Investment Company Act file number
811-21681
|
Guggenheim Enhanced Equity Income Fund
|
(Exact name of registrant as specified in charter)
|
227 West Monroe Street, Chicago, IL 60606
|
(Address of principal executive offices) (Zip code)
|
Amy J. Lee, Chief Legal Officer
Guggenheim Enhanced Equity Income Fund
227 West Monroe Street, Chicago, IL 60606
|
(Name and address of agent for service)
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6%
|
|||||
Consumer, Non-cyclical - 21.7%
|
|||||
Edwards Lifesciences Corp.*,1
|
5,573
|
$
|
970,259
|
||
Alexion Pharmaceuticals, Inc.*,1
|
6,977
|
969,873
|
|||
ABIOMED, Inc.*,1
|
2,084
|
937,279
|
|||
Vertex Pharmaceuticals, Inc.*,1
|
4,607
|
887,953
|
|||
AmerisourceBergen Corp. — Class A1
|
9,608
|
886,050
|
|||
Abbott Laboratories1
|
12,054
|
884,281
|
|||
Cigna Corp.1
|
4,227
|
880,273
|
|||
WellCare Health Plans, Inc.*,1
|
2,736
|
876,861
|
|||
Coty, Inc. — Class A1
|
69,248
|
869,755
|
|||
Cooper Companies, Inc.1
|
3,137
|
869,420
|
|||
Gilead Sciences, Inc.1
|
11,239
|
867,763
|
|||
Kroger Co.1
|
29,667
|
863,606
|
|||
Biogen, Inc.*,1
|
2,435
|
860,310
|
|||
Stryker Corp.1
|
4,837
|
859,438
|
|||
HCA Healthcare, Inc.1
|
6,172
|
858,649
|
|||
Illumina, Inc.*,1
|
2,335
|
857,085
|
|||
Cardinal Health, Inc.1
|
15,830
|
854,820
|
|||
Express Scripts Holding Co.*,1
|
8,982
|
853,380
|
|||
Hologic, Inc.*,1
|
20,806
|
852,630
|
|||
Amgen, Inc.1
|
4,112
|
852,377
|
|||
McKesson Corp.1
|
6,415
|
850,950
|
|||
Estee Lauder Companies, Inc. — Class A1
|
5,852
|
850,413
|
|||
FleetCor Technologies, Inc.*,1
|
3,730
|
849,843
|
|||
Regeneron Pharmaceuticals, Inc.*,1
|
2,103
|
849,696
|
|||
Boston Scientific Corp.*,1
|
22,058
|
849,233
|
|||
H&R Block, Inc.1
|
32,977
|
849,158
|
|||
Nektar Therapeutics*,1
|
13,920
|
848,563
|
|||
Zoetis, Inc.1
|
9,266
|
848,395
|
|||
Philip Morris International, Inc.1
|
10,396
|
847,690
|
|||
Celgene Corp.*,1
|
9,461
|
846,665
|
|||
Pfizer, Inc.1
|
19,198
|
846,056
|
|||
IQVIA Holdings, Inc.*,1
|
6,515
|
845,256
|
|||
CVS Health Corp.1
|
10,724
|
844,193
|
|||
Bristol-Myers Squibb Co.1
|
13,590
|
843,667
|
|||
Automatic Data Processing, Inc.1
|
5,593
|
842,641
|
|||
Henry Schein, Inc.*,1
|
9,890
|
840,947
|
|||
Western Union Co.1
|
44,034
|
839,288
|
|||
Constellation Brands, Inc. — Class A1
|
3,889
|
838,546
|
|||
Danaher Corp.1
|
7,717
|
838,529
|
|||
Universal Health Services, Inc. — Class B1
|
6,553
|
837,735
|
|||
Rollins, Inc.
|
13,801
|
837,583
|
|||
Gartner, Inc.*,1
|
5,279
|
836,722
|
|||
Incyte Corp.*,1
|
12,112
|
836,697
|
|||
Eli Lilly & Co.1
|
7,797
|
836,696
|
|||
Medtronic plc1
|
8,502
|
836,342
|
|||
Merck & Company, Inc.1
|
11,785
|
836,028
|
|||
Brown-Forman Corp. — Class B1
|
16,535
|
835,844
|
|||
Anthem, Inc.1
|
3,046
|
834,756
|
|||
Allergan plc1
|
4,382
|
834,683
|
|||
DaVita, Inc.*,1
|
11,652
|
834,633
|
|||
Nielsen Holdings plc1
|
30,156
|
834,115
|
|||
Zimmer Biomet Holdings, Inc.1
|
6,341
|
833,651
|
|||
Intuitive Surgical, Inc.*,1
|
1,451
|
832,874
|
|||
ResMed, Inc.1
|
7,220
|
832,755
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Consumer, Non-cyclical - 21.7% (continued)
|
|||||
Thermo Fisher Scientific, Inc.1
|
3,408
|
$
|
831,825
|
||
IDEXX Laboratories, Inc.*,1
|
3,326
|
830,369
|
|||
Archer-Daniels-Midland Co.1
|
16,482
|
828,550
|
|||
Coca-Cola Co.1
|
17,933
|
828,325
|
|||
Laboratory Corporation of America Holdings*,1
|
4,768
|
828,106
|
|||
Humana, Inc.1
|
2,445
|
827,681
|
|||
Envision Healthcare Corp.*,1
|
18,094
|
827,439
|
|||
UnitedHealth Group, Inc.1
|
3,109
|
827,118
|
|||
Align Technology, Inc.*,1
|
2,114
|
827,039
|
|||
Varian Medical Systems, Inc.*,1
|
7,381
|
826,155
|
|||
Becton Dickinson and Co.1
|
3,164
|
825,804
|
|||
Aetna, Inc.1
|
4,068
|
825,194
|
|||
Total System Services, Inc.1
|
8,345
|
