (1)   Coupon   Maturity   Ratings (3)   Value  
 
 
 
                   
 
Corporate Bonds – 9.4% (5.9% of Total Investments)
 
 
                   
 
Aerospace & Defense – 0.1%
 
 
                   
$ 1,000    
Hexcel Corporation, Term Loan
  6.750%   2/01/15   B+   $ 972,500  
 
 
 
                   
 
Auto Components – 0.0%
 
 
                   
  800    
Keystone Automotive Operations Inc.
  9.750%   11/01/13   CCC     452,000  
 
 
 
                   
 
Capital Markets – 0.0%
 
 
                   
  500    
LVB Acquisition Merger LLC
  10.000%   10/15/17   B-     526,250  
 
 
 
                   
 
Chemicals – 0.2%
 
 
                   
  1,000    
Momentive Performance Materials
  9.750%   12/01/14   B     902,500  
  3,000    
Rockwood Specialties Group Inc., Series WI
  7.500%   11/15/14   BB-     2,925,000  
 
  4,000    
Total Chemicals
                3,827,500  
 
 
 
                   
 
Containers & Packaging – 0.4%
 
 
                   
  3,000    
Owens-Brockway Glass Containers, Guaranteed Senior Note
  8.250%   5/15/13   BB     3,120,000  
  3,000    
Owens-Illinois Inc.
  7.500%   5/15/10   B+     3,082,500  
 
  6,000    
Total Containers & Packaging
                6,202,500  
 
 
 
                   
 
Diversified Telecommunication Services – 0.3%
 
 
                   
  2,000    
Intelsat Subsidiary Holding Company Limited
  8.500%   1/15/13   BB-     2,025,000  
  1,950    
PanAmSat Corporation
  9.000%   8/15/14   BB-     1,974,375  
  750    
Syniverse Technologies Inc., Series B
  7.750%   8/15/13   B     710,625  
 
  4,700    
Total Diversified Telecommunication Services
                4,710,000  
 
 
 
                   
 
Electric Utilities – 0.1%
 
 
                   
  1,000    
Sierra Pacific Resources, Series 2006
  6.750%   8/15/17   BB-     969,342  
 
 
 
                   
 
Energy Equipment & Services – 0.2%
 
 
                   
  2,500    
Pride International Inc.
  7.375%   7/15/14   BB+     2,612,500  
 
 
 
                   
 
Food & Staples Retailing – 0.1%
 
 
                   
  2,000    
Stater Brothers Holdings Inc.
  8.125%   6/15/12   B+     2,015,000  
 
 
 
                   
 
Food Products – 0.4%
 
 
                   
  4,110    
Del Monte Corporation
  8.625%   12/15/12   B+     4,202,475  
  1,096    
Dole Foods Company
  8.625%   5/01/09   CCC+     959,000  
  2,700    
Dole Foods Company
  7.875%   7/15/13   CCC+     2,038,500  
 
  7,906    
Total Food Products
                7,199,975  
 
 
 
                   
 
Health Care Providers & Services – 0.5%
 
 
                   
  3,000    
Community Health Systems, Inc.
  8.875%   7/15/15   B     3,026,250  
  1,700    
HCA Inc.
  9.125%   11/15/14   BB-     1,755,250  
  700    
HCA Inc.
  9.250%   11/15/16   BB-     728,000  
  3,000    
US Oncology Inc.
  10.750%   8/15/14   B3     2,977,500  
 
  8,400    
Total Health Care Providers & Services
                8,487,000  
 
 
 
                   
 
Hotels, Restaurants & Leisure – 1.1%
 
 
                   
  4,075    
Boyd Gaming Corporation
  7.750%   12/15/12   BB     3,789,750  
  1,650    
Jacobs Entertainment Inc.
  9.750%   6/15/14   B     1,245,750  
  2,000    
Landry’s Restaurants Inc.
  9.500%   12/15/14   B3     1,960,000  
  1,000    
Park Place Entertainment
  7.875%   3/15/10   B-     942,500  
  2,000    
Pinnacle Entertainment Inc.
  8.250%   3/15/12   B+     1,895,000  
  3,000    
Pinnacle Entertainment Inc.
  8.750%   10/01/13   B+     2,970,000  
  1,750    
Seminole Hard Rock Entertainment, Inc.
  5.500%   3/15/14   BB     1,395,625  
  4,000    
Universal City Development Partners
  11.750%   4/01/10   B+     4,120,000  
 
