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08. US Bond Index

Data as of

About the Index

(1) Taxable Bond Funds groupings according to CEFdata.com. (2) Removing funds with US / Non US Equity allocations over 5% each. (3) US Bond allocation over 80%. (4) 1 Year Trailing Income dividend classification over 80%. (5) 90-day average trade dollar $ liquidity over $250K. Equal weight each fund for the index. The index constituents will be rebalanced each quarter. We manually have removed DXYZ from firm benchmarks.

Index Performance

Current($) Previous Day(%) 1 Week(%) 1 Month(%) 3 Month(%) 6 Month(%) 1 Year(%) 3 Year(%) 5 Year(%) 10 Year(%) MTD(%) QTD(%) YTD(%)
Price 1,557.42 0.25 2.07 -4.28 -4.65 -4.32 7.02 5.81 8.45 5.70 -5.25 -5.25 -4.46
NAV 1,518.14 0.13 0.52 -1.51 -0.81 0.75 7.72 5.04 7.64 5.13 -1.71 -1.71 -0.56
Difference -0.12 -1.55 2.77 3.84 5.06 0.70 -0.77 -0.81 -0.57 3.53 3.53 3.90
* Periods greater than 1 Year are annualized.      ** On Inception Date (12/30/16), Index Price was $1,000 and NAV was $1,000.00
2025 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2025
Price 1.77 0.32 -1.24 0.82 - - - - - - - - - - - - - - -
NAV 1.38 0.81 -1.01 1.17 - - - - - - - - - - - - - - -
Difference -0.38 0.49 0.23 0.35 - - - - - - - - - - - - - - -
2024 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2024
Price 2.60 1.59 1.51 5.80 -1.12 2.69 1.14 2.69 8.65 2.74 1.56 2.44 6.88 -0.92 1.76 -1.13 -0.31 6.55 15.77
NAV 1.00 0.83 1.11 2.97 -0.41 1.36 0.80 1.75 4.77 1.34 1.19 1.41 3.99 -0.12 1.31 0.04 1.23 5.28 10.30
Difference -1.59 -0.76 -0.40 -2.83 0.71 -1.33 -0.33 -0.94 -3.88 -1.40 -0.37 -1.03 -2.89 0.80 -0.45 1.17 1.55 -1.27 -5.46
2023 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2023
Price 8.34 -0.59 -3.66 3.76 1.40 -1.45 3.43 3.36 7.25 3.05 0.11 -1.24 1.89 -2.76 6.19 4.47 7.88 9.92 17.89
NAV 4.51 -0.52 -0.37 3.58 1.23 -0.96 1.82 2.08 5.73 1.75 0.69 -0.22 2.23 -1.21 3.50 3.44 5.76 8.12 14.31
Difference -3.83 0.06 3.29 -0.19 -0.17 0.49 -1.61 -1.28 -1.52 -1.31 0.58 1.02 0.33 1.55 -2.69 -1.04 -2.12 -1.80 -3.57
2022 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2022
Price -4.12 -3.50 -1.22 -8.60 -4.26 -2.49 -5.80 -12.06 -19.62 6.15 -1.04 -8.91 -4.31 2.79 6.72 -4.26 5.02 0.49 -19.23
NAV -1.47 -1.58 -0.93 -3.93 -2.49 -2.25 -6.57 -10.95 -14.45 4.29 -0.17 -4.72 -0.80 1.33 2.45 -0.44 3.36 2.54 -12.28
Difference 2.65 1.91 0.29 4.67 1.78 0.23 -0.78 1.11 5.17 -1.86 0.87 4.19 3.52 -1.46 -4.27 3.83 -1.65 2.05 6.95
2021 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2021
Price 1.61 1.97 2.52 6.22 2.19 1.55 2.09 5.94 12.53 -0.29 1.67 -1.36 -0.01 1.53 -1.34 1.01 1.18 1.17 13.85
NAV 1.16 0.80 0.18 2.15 1.37 0.81 1.12 3.34 5.56 0.33 0.82 0.05 1.20 -0.07 -0.90 1.31 0.32 1.53 7.17
Difference -0.45 -1.17 -2.34 -4.07 -0.82 -0.73 -0.97 -2.60 -6.97 0.62 -0.85 1.42 1.21 -1.60 0.44 0.30 -0.86 0.35 -6.68
2020 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2020
Price 1.51 -5.77 -19.87 -23.35 5.97 6.11 1.78 14.44 -12.29 3.40 1.96 -0.14 5.28 -0.88 8.52 2.54 10.31 16.13 1.86
NAV 0.86 -1.51 -17.75 -18.30 4.67 5.15 2.65 12.98 -7.70 3.62 2.07 -0.07 5.68 0.38 4.95 2.62 8.11 14.26 5.46
Difference -0.65 4.25 2.13 5.05 -1.30 -0.97 0.88 -1.46 4.59 0.22 0.10 0.07 0.40 1.26 -3.57 0.08 -2.19 -1.88 3.60