823,985
|
|||
Ecolab, Inc.1
|
5,249
|
822,938
|
|||
Quest Diagnostics, Inc.1
|
7,623
|
822,598
|
|||
Church & Dwight Company, Inc.1
|
13,850
|
822,274
|
|||
Centene Corp.*,1
|
5,678
|
822,061
|
|||
Sysco Corp.1
|
11,215
|
821,499
|
|||
McCormick & Company, Inc.1
|
6,234
|
821,330
|
|||
Procter & Gamble Co.1
|
9,864
|
820,981
|
|||
Clorox Co.1
|
5,448
|
819,434
|
|||
Avery Dennison Corp.1
|
7,562
|
819,343
|
|||
Baxter International, Inc.1
|
10,616
|
818,387
|
|||
Verisk Analytics, Inc. — Class A*,1
|
6,781
|
817,450
|
|||
Global Payments, Inc.1
|
6,414
|
817,144
|
|||
Johnson & Johnson1
|
5,912
|
816,861
|
|||
AbbVie, Inc.1
|
8,620
|
815,279
|
|||
Colgate-Palmolive Co.1
|
12,131
|
812,170
|
|||
Dentsply Sirona, Inc.1
|
21,467
|
810,165
|
|||
Robert Half International, Inc.1
|
11,503
|
809,581
|
|||
Mondelez International, Inc. — Class A1
|
18,830
|
808,937
|
|||
Monster Beverage Corp.*,1
|
13,854
|
807,411
|
|||
IHS Markit Ltd.*,1
|
14,957
|
807,080
|
|||
Mylan N.V.*,1
|
22,005
|
805,383
|
|||
Kimberly-Clark Corp.1
|
7,082
|
804,798
|
|||
PepsiCo, Inc.1
|
7,198
|
804,737
|
|||
Molson Coors Brewing Co. — Class B1
|
13,062
|
803,313
|
|||
Altria Group, Inc.1
|
13,287
|
801,339
|
|||
United Rentals, Inc.*,1
|
4,881
|
798,532
|
|||
PayPal Holdings, Inc.*,1
|
9,085
|
798,026
|
|||
Quanta Services, Inc.*,1
|
23,864
|
796,580
|
|||
Hershey Co.1
|
7,783
|
793,866
|
|||
Perrigo Company plc1
|
11,192
|
792,394
|
|||
Equifax, Inc.1
|
6,034
|
787,859
|
|||
Hormel Foods Corp.1
|
19,684
|
775,550
|
|||
Tyson Foods, Inc. — Class A1
|
13,009
|
774,426
|
|||
Kellogg Co.1
|
11,020
|
771,620
|
|||
Kraft Heinz Co.1
|
13,986
|
770,768
|
|||
JM Smucker Co.1
|
7,425
|
761,879
|
|||
Cintas Corp.1
|
3,845
|
760,579
|
|||
Moody's Corp.1
|
4,543
|
759,590
|
|||
S&P Global, Inc.1
|
3,855
|
753,228
|
|||
General Mills, Inc.1
|
17,272
|
741,314
|
|||
Conagra Brands, Inc.1
|
21,562
|
732,461
|
|||
Campbell Soup Co.1
|
19,974
|
731,648
|
|||
Total Consumer, Non-cyclical
|
90,423,308
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Financial - 19.2%
|
|||||
Unum Group1
|
22,351
|
$
|
873,254
|
||
Brighthouse Financial, Inc.*,1
|
19,651
|
869,360
|
|||
Progressive Corp.1
|
12,086
|
858,589
|
|||
Assurant, Inc.1
|
7,942
|
857,339
|
|||
Principal Financial Group, Inc.1
|
14,484
|
848,618
|
|||
Everest Re Group Ltd.1
|
3,692
|
843,511
|
|||
Mastercard, Inc. — Class A1
|
3,784
|
842,356
|
|||
Citigroup, Inc.1
|
11,692
|
838,784
|
|||
Visa, Inc. — Class A1
|
5,579
|
837,352
|
|||
Prudential Financial, Inc.1
|
8,259
|
836,802
|
|||
Aon plc1
|
5,427
|
834,564
|
|||
Prologis, Inc. REIT1
|
12,267
|
831,580
|
|||
Lincoln National Corp.1
|
12,266
|
829,917
|
|||
SBA Communications Corp. REIT*,1
|
5,165
|
829,654
|
|||
UDR, Inc. REIT1
|
20,516
|
829,462
|
|||
MetLife, Inc.1
|
17,725
|
828,112
|
|||
Kimco Realty Corp. REIT1
|
49,416
|
827,224
|
|||
Hartford Financial Services Group, Inc.1
|
16,548
|
826,738
|
|||
Essex Property Trust, Inc. REIT1
|
3,348
|
825,985
|
|||
Ameriprise Financial, Inc.1
|
5,593
|
825,862
|
|||
HCP, Inc. REIT1
|
31,359
|
825,369
|
|||
Regency Centers Corp. REIT1
|
12,757
|
824,995
|
|||
Apartment Investment & Management Co. — Class A REIT1
|
18,689
|
824,746
|
|||
American International Group, Inc.1
|
15,488
|
824,581
|
|||
Torchmark Corp.1
|
9,497
|
823,295
|
|||
Crown Castle International Corp. REIT1
|
7,394
|
823,174
|
|||
Travelers Companies, Inc.1
|
6,344
|
822,880
|
|||
KeyCorp1
|
41,362
|
822,690
|
|||
Aflac, Inc.1
|
17,470
|
822,313
|
|||
Raymond James Financial, Inc.1
|
8,910
|
820,165
|
|||
JPMorgan Chase & Co.1
|
7,267
|
820,008
|
|||
Arthur J Gallagher & Co.1
|
11,013
|
819,808
|
|||
Alexandria Real Estate Equities, Inc. REIT1
|
6,495
|
817,006
|
|||
BlackRock, Inc. — Class A1
|
1,732
|
816,344
|
|||
Berkshire Hathaway, Inc. — Class B*,1