  19,475    
Total Hotels, Restaurants & Leisure
                18,318,625  
 
 
 
                   
 
Independent Power Producers & Energy Traders – 0.1%
 
 
                   
  500    
Mirant North America LLC
  7.375%   12/31/13   B1     507,500  
  600    
NRG Energy Inc.
  7.250%   2/01/14   B1     594,000  
  600    
NRG Energy Inc.
  7.375%   2/01/16   B1     589,500  
 
  1,700    
Total Independent Power Producers & Energy Traders
                1,691,000  
 
 
 
                   
 
IT Services – 0.6%
 
 
                   
  3,500    
First Data Corporation
  9.875%   9/24/15   B     2,883,125  
  1,950    
Global Cash Access LLC
  8.750%   3/15/12   B     1,925,625  
  4,750    
Sungard Data Systems Inc.
  9.125%   8/15/13   B+     4,821,250  
 
  10,200    
Total IT Services
                9,630,000  
 
 
 
                   
 
Machinery – 0.2%
 
 
                   
  3,000    
Greenbrier Companies, Inc.
  8.375%   5/15/15   B     2,835,000  
 
 
 
                   
 
Media – 1.9%
 
 
                   
  6,900    
Allbritton Communications Company, Series B
  7.750%   12/15/12   B+     6,796,500  
  2,000    
AMC Entertainment Inc.
  8.000%   3/01/14   B2     1,705,000  
  5,000    
Cablevision Systems Corporation, Series B
  8.125%   8/15/09   BB     5,062,500  
  3,000    
Cablevision Systems Corporation
  7.250%   7/15/08   BB     3,007,500  
  2,000    
Cablevision Systems Corporation
  8.125%   7/15/09   BB     2,025,000  
  2,000    
Charter Communications Operating LLC, 144A
  8.000%   4/30/12   B-     1,845,000  
  1,000    
Dex Media West LLC
  8.500%   8/15/10   BB-     977,500  
  2,198    
Dex Media West LLC
  9.875%   8/15/13   BB-     1,917,755  
  4,000    
Medianews Group Inc.
  6.375%   4/01/14   B3     1,880,000  
  4,000    
R.H. Donnelley Corporation
  8.875%   10/15/17   B     2,520,000  
  3,500    
Young Broadcasting Inc., Senior Subordinated Note
  10.000%   3/01/11   Caa2     2,213,750  
  2,000    
Young Broadcasting Inc.
  8.750%   1/15/14   Caa2     1,190,000  
 
  37,598    
Total Media
                31,140,505  
 
 
 
                   
 
Metals & Mining – 0.3%
 
 
                   
  5,200    
MagIndustries Corporation
  11.000%   12/14/12   N/A     4,894,978  
 
 
 
                   
 
Multi-Utilities – 0.2%
 
 
                   
  2,400    
Dynegy Holdings, Inc., Term Loan
  8.375%   5/01/16   B     2,388,000  
  500    
Northwestern Corporation
  5.875%   11/01/14   A-     504,581  
 
  2,900    
Total Multi-Utilities
                2,892,581  
 
 
 
                   
 
Oil, Gas & Consumable Fuels – 0.7%
 
 
                   
  600    
Chaparral Energy Inc.
  8.500%   12/01/15   CCC+     525,000  
  4,345    
Chesapeake Energy Corporation
  7.750%   1/15/15   BB     4,497,075  
  1,000    
Hilcorp Energy I LP/Hilcorp Finance Company, Series 144A
  7.750%   11/01/15   B+     942,500  
  2,000    
Premcor Refining Group Inc.
  7.500%   6/15/15   BBB     2,094,382  
  3,000    
SemGroup LP, 144A
  8.750%   11/15/15   B1     2,760,000  
  1,500    
Whiting Petroleum Corporation
  7.000%   2/01/14   B1     1,492,500  
 
  12,445    
Total Oil, Gas & Consumable Fuels
                12,311,457  
 
 
 
                   
 
Paper & Forest Products – 0.4%
 
 
                   
  5,000    
Georgia-Pacific Corporation
  8.125%   5/15/11   B+     4,987,500  
  2,000    
Georgia-Pacific Corporation
  7.700%   6/15/15   B+     1,890,000  
 
  7,000    
Total Paper & Forest Products
                6,877,500  
 
 
 
                   
 