2019 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2019
Price 7.17 2.74 0.49 10.65 2.46 -0.98 2.54 4.03 15.11 1.30 -0.95 1.79 2.13 0.74 0.81 2.68 4.28 6.50 22.59
NAV 4.07 1.63 0.67 6.47 1.70 -0.41 1.67 2.98 9.64 0.75 -0.22 0.41 0.94 -0.11 0.58 2.04 2.51 3.48 13.46
Difference -3.10 -1.12 0.18 -4.18 -0.76 0.58 -0.87 -1.05 -5.47 -0.54 0.73 -1.38 -1.19 -0.85 -0.23 -0.64 -1.77 -3.02 -9.13
2018 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2018
Price -0.45 -0.53 0.60 -0.38 0.79 0.38 -0.00 1.17 0.79 0.75 0.97 -0.00 1.72 -3.88 -1.16 -3.18 -8.01 -6.43 -5.69
NAV 1.04 -0.60 -0.11 0.32 0.42 0.15 0.09 0.67 0.99 1.15 0.36 0.62 2.14 -1.20 -1.15 -2.50 -4.78 -2.75 -1.78
Difference 1.49 -0.07 -0.71 0.70 -0.37 -0.23 0.10 -0.50 0.20 0.40 -0.61 0.62 0.41 2.68 0.00 0.68 3.23 3.68 3.91
2017 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2017
Price 3.30 1.82 -0.59 4.56 2.28 0.90 0.30 3.51 8.23 1.82 -0.55 1.15 2.43 -0.17 -1.75 1.42 -0.51 1.90 10.29
NAV 1.78 1.33 0.17 3.30 1.15 1.11 0.42 2.70 6.09 1.16 0.28 0.71 2.17 0.68 -0.06 0.48 1.10 3.29 9.59
Difference -1.53 -0.50 0.76 -1.26 -1.13 0.21 0.12 -0.81 -2.14 -0.66 0.83 -0.44 -0.26 0.84 1.69 -0.95 1.61 1.39 -0.70
2016 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2016
Price -2.67 -0.57 7.57 4.10 3.01 1.40 1.62 6.14 10.49 3.98 2.18 0.22 6.48 -0.45 0.22 3.10 2.86 9.53 21.02
NAV -1.71 -0.89 4.00 1.31 3.22 1.06 1.17 5.53 6.92 2.62 1.83 1.31 5.87 0.84 -0.17 1.79 2.48 8.50 16.01
Difference 0.97 -0.33 -3.56 -2.78 0.21 -0.34 -0.45 -0.61 -3.57 -1.36 -0.35 1.09 -0.61 1.29 -0.38 -1.31 -0.38 -1.03 -5.01
2015 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2015
Price 0.92 2.72 -0.43 3.22 1.51 -0.87 -3.47 -2.87 0.26 -1.02 -2.60 -1.92 -5.45 4.10 -1.94 -0.55 1.52 -4.01 -3.76
NAV 0.68 2.15 0.09 2.94 1.35 0.42 -0.99 0.77 3.73 -0.27 -1.54 -2.04 -3.81 1.44 -1.50 -2.48 -2.55 -6.26 -2.77
Difference -0.24 -0.57 0.51 -0.28 -0.16 1.29 2.48 3.63 3.47 0.75 1.06 -0.12 1.64 -2.66 0.44 -1.93 -4.08 -2.26 0.98
2014 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2014
Price 1.43 2.29 -0.03 3.72 1.28 1.07 1.29 3.70 7.55 -2.46 1.32 -2.72 -3.87 0.84 -0.30 -2.11 -1.58 -5.39 1.75
NAV 1.44 1.46 0.45 3.39 0.70 1.18 0.84 2.75 6.23 -0.50 0.93 -1.40 -0.97 0.41 -0.12 -2.06 -1.78 -2.73 3.33
Difference 0.01 -0.82 0.49 -0.32 -0.58 0.11 -0.45 -0.95 -1.32 1.97 -0.38 1.32 2.90 -0.43 0.18 0.05 -0.20 2.66 1.58
2013 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2013
Price 4.65 1.00 0.73 6.47 1.37 -3.93 -2.53 -5.07 1.08 -0.94 -1.93 1.51 -1.39 2.05 -1.44 1.37 1.96 0.54 1.63
NAV 2.21 0.59 1.02 3.86 1.71 -0.32 -2.57 -1.22 2.59 1.63 -0.45 1.11 2.30 2.14 0.51 0.20 2.87 5.24 7.97
Difference -2.44 -0.41 0.29 -2.62 0.34 3.61 -0.04 3.85 1.52 2.57 1.49 -0.40 3.69 0.09 1.96 -1.17 0.91 4.70 6.34
2012 - Monthly Performance (%)
Jan Feb Mar Q1 Apr May Jun Q2 1H Jul Aug Sep Q3 Oct Nov Dec Q4 2H 2012
Price 5.44 2.34 0.07 7.99 1.65 -1.16 2.10 2.58 10.78 3.44 2.48 2.30 8.44 -1.18 -0.49 -0.18 -1.84 6.45 17.92
NAV 3.36 2.52 0.60 6.60 1.03 -1.23 1.58 1.35 8.04 2.38 1.85 2.09 6.46 1.05 0.66 1.12 2.86 9.51 18.31
Difference -2.08 0.17 0.53 -1.39 -0.63 -0.07 -0.53 -1.23 -2.74 -1.06 -0.62 -0.21 -1.98 2.23 1.15 1.30 4.70 3.06 0.39