|
3,812
|
816,187
|
|||
T. Rowe Price Group, Inc.1
|
7,472
|
815,793
|
|||
AvalonBay Communities, Inc. REIT1
|
4,499
|
814,994
|
|||
Cincinnati Financial Corp.1
|
10,605
|
814,570
|
|||
Bank of New York Mellon Corp.1
|
15,968
|
814,208
|
|||
Duke Realty Corp. REIT1
|
28,697
|
814,134
|
|||
American Tower Corp. — Class A REIT1
|
5,603
|
814,116
|
|||
Allstate Corp.1
|
8,248
|
814,078
|
|||
Realty Income Corp. REIT1
|
14,304
|
813,754
|
|||
Loews Corp.1
|
16,178
|
812,621
|
|||
CME Group, Inc. — Class A1
|
4,763
|
810,710
|
|||
Discover Financial Services1
|
10,595
|
809,988
|
|||
Northern Trust Corp.1
|
7,919
|
808,767
|
|||
Extra Space Storage, Inc. REIT1
|
9,328
|
808,178
|
|||
Mid-America Apartment Communities, Inc. REIT1
|
8,064
|
807,851
|
|||
Macerich Co. REIT1
|
14,595
|
806,957
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Financial - 19.2% (continued)
|
|||||
Goldman Sachs Group, Inc.1
|
3,598
|
$
|
806,816
|
||
Host Hotels & Resorts, Inc. REIT1
|
38,236
|
806,780
|
|||
Alliance Data Systems Corp.1
|
3,415
|
806,486
|
|||
Boston Properties, Inc. REIT1
|
6,548
|
805,993
|
|||
Equity Residential REIT1
|
12,159
|
805,655
|
|||
Public Storage REIT1
|
3,992
|
804,907
|
|||
Federal Realty Investment Trust REIT1
|
6,363
|
804,729
|
|||
U.S. Bancorp1
|
15,234
|
804,508
|
|||
E*TRADE Financial Corp.*,1
|
15,356
|
804,501
|
|||
SunTrust Banks, Inc.1
|
12,024
|
803,083
|
|||
SVB Financial Group*,1
|
2,583
|
802,874
|
|||
SL Green Realty Corp. REIT1
|
8,229
|
802,574
|
|||
Vornado Realty Trust REIT1
|
10,994
|
802,562
|
|||
American Express Co.1
|
7,528
|
801,657
|
|||
Bank of America Corp.1
|
27,157
|
800,045
|
|||
PNC Financial Services Group, Inc.1
|
5,874
|
799,980
|
|||
Capital One Financial Corp.1
|
8,417
|
799,026
|
|||
Welltower, Inc. REIT1
|
12,419
|
798,790
|
|||
Simon Property Group, Inc. REIT1
|
4,519
|
798,733
|
|||
Iron Mountain, Inc. REIT1
|
23,134
|
798,586
|
|||
Comerica, Inc.1
|
8,850
|
798,270
|
|||
Chubb Ltd.1
|
5,972
|
798,098
|
|||
Regions Financial Corp.1
|
43,477
|
797,803
|
|||
BB&T Corp.1
|
16,426
|
797,318
|
|||
Morgan Stanley1
|
17,115
|
797,046
|
|||
Equinix, Inc. REIT1
|
1,840
|
796,518
|
|||
Invesco Ltd.1
|
34,726
|
794,531
|
|||
Fifth Third Bancorp1
|
28,420
|
793,486
|
|||
M&T Bank Corp.1
|
4,817
|
792,589
|
|||
Citizens Financial Group, Inc.1
|
20,547
|
792,498
|
|||
Charles Schwab Corp.1
|
16,121
|
792,347
|
|||
Zions Bancorp North America1
|
15,797
|
792,220
|
|||
Intercontinental Exchange, Inc.1
|
10,578
|
792,186
|
|||
Wells Fargo & Co.1
|
15,070
|
792,079
|
|||
State Street Corp.1
|
9,448
|
791,553
|
|||
People's United Financial, Inc.1
|
46,231
|
791,475
|
|||
Willis Towers Watson plc1
|
5,612
|
790,955
|
|||
Affiliated Managers Group, Inc.1
|
5,769
|
788,738
|
|||
Synchrony Financial1
|
25,307
|
786,542
|
|||
Marsh & McLennan Companies, Inc.1
|
9,505
|
786,254
|
|||
Huntington Bancshares, Inc.1
|
52,666
|
785,777
|
|||
Franklin Resources, Inc.1
|
25,838
|
785,734
|
|||
Weyerhaeuser Co. REIT1
|
24,214
|
781,386
|
|||
Nasdaq, Inc.1
|
9,090
|
779,922
|
|||
CBRE Group, Inc. — Class A*,1
|
17,634
|
777,660
|
|||
Jefferies Financial Group, Inc.1
|
35,306
|
775,320
|
|||
Ventas, Inc. REIT1
|
14,254
|
775,132
|
|||
Digital Realty Trust, Inc. REIT1
|
6,766
|
761,040
|
|||
Cboe Global Markets, Inc.1
|
7,915
|
759,523
|
|||
Total Financial
|
80,201,628
|
||||
Consumer, Cyclical - 13.7%
|
|||||
Foot Locker, Inc.1
|
17,702
|
902,448
|
|||
L Brands, Inc.1
|
28,469
|
862,611
|
|||
Ralph Lauren Corp. — Class A1
|
6,260
|
861,063
|
|||
Hanesbrands, Inc.1
|
46,623
|
859,262
|
|||
McDonald's Corp.1
|
5,128
|
857,863
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Consumer, Cyclical - 13.7% (continued)
|
|||||
American Airlines Group, Inc.1
|
20,754
|
$
|
857,763
|
||