Personal Products – 0.1%
 
 
                   
  1,600    
Prestige Brands Inc.
  9.250%   4/15/12   B-     1,552,000  
 
 
 
                   
 
Real Estate – 0.3%
 
 
                   
  3,000    
Felcor Lodging Trust Inc., 144A
  6.788%   12/01/11   Ba3     2,662,500  
  1,000    
Trustreet Properties, Inc., (8)
  7.500%   4/01/15   AAA     1,090,314  
  500    
Ventas Realty LP, Series WI
  7.125%   6/01/15   BBB-     498,750  
 
  4,500    
Total Real Estate
                4,251,564  
 
 
 
                   
 
Semiconductors & Equipment – 0.2%
 
 
                   
  2,400    
Avago Technologies Finance Pte Limited
  10.375%   12/01/13   BB-     2,544,000  
  2,000    
NXP BV
  7.008%   10/15/13   BB-     1,657,500  
 
  4,400    
Total Semiconductors & Equipment
                4,201,500  
 
 
 
                   
 
Software – 0.2%
 
 
                   
  3,250    
Telcorida Technologies, Inc.
  6.514%   7/15/12   B     2,486,250  
 
 
 
                   
 
Specialty Retail – 0.5%
 
 
                   
  1,000    
Quiksilver Inc.
  6.875%   4/15/15   Ba3     810,000  
  7,000    
Warnaco Inc., Senior Notes
  8.875%   6/15/13   BB     7,280,000  
 
  8,000    
Total Specialty Retail
                8,090,000  
 
 
 
                   
 
Textiles, Apparel & Luxury Goods – 0.2%
 
 
                   
  4,000    
Jostens IH Corporation
  7.625%   10/01/12   B+     3,910,000  
 
 
 
                   
 
Wireless Telecommunication Services – 0.1%
 
 
                   
  1,500    
IPCS, Inc.
  5.364%   5/01/13   B1     1,162,500  
 
$ 165,574    
Total Corporate Bonds (cost $168,251,380)
                154,220,027  
 
                             
Principal                        
Amount (000)/                        
Shares     Description (1)   Coupon   Maturity   Ratings (3)   Value  
 
 
 
                   
 
Capital Preferred Securities – 28.3% (17.7% of Total Investments)
 
 
                   
 
Capital Markets – 2.7%
 
 
                   
  1,250    
C.A. Preferred Fund Trust II
  7.000%   10/30/49   A1   $ 1,152,913  
  26,850    
C.A. Preferred Funding Trust
  7.000%   1/30/49   A1     22,917,739  
  12,400    
Dresdner Funding Trust I, 144A
  8.151%   6/30/31   A1     10,988,657  
  3,500    
First Union Capital Trust II, Series A
  7.950%   11/15/29   A1     3,606,694  
  6,700    
Kleinwort Benson Group PLC
  5.377%   12/31/99   N/A     3,115,500  
  2,200    
MUFG Capital Finance, (2)
  4.850%   7/25/56   BBB+     2,463,505  
 
       
Total Capital Markets
                44,245,008  
         
 
 
                   
 
Commercial Banks – 15.9%
 
 
                   