Performance Chart

Discount

Characteristics

PORTFOLIO
Weighted Average Data
Discount
-3.97%
1Yr Disc
-0.99%
3Yr Disc
-4.63%
5Yr Disc
-4.71%
Rel Disc Range (3yr)
51.68%
Mkt Yield
11.40%
Lev Adj NAV Yield
8.52%
After Tax Yield*
8.67%
Est Tax Friction*
2.73%
3Yr NAV Volatiliy
6.90
1 Yr RoC
10.54%
3 Yr Dest RoC
6.78%
Leverage
28.51%
Non Lev Exp Ratio
2.11%
Beta (2yr)
0.39
Equity Exposure
11.45%
Bond Exposure
86.01%
# Holdings
51
Cash Weighted Duration
2.86
Comp NAV TR
0.13%
Comp Discount
0.40%
Net Assets (M)
443
Liquidity - 90d (K)
2,760
* Based on marginal tax rates of 25% and long-term capital gains rates of 15%.

Asset Allocation

Asset Allocation as reported by each fund's sponsor as of the last reporting period.

Constituents


51 Funds

Ticker Name Sponsor Allocation Discount Market Yield RoC(1yr) Leverage Net Assets Liquidity (90d)
ARDC Ares Dyn Cr Alloc Fd Ares 1.94 -6.03 10.20 0.00 38.55 323 1,602
AWF AB Glbl Hi Incm Fd AllianceBernstein 1.95 -7.66 7.76 0.00 17.10 946 2,552
BANX ArrowMark Fin Corp ArrowMark 1.99 -8.17 8.89 0.00 23.18 157 423
BGB Blackstone Stgc Cr 2027 Trm Fd Blackstone 1.97 -6.35 9.28 0.00 37.27 549 2,383
BGH Barings Glbl Srt Dur Hi Yld Fd Barings 1.94 -7.31 10.42 0.00 27.66 305 1,181
BGX Blackstone Lng-Srt Cr Incm Fd Blackstone 1.98 -7.23 8.75 0.00 32.43 162 916
BLW BR Ltd Dur Incm Tr BlackRock 1.96 -0.81 10.14 18.57 38.75 515 1,703
BSL Blackstone Sr Flt Rt 2027 Trm Fd Blackstone 2.03 -1.98 8.39 0.00 32.23 184 806
CCIF Carlyle Cr Incm Fd Carlyle Glbl Cr Inv Mgmt 2.06 -3.58 18.72 0.00 31.13 127 1,177
CIK CS Ast Mgmt Incm Fd Credit Suisse 1.93 -5.26 10.00 0.00 25.81 156 1,903
DHF BNY Mellon Hi Yld Stgs Fd BNY Mellon 1.96 -10.11 8.75 0.00 26.70 194 873
DHY CS Hi Yld Bnd Fd Credit Suisse 1.92 -6.19 9.44 0.00 26.61 218 857
DLY DbLin Yld Opp Fd Doubleline 1.90 -4.16 9.49 3.70 17.48 741 2,479
DMO WA Mortg Opp Fd Franklin Templeton 2.00 -4.48 13.79 14.84 45.71 135 790
DSL DbLin Incm Solutions Fd Doubleline 1.92 -1.35 11.30 13.29 22.05 1,303 5,789
EAD Allspring Incm Opp Fd Allspring 1.96 -9.04 9.98 0.00 30.30 418 1,265
ECC Eagle Point Cr Co Eagle Point 1.89 2.07 22.76 4.10 36.93 858 10,632
EFR EV Sr Flt-Rt Tr Eaton Vance 1.94 -5.90 9.51 4.88 35.50 358 1,263
EFT EV Flt-Rt Incm Tr Eaton Vance 1.94 -5.62 9.60 0.00 36.70 329 1,281
EIC Eagle Point Incm Co Eagle Point 1.93 -1.70 17.25 0.00 26.79 340 3,857