Tractor Supply Co.1
|
9,435
|
857,453
|
|||
Gap, Inc.1
|
29,689
|
856,528
|
|||
Starbucks Corp.1
|
15,064
|
856,238
|
|||
Walgreens Boots Alliance, Inc.1
|
11,735
|
855,481
|
|||
AutoZone, Inc.*,1
|
1,101
|
854,046
|
|||
Norwegian Cruise Line Holdings Ltd.*,1
|
14,868
|
853,869
|
|||
PVH Corp.1
|
5,910
|
853,404
|
|||
Yum! Brands, Inc.1
|
9,357
|
850,645
|
|||
TJX Companies, Inc.1
|
7,582
|
849,336
|
|||
O'Reilly Automotive, Inc.*,1
|
2,435
|
845,724
|
|||
VF Corp.1
|
9,046
|
845,349
|
|||
Ross Stores, Inc.1
|
8,521
|
844,431
|
|||
Harley-Davidson, Inc.1
|
18,630
|
843,939
|
|||
Advance Auto Parts, Inc.1
|
4,985
|
839,125
|
|||
NIKE, Inc. — Class B1
|
9,878
|
836,864
|
|||
Best Buy Company, Inc.1
|
10,521
|
834,946
|
|||
Marriott International, Inc. — Class A1
|
6,323
|
834,826
|
|||
Ulta Beauty, Inc.*,1
|
2,955
|
833,665
|
|||
Hilton Worldwide Holdings, Inc.1
|
10,302
|
832,195
|
|||
MGM Resorts International1
|
29,796
|
831,606
|
|||
Lowe's Companies, Inc.1
|
7,241
|
831,412
|
|||
Tapestry, Inc.1
|
16,515
|
830,209
|
|||
Royal Caribbean Cruises Ltd.1
|
6,379
|
828,887
|
|||
WW Grainger, Inc.1
|
2,319
|
828,834
|
|||
Fastenal Co.1
|
14,279
|
828,468
|
|||
Dollar General Corp.1
|
7,573
|
827,729
|
|||
Target Corp.1
|
9,378
|
827,233
|
|||
Tiffany & Co.1
|
6,409
|
826,569
|
|||
Southwest Airlines Co.1
|
13,211
|
825,027
|
|||
Alaska Air Group, Inc.1
|
11,968
|
824,116
|
|||
Delta Air Lines, Inc.1
|
14,237
|
823,326
|
|||
Costco Wholesale Corp.1
|
3,504
|
823,019
|
|||
Carnival Corp.1
|
12,897
|
822,442
|
|||
Hasbro, Inc.1
|
7,811
|
821,092
|
|||
Walmart, Inc.1
|
8,719
|
818,801
|
|||
Home Depot, Inc.1
|
3,945
|
817,207
|
|||
Goodyear Tire & Rubber Co.1
|
34,888
|
816,030
|
|||
United Continental Holdings, Inc.*,1
|
9,130
|
813,118
|
|||
DR Horton, Inc.1
|
19,180
|
809,012
|
|||
Ford Motor Co.1
|
87,275
|
807,294
|
|||
Genuine Parts Co.1
|
8,094
|
804,544
|
|||
General Motors Co.1
|
23,816
|
801,884
|
|||
PACCAR, Inc.1
|
11,725
|
799,528
|
|||
LKQ Corp.*,1
|
25,160
|
796,817
|
|||
Aptiv plc1
|
9,493
|
796,463
|
|||
Dollar Tree, Inc.*,1
|
9,752
|
795,276
|
|||
Whirlpool Corp.1
|
6,694
|
794,913
|
|||
Mattel, Inc.*,1
|
50,444
|
791,971
|
|||
Macy's, Inc.1
|
22,739
|
789,725
|
|||
BorgWarner, Inc.1
|
18,381
|
786,339
|
|||
Leggett & Platt, Inc.1
|
17,775
|
778,367
|
|||
Wynn Resorts Ltd.1
|
6,097
|
774,685
|
|||
Michael Kors Holdings Ltd.*,1
|
11,290
|
774,042
|
|||
Mohawk Industries, Inc.*,1
|
4,408
|
772,943
|
|||
Newell Brands, Inc.1
|
38,007
|
771,542
|
|||
Darden Restaurants, Inc.1
|
6,928
|
770,324
|
|||
CarMax, Inc.*,1
|
10,243
|
764,845
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Consumer, Cyclical - 13.7% (continued)
|
|||||
Chipotle Mexican Grill, Inc. — Class A*,1
|
1,678
|
$
|
762,684
|
||
Kohl's Corp.1
|
10,202
|
760,559
|
|||
PulteGroup, Inc.1
|
30,524
|
756,080
|
|||
Nordstrom, Inc.1
|
12,592
|
753,127
|
|||
Lennar Corp. — Class A1
|
15,701
|
733,080
|
|||
Copart, Inc.*,1
|
12,721
|
655,513
|
|||
Under Armour, Inc. — Class A*,1
|
22,335
|
473,949
|
|||
Under Armour, Inc. — Class C*,1
|
22,620
|
440,185
|
|||
Total Consumer, Cyclical
|
57,259,890
|
||||
Industrial - 13.3%
|
|||||
Caterpillar, Inc.1
|
5,692
|
867,973
|
|||
Union Pacific Corp.1
|
5,239
|
853,066
|
|||
Boeing Co.1
|
2,292
|
852,395
|
|||
Northrop Grumman Corp.1
|
2,683
|
851,504
|
|||
Allegion plc1
|
9,391
|
850,543
|
|||
Lockheed Martin Corp.1
|
2,456
|
849,678
|
|||
Harris Corp.1
|
5,007
|
847,234
|
|||
Agilent Technologies, Inc.1
|
11,979
|
844,999
|
|||
General Dynamics Corp.1
|
4,113
|
842,013
|
|||
Cummins, Inc.1
|
5,759
|
841,217
|
|||
Garmin Ltd.1
|
12,001
|
840,670
|
|||
Deere & Co.1
|
5,582
|
839,142
|
|||
Raytheon Co.1
|
4,059
|
838,833
|
|||
PerkinElmer, Inc.1
|
8,614
|
837,884
|
|||
United Technologies Corp.1
|
5,985
|
836,763
|