  2,000    
AB Svensk Exportkredit, 144A
  6.375%   10/27/49   AA-     1,994,558  
  7,600    
Abbey National Capital Trust I
  8.963%   6/30/50   A+     9,018,183  
  41,600    
AgFirst Farm Credit Bank
  7.300%   12/15/53   A-     39,041,642  
  13,070    
Bank One Capital III
  8.750%   9/01/30   Aa3     14,586,277  
  2,600    
BankAmerica Institutional Capital Trust, Series B, 144A
  7.700%   12/31/26   Aa2     2,604,906  
  1,000    
BanPonce Trust I, Series A
  8.327%   2/01/27   Baa1     981,035  
  4,000    
Barclays Bank PLC, 144A
  8.550%   6/15/49   Aa3     4,185,500  
  1,000    
Barclays Bank PLC
  7.434%   12/15/57   Aa3     905,585  
  2,500    
BBVA International Prefered S.A., Unipersonal
  5.919%   10/18/49   A1     1,976,780  
  4,000    
BNP Paribas
  7.195%   12/25/57   AA-     3,552,648  
  1,000    
Capital One Capital IV Corporation
  6.745%   2/17/37   Baa1     715,794  
  2,000    
CBG Florida REIT Corporation
  7.114%   11/15/49   BB+     1,135,668  
  10,100    
DBS Capital Funding Corporation, 144A
  7.657%   3/15/49   Aa3     10,158,348  
  1,900    
Den Norske Bank, 144A
  7.729%   6/29/49   Aa3     1,915,054  
  5,750    
First Empire Capital Trust I
  8.234%   2/01/27   A3     5,874,229  
  4,250    
First Midwest Bancorp Inc.
  6.950%   12/01/33   Baa1     3,330,980  
  750    
HBOS Capital Funding LP, Notes
  6.850%   3/23/49   A1     525,851  
  23,900    
HBOS PLC, Series 144A
  6.413%   4/01/49   A1     17,162,016  
  6,000    
HBOS PLC, Series 144A
  6.657%   11/21/57   A1     4,297,752  
  12,838    
HSBC Capital Funding LP, 144A
  9.547%   12/31/49   A1     13,805,292  
  14,000    
HSBC Capital Funding LP, Debt
  10.176%   6/30/50   A1     16,808,666  
  15,905    
KBC Bank Fund Trust III, 144A
  9.860%   5/02/50   A1     17,221,059  
  4,000    
KeyCorp Capital III
  7.750%   7/15/29   A3     3,648,768  
  5,000    
Lloyds TSB Bank PLC, Subordinated Note
  6.900%   11/22/49   Aa2     4,782,100  
  4,000    
Mizuho Financial Group
  8.375%   4/27/49   Aa3     3,986,200  
  1,000    
Nordbanken AB, 144A
  8.950%   11/29/49   Aa3     1,056,265  
  10,000    
North Fork Capital Trust II
  8.000%   12/15/27   Baa1     8,649,590  
  6,000    
Northgroup Preferred Capital Corporation, 144A
  6.378%   10/15/57   A1     4,475,676  
  8,000    
PNC Preferred Funding Trust III, (9)
  8.700%   3/15/58   A-     7,720,000  
  2,000    
Reliance Capital Trust I, Series B
  8.170%   5/01/28   N/R     1,722,320  
  6,200    
Royal Bank of Scotland Group PLC
  9.118%   3/31/49   Aa3     6,257,449  
  3,500    
Shinsei Finance II Cayman Limited, Perpetual Maturity, 144A
  7.160%   7/25/49   Baa2     2,528,750  
  3,100    
Standard Chartered PLC, 144A
  6.409%   1/30/57   BBB+     2,550,894  
  11,700    
Standard Chartered PLC, 144A
  7.014%   1/30/58   BBB+     10,214,650  
  14,700    
Swedbank ForeningsSparbanken AB, 144A
  9.000%   9/17/50   Aa3     14,802,959  
  15,290    
Unicredito Italiano Capital Trust, 144A
  9.200%   4/05/51   A1     15,073,463  
  600    
Union Bank of Norway
  7.068%   11/19/49   A2     947,676  
 
       
Total Commercial Banks
                260,214,583  
         
 
 
                   
 
Diversified Financial Services – 2.6%
 
 
                   
  4,800    
Fulton Capital Trust I
  6.290%   2/01/36   A3     3,475,680  
  18,600    
JPMorgan Chase Capital Trust XVIII
  6.950%   8/17/36   Aa3     17,182,420  
  23,600    
Old Mutual Capital Funding, Notes
  8.000%   6/22/53   Baa2     22,302,000  
 
       
Total Diversified Financial Services
                42,960,100  
         
 
 
                   
 
Diversified Telecommunication Services – 1.1%
 
 
                   
  19    
Centaur Funding Corporation, Series B, 144A
  9.080%   4/21/20   BBB     18,036,563  
 
 
 
                   
 
Insurance – 4.5%
 
 
                   