ERC Allspring Mlt-Sctr Incm Fd Allspring 2.01 -7.48 9.79 0.00 30.30 270 888
EVF EV Sr Incm Tr Eaton Vance 1.94 -5.85 9.65 9.45 34.50 105 443
EVG EV Srt Dur Divr Incm Fd Eaton Vance 2.01 -2.20 8.24 18.31 33.30 147 423
FCT FT Sr Flt Rt Incm Fd II First Trust 2.01 -6.24 11.91 13.95 12.01 271 1,096
FRA BR Flt Rt Incm Stgc Fd BlackRock 1.94 -1.31 12.28 25.50 24.00 433 2,269
FTF FrkTmp Ltd Dur Incm Tr Franklin Templeton 1.97 -7.39 12.02 0.00 32.47 268 1,303
HNW Pioneer Divr Hi Incm Fd Amundi Asset Mgmt 1.99 -6.30 10.47 0.00 29.50 102 391
HYT BR Corp Hi Yld Fd BlackRock 1.98 -1.18 10.18 21.07 21.14 1,463 7,464
JFR Nuv Flt Rt Incm Fd Nuveen 1.95 -7.81 12.90 8.42 35.01 1,381 9,491
JGH Nuv Glbl Hi Incm Fd Nuveen 1.89 -8.69 10.45 8.29 28.78 302 702
JLS Nuv Mortg Opp Trm Fd Nuveen 1.97 -7.46 10.39 0.00 22.41 105 401
JQC Nuv Cr Stgs Incm Fd Nuveen 1.95 -10.05 12.93 12.94 38.92 755 5,546
KIO KKR Incm Opp Fd KKR Credit 1.93 -7.21 12.73 0.00 35.15 513 3,148
MCI Barings Corp Invstr Barings 1.85 21.47 7.62 0.00 8.99 485 1,093
MPV Barings Partcp Invstr Barings 2.06 10.33 8.45 0.00 8.18 235 687
OCCI OFS Credit Company OFS Capital 2.18 -2.72 21.43 0.00 37.45 155 2,560
OXLC Oxford Lane Cap Corp Oxford Lane 1.92 -6.61 24.66 0.00 24.54 1,008 33,235
PAXS PIMCO Access Incm Fd PIMCO 1.95 1.42 11.95 8.11 38.49 666 3,283
PDO PIMCO Dyn Incm Opp Fd PIMCO 1.98 4.20 11.67 5.99 34.18 1,613 8,896
PGP PIMCO Glbl Stk+ & Incm Fd PIMCO 1.88 -0.27 11.33 9.58 16.25 85 304
PHD Pioneer Flt Rt Fd Amundi Asset Mgmt 1.98 -7.93 9.94 2.85 32.00 122 635
PHT Pioneer Hi Incm Fd Amundi Asset Mgmt 1.96 -7.46 9.02 0.00 30.70 232 557
RA Brkf Real Ast Incm Fd Brookfield 1.99 -11.05 11.20 15.54 24.24 785 2,637
RCS PIMCO Stgc Incm Fd PIMCO 1.79 23.96 8.92 4.68 30.82 202 929
SPMC Sound Point Meridian Cap Sound Point Meridian Mgmt Co 1.87 -4.00 16.65 0.00 9.52 387 661
VBF Invsc Bnd Fd Invesco 2.00 -6.33 5.62 1.69 0.00 182 516
WDI WA Divr Incm Fd Franklin Templeton 1.98 -5.65 13.02 0.00 32.02 751 2,763
WEA WA Prmr Bnd Fd Franklin Templeton 1.99 -2.28 7.84 4.99 33.33 130 245
WIA WA Inf-Lnk Incm Fd Franklin Templeton 2.02 -10.75 7.67 0.00 34.70 213 273
WIW WA Inf-Lnk Opp & Incm Fd Franklin Templeton 2.01 -12.07 8.80 0.00 30.67 593 1,871
XFLT XAI Octgn Flt Rt & Alt Incm Tr XA Investments 1.95 -3.34 16.80 0.00 39.60 431 3,402