|||
3M Co.1
|
3,967
|
835,886
|
|||
Textron, Inc.1
|
11,687
|
835,270
|
|||
Huntington Ingalls Industries, Inc.1
|
3,261
|
835,077
|
|||
Jacobs Engineering Group, Inc.1
|
10,884
|
832,626
|
|||
Honeywell International, Inc.1
|
4,995
|
831,168
|
|||
CSX Corp.1
|
11,224
|
831,137
|
|||
TransDigm Group, Inc.*,1
|
2,229
|
829,857
|
|||
Norfolk Southern Corp.1
|
4,597
|
829,758
|
|||
Fluor Corp.1
|
14,259
|
828,448
|
|||
Corning, Inc.1
|
23,384
|
825,455
|
|||
Dover Corp.1
|
9,321
|
825,188
|
|||
Vulcan Materials Co.1
|
7,417
|
824,770
|
|||
Mettler-Toledo International, Inc.*,1
|
1,352
|
823,341
|
|||
Ball Corp.1
|
18,685
|
821,953
|
|||
Eaton Corporation plc1
|
9,463
|
820,726
|
|||
Rockwell Collins, Inc.1
|
5,829
|
818,800
|
|||
Waters Corp.*,1
|
4,204
|
818,435
|
|||
Ingersoll-Rand plc1
|
7,976
|
815,945
|
|||
Emerson Electric Co.1
|
10,636
|
814,505
|
|||
Stanley Black & Decker, Inc.1
|
5,560
|
814,206
|
|||
Xylem, Inc.1
|
10,191
|
813,956
|
|||
Snap-on, Inc.1
|
4,424
|
812,247
|
|||
Flowserve Corp.1
|
14,842
|
811,709
|
|||
Pentair plc1
|
18,715
|
811,295
|
|||
L3 Technologies, Inc.1
|
3,815
|
811,145
|
|||
Parker-Hannifin Corp.1
|
4,407
|
810,579
|
|||
Waste Management, Inc.1
|
8,962
|
809,806
|
|||
AMETEK, Inc.1
|
10,203
|
807,261
|
|||
Rockwell Automation, Inc.1
|
4,304
|
807,086
|
|||
CH Robinson Worldwide, Inc.1
|
8,240
|
806,861
|
|||
FLIR Systems, Inc.1
|
13,108
|
805,749
|
|||
Expeditors International of Washington, Inc.1
|
10,940
|
804,418
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Industrial - 13.3% (continued)
|
|||||
Illinois Tool Works, Inc.1
|
5,692
|
$
|
803,255
|
||
Amphenol Corp. — Class A1
|
8,517
|
800,768
|
|||
Arconic, Inc.1
|
36,349
|
800,041
|
|||
Republic Services, Inc. — Class A1
|
11,007
|
799,769
|
|||
United Parcel Service, Inc. — Class B1
|
6,850
|
799,738
|
|||
Fortive Corp.1
|
9,482
|
798,384
|
|||
Kansas City Southern1
|
7,035
|
796,925
|
|||
Sealed Air Corp.1
|
19,826
|
796,014
|
|||
Packaging Corporation of America1
|
7,206
|
790,426
|
|||
Masco Corp.1
|
21,596
|
790,414
|
|||
TE Connectivity Ltd.1
|
8,987
|
790,227
|
|||
WestRock Co.1
|
14,775
|
789,576
|
|||
J.B. Hunt Transport Services, Inc.1
|
6,621
|
787,502
|
|||
Roper Technologies, Inc.1
|
2,653
|
785,845
|
|||
Stericycle, Inc.*,1
|
13,330
|
782,205
|
|||
Fortune Brands Home & Security, Inc.1
|
14,925
|
781,473
|
|||
FedEx Corp.1
|
3,229
|
777,511
|
|||
Martin Marietta Materials, Inc.1
|
4,251
|
773,469
|
|||
Johnson Controls International plc1
|
21,704
|
759,640
|
|||
AO Smith Corp.1
|
13,894
|
741,523
|
|||
General Electric Co.1
|
65,044
|
734,347
|
|||
Total Industrial
|
55,397,629
|
||||
Technology - 9.7%
|
|||||
Electronic Arts, Inc.*,1
|
7,217
|
869,576
|
|||
Oracle Corp.1
|
16,746
|
863,424
|
|||
Broadcom, Inc.1
|
3,490
|
861,088
|
|||
Intel Corp.1
|
18,110
|
856,422
|
|||
Skyworks Solutions, Inc.1
|
9,401
|
852,765
|
|||
Xilinx, Inc.1
|
10,632
|
852,367
|
|||
Autodesk, Inc.*,1
|
5,449
|
850,643
|
|||
HP, Inc.1
|
32,938
|
848,812
|
|||
Take-Two Interactive Software, Inc.*,1
|
6,150
|
848,639
|
|||
Western Digital Corp.1
|
14,479
|
847,601
|
|||
Activision Blizzard, Inc.1
|
10,148
|
844,212
|
|||
Micron Technology, Inc.*,1
|
18,617
|
842,047
|
|||
International Business Machines Corp.1
|
5,560
|
840,727
|
|||
Texas Instruments, Inc.1
|
7,828
|
839,866
|
|||
NVIDIA Corp.1
|
2,984
|
838,564
|
|||
Qorvo, Inc.*,1
|
10,889
|
837,255
|
|||
Fiserv, Inc.*,1
|
10,140
|
835,333
|
|||
DXC Technology Co.1
|
8,920
|
834,198
|
|||
Cognizant Technology Solutions Corp. — Class A1
|
10,812
|
834,146
|
|||
salesforce.com, Inc.*,1
|
5,237
|
832,840
|
|||
Microsoft Corp.1
|
7,275
|
832,042
|
|||
Apple, Inc.1
|
3,684
|
831,626
|
|||
CA, Inc.1
|
18,723
|
826,621
|
|||
NetApp, Inc.1
|
9,616
|
825,918
|
|||
Intuit, Inc.1
|
3,624
|
824,098