  2,000    
Allstate Corporation
  6.500%   5/15/57   A2     1,651,836  
  4,000    
AMBAC Financial Group Inc.
  6.150%   2/15/87   A+     1,524,600  
  10,000    
American General Capital II
  8.500%   7/01/30   Aa3     11,203,500  
  4,980    
American General Institutional Capital, 144A
  8.125%   3/15/46   Aa3     5,233,801  
  9,800    
AXA S.A., 144A
  6.463%   12/14/49   BBB+     7,879,768  
  750    
Great West Life and Annuity Insurance Company
  7.153%   5/16/46   A-     679,082  
  3,500    
Liberty Mutual Group
  7.800%   3/15/37   Baa3     2,958,256  
  1,600    
MetLife Inc.
  6.400%   12/15/66   BBB+     1,275,056  
  1,550    
Nationwide Financial Services Capital Trust
  7.899%   3/01/37   Baa1     1,433,311  
  4,000    
Nationwide Financial Services Inc.
  6.750%   5/15/67   Baa1     3,338,300  
  7,600    
Oil Insurance Limited, 144A
  7.558%   12/30/49   Baa1     6,647,332  
  3,800    
Progressive Corporation
  6.700%   6/15/37   A2     3,389,938  
  1,000    
Prudential PLC
  6.500%   6/29/49   A     840,171  
  9,000    
QBE Capital Funding Trust II, 144A
  6.797%   6/01/49   BBB     8,166,897  
  22,200    
XL Capital, Limited
  6.500%   10/15/57   BBB     16,665,940  
 
       
Total Insurance
                72,887,788  
         
 
 
                   
 
Real Estate Investment Trust – 0.0%
 
 
                   
  4    
PS Business Parks Inc., Series M
  7.200%   3/30/55   BBB-     83,600  
 
 
 
                   
 
Road & Rail – 0.4%
 
 
                   
  7,600    
Burlington Northern Santa Fe Funding Trust I
  6.613%   12/15/55   BBB     6,921,236  
 
 
 
                   
 
Thrifts & Mortgage Finance – 1.1%
 
 
                   
  1,000    
Caisse Nationale Des Caisses d’Epargne et de Prevoyance
  6.750%   1/27/49   A+     976,640  
  25,600    
Washington Mutual Preferred Funding Cayman, Series A-1, 144A
  7.250%   3/15/49   BB+     16,271,025  
  1,000    
Washington Mutual Preferred Funding Trust II
  6.665%   3/15/57   BB+     540,749  
 
       
Total Thrifts & Mortgage Finance
                17,788,414  
         
       
Total Capital Preferred Securities (cost $551,717,284)
                463,137,292  
         
                             
Shares     Description (1)               Value  
 
 
 
                   
 
Investment Companies – 2.4% (1.5% of Total Investments)
 
 
                   
  99,306    
Blackrock Preferred and Corporate Income Strategies Fund
              $ 1,475,687  
  751,883    
Blackrock Preferred Income Strategies Fund
                11,421,103  
  88,292    
Blackrock Preferred Opportunity Trust
                1,454,169  
  753,964    
Flaherty and Crumrine/Claymore Preferred Securities Income Fund Inc.
                11,188,826  
  109,139    
Flaherty and Crumrine/Claymore Total Return Fund Inc.
                1,712,391  
  84,688    
John Hancock Preferred Income Fund
                1,595,522  
  63,914    
John Hancock Preferred Income Fund II
                1,214,366  
  540,883    
John Hancock Preferred Income Fund III
                9,314,005  
 
 
Total Investment Companies (cost $50,705,066)
                39,376,069  
         
                             
Shares     Description (1)               Value  
 
 
 
                   
 
Warrants – 0.0% (0.0% of Total Investments)
 
 
                   
  910,000    
MagIndustries Corporation
              $ 755,785  
 
 
Total Warrants (cost $396,211)
                755,785  
         
 
 
                   
                             
Principal                        
Amount (000)     Description (1)   Coupon   Maturity       Value  
 
 
 
                   
 
Short-Term Investments – 8.0% (5.0% of Total Investments)
 
 
                   
$ 67,361    
Repurchase Agreement with Fixed Income Clearing Corporation, dated 3/31/08, repurchase price $67,363,292, collateralized by $30,810,000 U.S. Treasury Bonds, 8.750%, due 8/15/20, value $45,444,750 and $17,345,000 U.S. Treasury Bonds, 6.875%, due 8/15/25, value $23,263,981
  1.100%   4/01/08       $ 67,361,234  
64,949    
Repurchase Agreement with Fixed Income Clearing Corporation, dated 3/31/08, repurchase price $64,950,972, collateralized by $52,530,000 U.S. Treasury Bonds, 6.125%, due 8/15/29, value $66,253,463
  1.100%   4/01/08       64,948,987  
 
$ 132,310    
Total Short-Term Investments (cost $132,310,221)
                132,310,221  
 
 
Total Investments (cost $2,896,542,679) – 160.1%
                2,623,061,067  
         
                             
Shares     Description (1)               Value  
 
 
 