DISCLOSURES:

These indexes were created and developed by Closed-End Fund Advisors, Inc. CEF Advisors launched these indexes in January 2017 based on December 31, 2016 data and began pricing on January 1, 2019. CEF Advisors does not guarantee the accuracy or the completeness of the index or any data included therein and CEF Advisors shall have no liability for any errors, omissions or interruptions therein. CEF Advisors makes no warranty, express or implied, as to results to be obtained by any person or entity from the use of the index or any data included therein. CEF Advisors makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the index or any data included therein. Without limiting any of the foregoing, in no event shall CEF Advisors have any liability for any special, punitive, direct, indirect or consequential damages (including lost profits) arising out of matters relating to the use of the index, even if notified of the possibility of such damages.

The historical values above have not been verified by an independent third party. The historical performance data is for illustrative purposes only and does not represent the actual performance of any investment product. No representation is being made that any investment will achieve performance similar to that shown. The index does not charge management fees or brokerage expenses, and no such fees or expenses were deducted from the historical performance shown. The index is unmanaged and an investor cannot invest directly in the index.

Performance information for the index is for illustrative purposes only and does not represent the performance of any actual investment. The historical performance of the price and NAV of the index should not be taken as an indication of future performance, and no assurance can be given as to the index's value on any date. The data for the historical performance of the index was calculated on materially the same basis on which the performance of the index is now calculated. Discounts are the result of a closed-end fund’s market price deviating from its Net Asset Value (NAV).

In case any constituents of the index experience a liquidation, merger, open-ending or are no longer a closed-end fund, we will remove them as of their last day of existence. For mergers, if the merged fund is in the same sub-grouping inside CEFdata.com, then we will replace the merged fund with it's replacement in equal dollar terms. If a fund is liquidated, open-ended, etc, we will remove the fund and its allocation from the index. In this case, for example. If a fund was 2% of the index then future pricing would assume a full allocation was 98%. The 2% is adsorbed on a pro-rata basis by all surviving funds.

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Class E Units       8% PIK             8.00 %   11/6/2021     4,055,099       4,055,099       4,055,099       2.32 %