|
|||
Analog Devices, Inc.1
|
8,913
|
824,096
|
|||
Cerner Corp.*,1
|
12,700
|
818,007
|
|||
Accenture plc — Class A1
|
4,805
|
817,811
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Technology - 9.7% (continued)
|
|||||
Fidelity National Information Services, Inc.1
|
7,490
|
$
|
816,934
|
||
Paychex, Inc.1
|
11,088
|
816,631
|
|||
Citrix Systems, Inc.*,1
|
7,343
|
816,248
|
|||
Applied Materials, Inc.1
|
21,093
|
815,244
|
|||
Lam Research Corp.1
|
5,374
|
815,236
|
|||
ANSYS, Inc.*,1
|
4,352
|
812,431
|
|||
Hewlett Packard Enterprise Co.1
|
49,744
|
811,325
|
|||
Adobe Systems, Inc.*,1
|
3,002
|
810,390
|
|||
Seagate Technology plc1
|
17,079
|
808,691
|
|||
Cadence Design Systems, Inc.*,1
|
17,828
|
807,965
|
|||
IPG Photonics Corp.*,1
|
5,174
|
807,506
|
|||
MSCI, Inc. — Class A1
|
4,527
|
803,135
|
|||
KLA-Tencor Corp.1
|
7,895
|
803,001
|
|||
Akamai Technologies, Inc.*,1
|
10,881
|
795,945
|
|||
Xerox Corp.1
|
29,382
|
792,726
|
|||
Synopsys, Inc.*,1
|
8,029
|
791,740
|
|||
QUALCOMM, Inc.1
|
10,983
|
791,106
|
|||
Broadridge Financial Solutions, Inc.1
|
5,989
|
790,249
|
|||
Advanced Micro Devices, Inc.*,1
|
25,206
|
778,613
|
|||
Microchip Technology, Inc.1
|
9,865
|
778,447
|
|||
Red Hat, Inc.*,1
|
5,540
|
754,991
|
|||
Total Technology
|
40,349,298
|
||||
Energy - 6.1%
|
|||||
Marathon Oil Corp.1
|
39,500
|
919,560
|
|||
Hess Corp.1
|
12,494
|
894,321
|
|||
EOG Resources, Inc.1
|
7,000
|
892,990
|
|||
Concho Resources, Inc.*,1
|
5,845
|
892,824
|
|||
Baker Hughes a GE Co.1
|
26,133
|
884,079
|
|||
Anadarko Petroleum Corp.1
|
13,089
|
882,330
|
|||
Noble Energy, Inc.1
|
28,072
|
875,566
|
|||
Newfield Exploration Co.*,1
|
30,311
|
873,866
|
|||
Occidental Petroleum Corp.1
|
10,631
|
873,549
|
|||
ConocoPhillips1
|
11,221
|
868,505
|
|||
Helmerich & Payne, Inc.1
|
12,628
|
868,428
|
|||
Halliburton Co.1
|
21,350
|
865,316
|
|||
Apache Corp.1
|
18,142
|
864,829
|
|||
Chevron Corp.1
|
7,026
|
859,139
|
|||
TechnipFMC plc1
|
27,373
|
855,406
|
|||
Cabot Oil & Gas Corp. — Class A1
|
37,625
|
847,315
|
|||
Exxon Mobil Corp.1
|
9,946
|
845,609
|
|||
Pioneer Natural Resources Co.1
|
4,839
|
842,905
|
|||
ONEOK, Inc.1
|
12,423
|
842,155
|
|||
Cimarex Energy Co.1
|
8,995
|
835,995
|
|||
Devon Energy Corp.1
|
20,790
|
830,353
|
|||
Schlumberger Ltd.1
|
13,470
|
820,593
|
|||
HollyFrontier Corp.1
|
11,717
|
819,018
|
|||
Phillips 661
|
7,260
|
818,347
|
|||
Kinder Morgan, Inc.1
|
45,667
|
809,676
|
|||
National Oilwell Varco, Inc.1
|
18,617
|
802,020
|
|||
Valero Energy Corp.1
|
7,041
|
800,914
|
|||
Williams Companies, Inc.1
|
29,361
|
798,325
|
|||
Marathon Petroleum Corp.1
|
9,779
|
782,027
|
|||
Equities Corp.1
|
17,345
|
767,169
|
|||
Total Energy
|
25,433,129
|
||||
Communications - 6.0%
|
|||||
Viacom, Inc. — Class B1
|
27,630
|
932,789
|
|||
Juniper Networks, Inc.1
|
29,593
|
886,902
|
|||
Walt Disney Co.1
|
7,548
|
882,663
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Communications - 6.0% (continued)
|
|||||
Symantec Corp.1
|
41,176
|
$
|
876,225
|
||
Booking Holdings, Inc.*,1
|
430
|
853,120
|
|||
CBS Corp. — Class B1
|
14,767
|
848,364
|
|||
Motorola Solutions, Inc.1
|
6,506
|
846,691
|
|||
Cisco Systems, Inc.1
|
17,400
|
846,510
|
|||
Netflix, Inc.*,1
|
2,262
|
846,282
|
|||
F5 Networks, Inc.*,1
|
4,238
|
845,142
|
|||
Charter Communications, Inc. — Class A*,1
|
2,592
|
844,681
|
|||
Amazon.com, Inc.*,1
|
419
|
839,257
|
|||
TripAdvisor, Inc.*,1
|
16,367
|
835,863
|
|||
Facebook, Inc. — Class A*,1
|
5,081
|
835,621
|
|||
Interpublic Group of Companies, Inc.1
|
36,317
|
830,570
|
|||
Expedia Group, Inc.1
|
6,357
|
829,461
|
|||
AT&T, Inc.1
|
24,546
|
824,255
|
|||
Omnicom Group, Inc.1
|
11,956
|
813,247
|
|||
DISH Network Corp. — Class A*,1
|
22,671
|
810,715
|
|||
Arista Networks, Inc.*,1
|
3,040