                   
 
Common Stocks Sold Short – (0.6)%
 
 
                   
 
Beverages – 0.1%
 
 
                   
  (20,900 )  
Hansen Natural Corporation, (2)
              $ (737,770 )
 
 
 
                   
 
Computers & Peripherals – (0.0)%
 
 
                   
  (4,500 )  
Apple, Inc., (2)
                (645,750 )
 
 
 
                   
 
Health Care Equipment & Supplies – 0.1%
 
 
                   
  (10,700 )  
Alcon Inc.
                (1,522,075 )
  (9,000 )  
Chattem Inc., (2)
                (597,060 )
 
 
Total Health Care Equipment & Supplies
                (2,119,135 )
   
 
 
                   
 
Hotels, Restaurants & Leisure – (0.0)%
 
 
                   
  (17,600 )  
Tim Hortons Inc.
                (599,280 )
 
 
 
                   
 
Household Products – (0.1)%
 
 
                   
  (10,000 )  
Procter & Gamble Company
                (700,700 )
 
 
 
                   
 
Internet Software & Services – (0.1)%
 
 
                   
  (31,300 )  
Bankrate Inc., (2)
                (1,561,557 )
 
 
 
                   
 
Pharmaceuticals – (0.1)%
 
 
                   
  (26,600 )  
Allergan, Inc.
                (1,499,974 )
 
 
 
                   
 
Specialty Retail – (0.1)%
 
 
                   
  (11,600 )  
AutoZone, Inc., (2)
                (1,320,428 )
  (20,100 )  
Urban Outfitters, Inc., (2)
                (630,135 )
 
 
Total Specialty Retail
                (1,950,563 )
   
 
Total Common Stocks Sold Short (proceeds $10,935,462)
                (9,814,729 )
   
                                     
            Notional     Expiration   Strike        
Contracts     Type   Amount (10)     Date   Price     Value  
 
 
 
                   
 
Call Options Written – (0.6)%
                           
 
 
                   
  (3,777 )  
Allied Waste Industries, Inc.
  $ (3,777,000 )   1/17/09   $ 10.0     $ (670,417 )
  (664 )  
Allied Waste Industries, Inc.
    (830,000 )   1/17/09     12.5       (43,160 )
  (388 )  
Amgen, Inc.
    (1,940,000 )   4/19/08     50.0       (1,940 )
  (603 )  
Amgen, Inc.
    (3,316,500 )   1/17/09     55.0       (81,405 )
  (1,386 )  
AngloGold Ashanti Limited
    (5,544,000 )   1/17/09     40.0       (450,450 )
  (750 )  
AstraZeneca Group
    (3,375,000 )   7/19/08     45.0       (52,500 )
  (1,048 )  
AstraZeneca Group
    (5,240,000 )   1/17/09     50.0       (75,980 )
  (3,280 )  
BJ Services Company
    (7,380,000 )   1/17/09     22.5       (2,476,400 )
  (1,231 )  
BP Amoco, PLC
    (8,617,000 )   1/17/09     70.0       (301,595 )
  (900 )  
eBay Inc.
    (2,700,000 )   1/17/09     30.0       (405,000 )
  (1,400 )  
Electronic Data Systems Corporation
    (2,800,000 )   1/17/09     20.0       (126,000 )
  (1,430 )  
Gold Fields Limited
    (2,502,500 )   7/19/08     17.5       (85,800 )
  (433 )  
KT Corporation
    (1,082,500 )   7/19/08     25.0       (69,280 )
  (1,223 )  
LM Ericsson Telefonaktiebolaget
    (2,751,750 )   1/17/09     22.5       (204,853 )
  (650 )  
Microsoft Corporation
    (1,950,000 )   1/17/09     30.0       (161,850 )
  (2,351 )  
Newmont Mining Corporation
    (11,755,000 )   1/17/09     50.0       (1,151,990 )
  (865 )  
Nexen Inc.
    (2,595,000 )   1/17/09     30.0       (358,975 )
  (5,230 )  
Nippon Telegraph & Telephone Corporation
    (13,075,000 )   6/21/08     25.0       (91,525 )
  (1,990 )  
NovaGold Resources, Inc.
    (2,985,000 )   6/21/08     15.0       (29,850 )
  (833 )  
Royal Dutch Shell PLC
    (5,831,000 )   7/19/08     70.0       (245,735 )
  (601 )  
Sanofi-Aventis
    (2,554,250 )   9/20/08     42.5       (63,105 )
  (1,888 )  
Smithfield Foods, Inc.
    (5,664,000 )   1/17/09     30.0       (354,000 )
  (2,000 )  
Statoil ASA
    (5,000,000 )   7/19/08     25.0       (1,060,000 )
  (670 )  
Tech Data Corporation
    (2,680,000 )   1/17/09     40.0       (72,025 )
  (5,094 )  
Tyson Foods, Inc.
    (7,641,000 )   1/17/09     15.0       (1,439,055 )
  (540 )  
UBS AG
    (1,620,000 )   1/17/09     30.0       (291,600 )
  (580 )  
UBS AG
    (2,320,000 )   1/17/09     40.0       (104,400 )
 
  (41,805 )  
Total Call Options Written (premiums received ($12,179,904))
    (117,526,500 )                 (10,468,890 )
 
 
Other Assets Less Liabilities – (0.0)%
                        143,019  
   
 
FundPreferred Shares, at Liquidation Value – (58.9)% (12)
                        (965,000,000 )
   
 
Net Assets Applicable to Common Shares – 100%
                      $ 1,637,920,467  
   
Interest Rate Swaps outstanding at March 31, 2008:
                                         
            Fund               Fixed Rate       Unrealized  
    Notional     Pay/Receive   Floating Rate   Fixed Rate     Payment   Termination   Appreciation  
Counterparty   Amount     Floating Rate   Index   (Annualized)     Frequency   Date   (Depreciation)  
 
JPMorgan Chase
  $ 97,000,000     Receive   1-Month USD-LIBOR     3.360%     Monthly   1/23/09   $ (754,657 )
 
USD-LIBOR (United States Dollar-London Inter-Bank Offered Rate)
     
 (1)  
All percentages shown in the Portfolio of Investments are based on net assets applicable to Common shares unless otherwise noted.
   
 
 (2)  
Non-income producing.
   
 
 (3)  
Ratings: Using the higher of Standard & Poor’s Group (“Standard & Poor’s”) or Moody’s Investor Service, Inc. (“Moody’s”) rating. Ratings below BBB by Standard & Poor’s or Baa by Moody’s are considered to be below investment grade.
   
 
 (4)  
Senior Loans generally are subject to mandatory and/or optional prepayment. Because of these mandatory prepayment conditions and because there may be significant economic incentives for a Borrower to prepay, prepayments of Senior Loans may occur. As a result, the actual remaining maturity of Senior Loans held may be substantially less than the stated maturities shown.
   
 
 (5)  
Senior Loans generally pay interest at rates which are periodically adjusted by reference to a base short-term, floating lending rate plus an assigned fixed rate. These floating lending rates are generally (i) the lending rate referenced by the London Inter-Bank Offered Rate (“LIBOR”), or (ii) the prime rate offered by one or more major United States banks.
   
 
   
Senior Loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the Agent Bank and/or Borrower prior to the disposition of a Senior Loan.
   
 
 (6)  
Position or portion of position represents an unfunded Senior Loan commitment outstanding at March 31, 2008.
   
 
 (7)  
Negative value represents unrealized depreciation on unfunded Senior Loan commitment outstanding at March 31, 2008.
   
 
 (8)  
Portion of investment, with an aggregate market value of $763,220, has been pledged to collateralize the net payment obligations under interest rate swap contracts.
   
 
 (9)  
Investment valued at fair value using methods determined in good faith by, or at the discretion of, the Board of Trustees.
   
 
 (10)  
For disclosure purposes, Notional Amount is calculated by multiplying the number of Contracts by the Strike Price by 100.
   
 
 (11)  
Investment has been pledged as collateral to cover call options written.
   
 
 (12)  
FundPreferred Shares, at Liquidation Value as a percentage of total investments is (36.8)%.
   
 
N/A  
Not applicable.
   
 
N/R  
Not rated.
   
 
WI/DD  
Purchased on a when-issued or delayed delivery basis.
   
 
144A  
Investment is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These investments may only be resold in transactions exempt from registration which are normally those transactions with qualified institutional buyers.
   
 
ADR  
American Depositary Receipt.
   
 
CORTS  
Corporate Backed Trust Securities.
   
 
PPLUS  
PreferredPlus Trust.
   