|
808,214
|
|||
Verizon Communications, Inc.1
|
15,119
|
807,203
|
|||
VeriSign, Inc.*,1
|
5,040
|
807,005
|
|||
eBay, Inc.*,1
|
24,186
|
798,622
|
|||
Comcast Corp. — Class A1
|
22,315
|
790,174
|
|||
Twitter, Inc.*,1
|
27,381
|
779,263
|
|||
CenturyLink, Inc.1
|
36,269
|
768,903
|
|||
News Corp. — Class A1
|
49,915
|
658,379
|
|||
Twenty-First Century Fox, Inc. — Class A1
|
13,025
|
603,449
|
|||
Discovery, Inc. — Class C*,1
|
18,638
|
551,312
|
|||
Alphabet, Inc. — Class C*,1
|
353
|
421,295
|
|||
Alphabet, Inc. — Class A*,1
|
348
|
420,064
|
|||
Discovery, Inc. — Class A*,1
|
8,514
|
272,448
|
|||
Twenty-First Century Fox, Inc. — Class B1
|
5,427
|
248,665
|
|||
News Corp. — Class B1
|
15,860
|
215,696
|
|||
Total Communications
|
25,079,050
|
||||
Utilities - 5.7%
|
|||||
SCANA Corp.1
|
23,252
|
904,270
|
|||
AES Corp.1
|
60,868
|
852,152
|
|||
NRG Energy, Inc.1
|
22,758
|
851,149
|
|||
NiSource, Inc.1
|
33,270
|
829,088
|
|||
Southern Co.1
|
18,787
|
819,113
|
|||
Public Service Enterprise Group, Inc.1
|
15,482
|
817,295
|
|||
Edison International1
|
12,070
|
816,898
|
|||
Exelon Corp.1
|
18,710
|
816,879
|
|||
American Water Works Company, Inc.1
|
9,242
|
813,019
|
|||
Pinnacle West Capital Corp.1
|
10,265
|
812,783
|
|||
FirstEnergy Corp.1
|
21,802
|
810,380
|
|||
PG&E Corp.*,1
|
17,559
|
807,890
|
|||
Duke Energy Corp.1
|
10,095
|
807,802
|
|||
Dominion Energy, Inc.1
|
11,477
|
806,603
|
|||
American Electric Power Company, Inc.1
|
11,360
|
805,197
|
|||
Xcel Energy, Inc.1
|
17,040
|
804,458
|
|||
CMS Energy Corp.1
|
16,371
|
802,179
|
|||
DTE Energy Co.1
|
7,344
|
801,451
|
|||
Alliant Energy Corp.1
|
18,817
|
801,040
|
|||
WEC Energy Group, Inc.1
|
11,987
|
800,252
|
|||
PPL Corp.1
|
27,346
|
800,144
|
Shares
|
Value
|
||||
COMMON STOCKS† - 98.6% (continued)
|
|||||
Utilities - 5.7% (continued)
|
|||||
Entergy Corp.1
|
9,846
|
$
|
798,806
|
||
Eversource Energy1
|
12,982
|
797,614
|
|||
Ameren Corp.1
|
12,609
|
797,141
|
|||
NextEra Energy, Inc.1
|
4,749
|
795,932
|
|||
Sempra Energy1
|
6,946
|
790,107
|
|||
CenterPoint Energy, Inc.1
|
28,518
|
788,523
|
|||
Evergy, Inc.1
|
14,279
|
784,203
|
|||
Consolidated Edison, Inc.1
|
10,272
|
782,624
|
|||
Total Utilities
|
23,514,992
|
||||
Basic Materials - 3.2%
|
|||||
CF Industries Holdings, Inc.1
|
15,999
|
870,985
|
|||
Mosaic Co.1
|
26,787
|
870,042
|
|||
Praxair, Inc.1
|
5,253
|
844,315
|
|||
FMC Corp.1
|
9,655
|
841,723
|
|||
International Flavors & Fragrances, Inc.1
|
6,042
|
840,563
|
|||
Freeport-McMoRan, Inc.1
|
60,244
|
838,596
|
|||
Nucor Corp.1
|
13,179
|
836,207
|
|||
Newmont Mining Corp.1
|
27,148
|
819,870
|
|||
Air Products & Chemicals, Inc.1
|
4,891
|
817,041
|
|||
Albemarle Corp.1
|
8,174
|
815,602
|
|||
Eastman Chemical Co.1
|
8,461
|
809,887
|
|||
LyondellBasell Industries N.V. — Class A1
|
7,831
|
802,756
|
|||
PPG Industries, Inc.1
|
7,353
|
802,433
|
|||
Sherwin-Williams Co.1
|
1,762
|
802,080
|
|||
DowDuPont, Inc.1
|
12,026
|
773,392
|
|||
International Paper Co.1
|
15,491
|
761,383
|
|||
Total Basic Materials
|
13,146,875
|
||||
Total Common Stocks
|
|||||
(Cost $378,854,496)
|
410,805,799
|
||||
EXCHANGE-TRADED FUNDS† - 45.3%
|
|||||
Invesco QQQ Trust Series 11,2
|
340,050
|
63,177,890
|
|||
SPDR S&P 500 ETF Trust1,2
|
216,417
|
62,916,750
|
|||
iShares Russell 2000 Index ETF1,2
|
372,595
|
62,800,887
|
|||
Total Exchange-Traded Funds
|
|||||
(Cost $148,649,999)
|
188,895,527
|
||||
MONEY MARKET FUND† - 2.4%
|
|||||
Dreyfus Treasury Prime Cash Management Fund - Institutional Class 1.91%3
|
10,176,232
|
10,176,232
|
|||
Total Money Market Fund
|
|||||
(Cost $10,176,232)
|
10,176,232
|
||||
Total Investments - 146.3%
|
|||||
(Cost $537,680,727)
|
$
|
609,877,558
|
Guggenheim Enhanced Equity Income Fund
|
|
SCHEDULE OF INVESTMENTS (Unaudited)