 
SATURNS  
Structured Asset Trust Unit Repackaging.
   
 
TBD  
Senior Loan Purchased on a when-issued or delayed-delivery basis. Certain details associated with this purchase are not known prior to the settlement date of the transaction. In addition, Senior Loans typically trade without accrued interest and therefore a weighted average coupon rate is not available prior to settlement. At settlement, if still unknown, the Borrower or counterparty will provide the Fund with the final weighted average coupon rate and maturity date.
   
 
Fair Value Measurements
During the current fiscal period, the Fund adopted the provisions of Statement of Financial Accounting Standards No. 157, Fair Value Measurements (SFAS 157). SFAS 157 defines fair value, establishes a framework for measuring fair value in generally accepted accounting principles, and expands disclosure about fair value measurements. In determining the value of the Fund’s investments various inputs are used. These inputs are summarized in the three broad levels listed below:
   Level 1 -   Quoted prices in active markets for identical securities.
   Level 2 -   Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
   Level 3 -   Significant unobservable inputs (including management’s assumptions in determining the fair value of investments).
The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities.
The following is a summary of the Fund’s fair value measurements as of March 31, 2008:
                                 
      Level 1     Level 2     Level 3     Total    
 
Investments
  $ 1,422,344,121     $ 1,192,996,946     $ 7,720,000     $ 2,623,061,067    
Derivatives*
    -       (754,657 )     -       (754,657 )  
Securities sold short
    (9,814,729 )     -       -       (9,814,729 )  
Call options written
    (10,468,890 )     -       -       (10,468,890 )  
 
Total
  $ 1,402,060,502     $ 1,192,242,289     $ 7,720,000     $ 2,602,022,791    
 
* Represents net unrealized appreciation (depreciation).
The following is a reconciliation of the Fund’s Level 3 investments held at the beginning and end of the measurement period:
         
    Level 3  
    Investments  
 
Balance as of December 31, 2007
  $ 5,625,849  
Gains (losses):
            
Net realized gains (losses)
          -  
Net change in unrealized appreciation (depreciation)
    (271,870 )
Net purchases at cost (sales at proceeds)
    8,000,000  
Net discounts (premiums)
    16,784  
Net transfers in to (out of) at end of period fair value
    (5,650,763 )
 
Balance as of March 31, 2008
  $ 7,720,000  
 
Income Tax Information
The following information is presented on an income tax basis. Differences between amounts for financial statement and federal income tax purposes are primarily due to the recognition of premium amortization, timing differences in the recognition of income on REIT investments and timing differences in recognizing certain gains and losses on investment transactions. To the extent that differences arise that are permanent in nature, such amounts are reclassified within the capital accounts on the Statement of Assets and Liabilities presented in the annual report, based on their federal tax basis treatment; temporary differences do not require reclassification. Temporary and permanent differences do not impact the net asset value of the Fund.
At March 31, 2008, the cost of investments was $2,901,107,844.
Gross unrealized appreciation and gross unrealized depreciation of investments at March 31, 2008, were as follows:
         
 
 
       
Gross unrealized:
       
Appreciation
  $ 54,550,964  
Depreciation
    (332,597,741 )
 
       
 
 
       
Net unrealized appreciation (depreciation) of investments
  $ (278,046,777 )
 
       
 


Table of Contents

Item 2. Controls and Procedures.
  a.   The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of this report that includes the disclosure required by this paragraph, based on their evaluation of the controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rule 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934 (17 CFR 240.13a-15(b) or 240.15d-15(b)).
 
  b.   There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.
Item 3. Exhibits.
File as exhibits as part of this Form a separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)), exactly as set forth below: EX-99 CERT Attached hereto.

 


Table of Contents

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
(Registrant)   Nuveen Multi-Strategy Income and Growth Fund 2
         
     
By (Signature and Title)*  /s/ Kevin J. McCarthy    
  Kevin J. McCarthy  
  Vice President and Secretary   
 
Date May 30, 2008
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
         
     
By (Signature and Title)*  /s/ Gifford R. Zimmerman    
  Gifford R. Zimmerman   
  Chief Administrative Officer (principal executive officer)   
 
Date May 30, 2008
         
     
By (Signature and Title)*  /s/ Stephen D. Foy    
  Stephen D. Foy   
  Vice President and Controller (principal financial officer)   
 
Date May 30, 2008
 
*   Print the name and title of each signing officer under his or her signature.