|
September 30, 2018
|
Contracts
|
Value
|
||||
OPTIONS WRITTEN† - (0.8)%
|
|||||
Call options on:
|
|||||
BNP Paribas S&P 500 Index Expiring October 2018 with strike price of $2,930.00
(Notional Value $125,883,936)* |
432
|
$
|
(671,760
|
)
|
|
BNP Paribas Russell 2000 Index Expiring October 2018 with strike price of $1,710.00
(Notional Value $125,715,911)* |
741
|
(978,120
|
)
|
||
BNP Paribas NASDAQ-100 Index Expiring October 2018 with strike price of $7,630.00
(Notional Value $126,618,990)* |
166
|
(1,676,600
|
)
|
||
Total Call Options Written
|
|||||
(Premiums received $3,863,220)
|
$ |
(3,326,480
|
)
|
||
Other Assets & Liabilities, net - (45.5)%
|
(189,594,219
|
)
|
|||
Total Net Assets - 100.0%
|
$
|
416,956,859
|
*
|
Non-income producing security.
|
†
|
Value determined based on Level 1 inputs — See Note 3.
|
1
|
All or a portion of these securities have been physically segregated in connection with borrowings. As of September 30, 2018, the total market value of segregated securities was $278,265,346.
|
2 |
Security represents cover for outstanding options written.
|
3
|
Rate indicated is the 7-day yield as of September 30, 2018.
|
plc — Public Limited Company
|
|
REIT — Real Estate Investment Trust
|
|
See Sector Classification in Other Information section.
|
|
|
The following table summarizes the inputs used to value the Fund's investments at September 30, 2018 (See Note 3 in the Notes to Schedule of Investments):
|
Investments in Securities (Assets)
|
Level 1
Quoted Prices
|
Level 2
Significant
Observable Inputs
|
Level 3
Significant Unobservable Inputs
|
Total
|
||||||||||||
Common Stocks
|
$
|
410,805,799
|
$
|
—
|
$
|
—
|
$
|
410,805,799
|
||||||||
Exchange-Traded Funds
|
188,895,527
|
—
|
—
|
188,895,527
|
||||||||||||
Money Market Fund
|
10,176,232
|
—
|
—
|
10,176,232
|
||||||||||||
Total Assets
|
$
|
609,877,558
|
$
|
—
|
$
|
—
|
$
|
609,877,558
|
||||||||
Investments in Securities (Liabilities)
|
Level 1
Quoted Prices
|
Level 2
Significant
Observable Inputs
|
Level 3
Significant Unobservable Inputs
|
Total
|
||||||||||||
Options Written
|
$
|
3,326,480
|
$
|
—
|
$
|
—
|
$
|
3,326,480
|
Transfers between investment levels may occur as the markets fluctuate and/or the availability of data used in an investment’s valuation changes. Transfers between valuation levels, if any, are in comparison to the valuation levels at the end of the previous fiscal year, and are effective using the fair value as of the end of the current fiscal period.
|
For the period ended September 30, 2018, there were no transfers between levels.
|
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
|
|
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
|
|
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
|
|
Fund
|
Tax Cost
|
Tax Unrealized Appreciation
|
Tax Unrealized Depreciation
|
Net Unrealized Appreciation
|
Guggenheim Enhanced Equity Income Fund
|
$ 534,896,049
|
$ 94,187,423
|
$ (22,532,394)
|
$ 71,655,029
|
(a) |
The registrant’s principal executive officer and principal financial officer have evaluated the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “Investment Company Act”)) as of a date within 90 days of the filing date of this report and have concluded, based on such evaluation, that the registrant’s disclosure controls and procedures were effective, as of that date, in ensuring that information required to be disclosed by the registrant on this Form N-Q was recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms.
|
(b) |
There was no change in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act) that occurred during the registrant’s last fiscal quarter that has materially affected or is reasonably likely to materially affect the registrant’s internal control over financial reporting.
|