0001628280-19-011494.txt : 20190906 0001628280-19-011494.hdr.sgml : 20190906 20190906171448 ACCESSION NUMBER: 0001628280-19-011494 CONFORMED SUBMISSION TYPE: DEF 14A PUBLIC DOCUMENT COUNT: 5 CONFORMED PERIOD OF REPORT: 20190830 FILED AS OF DATE: 20190906 DATE AS OF CHANGE: 20190906 EFFECTIVENESS DATE: 20190906 FILER: COMPANY DATA: COMPANY CONFORMED NAME: RYDEX VARIABLE TRUST CENTRAL INDEX KEY: 0001064046 IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: DEF 14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-08821 FILM NUMBER: 191080355 BUSINESS ADDRESS: STREET 1: 702 KING FARM BOULEVARD STREET 2: SUITE 200 CITY: ROCKVILLE STATE: MD ZIP: 20850 BUSINESS PHONE: 301-296-5100 MAIL ADDRESS: STREET 1: 702 KING FARM BOULEVARD STREET 2: SUITE 200 CITY: ROCKVILLE STATE: MD ZIP: 20850 0001064046 S000003710 U.S. Government Money Market Fund C000010379 Variable Annuity 0001064046 S000003711 Biotechnology Fund C000010380 Variable Annuity 0001064046 S000003712 Consumer Products Fund C000010381 Variable Annuity 0001064046 S000003713 Electronics Fund C000010382 Variable Annuity 0001064046 S000003714 Energy Fund C000010383 Variable Annuity 0001064046 S000003715 Energy Services Fund C000010384 Variable Annuity 0001064046 S000003716 Financial Services Fund C000010385 Variable Annuity 0001064046 S000003717 Health Care Fund C000010386 Variable Annuity 0001064046 S000003718 Internet Fund C000010387 Variable Annuity 0001064046 S000003719 Leisure Fund C000010388 Variable Annuity 0001064046 S000003720 Retailing Fund C000010389 Variable Annuity 0001064046 S000003721 Government Long Bond 1.2x Strategy Fund C000010390 Variable Annuity 0001064046 S000003722 Technology Fund C000010391 Variable Annuity 0001064046 S000003723 Telecommunications Fund C000010392 Variable Annuity 0001064046 S000003724 Transportation Fund C000010393 Variable Annuity 0001064046 S000003725 Utilities Fund C000010394 Variable Annuity 0001064046 S000003726 Real Estate Fund C000010395 Variable Annuity 0001064046 S000003727 Mid-Cap 1.5x Strategy Fund C000010396 Variable Annuity 0001064046 S000003728 Russell 2000(R) 1.5x Strategy Fund C000010397 Variable Annuity 0001064046 S000003729 Guggenheim Long Short Equity Fund C000010398 Variable Annuity 0001064046 S000003731 Weakening Dollar 2x Strategy Fund C000010400 Variable Annuity 0001064046 S000003732 Nova Fund C000010401 Variable Annuity 0001064046 S000003733 Strengthening Dollar 2x Strategy Fund C000010402 Variable Annuity 0001064046 S000003734 Commodities Strategy Fund C000010403 Variable Annuity 0001064046 S000003735 Inverse Government Long Bond Strategy Fund C000010404 Variable Annuity 0001064046 S000003738 S&P 500 Pure Value Fund C000010407 Variable Annuity 0001064046 S000003739 S&P 500 Pure Growth Fund C000010408 Variable Annuity 0001064046 S000003740 S&P SmallCap 600 Pure Value Fund C000010409 Variable Annuity 0001064046 S000003741 S&P SmallCap 600 Pure Growth Fund C000010410 Variable Annuity 0001064046 S000003742 S&P MidCap 400 Pure Value Fund C000010411 Variable Annuity 0001064046 S000003743 Precious Metals Fund C000010412 Variable Annuity 0001064046 S000003744 S&P MidCap 400 Pure Growth Fund C000010413 Variable Annuity 0001064046 S000003745 Inverse Mid-Cap Strategy Fund C000010414 Variable Annuity 0001064046 S000003746 Inverse Russell 2000(R) Strategy Fund C000010415 Variable Annuity 0001064046 S000003747 Multi-Hedge Strategies Fund C000010416 Variable Annuity 0001064046 S000003749 Europe 1.25x Strategy Fund C000010418 Variable Annuity 0001064046 S000003750 Japan 2x Strategy Fund C000010419 Variable Annuity 0001064046 S000003751 S&P 500 2x Strategy Fund C000010420 Variable Annuity 0001064046 S000003752 NASDAQ-100(R) 2x Strategy Fund C000010421 Variable Annuity 0001064046 S000003753 Dow 2x Strategy Fund C000010422 Variable Annuity 0001064046 S000003754 Inverse S&P 500 Strategy Fund C000010423 Variable Annuity 0001064046 S000003755 Inverse Dow 2x Strategy Fund C000010424 Variable Annuity 0001064046 S000003756 NASDAQ-100(R) Fund C000010425 Variable Annuity 0001064046 S000003757 Inverse NASDAQ-100(R) Strategy Fund C000010426 Variable Annuity 0001064046 S000003758 Banking Fund C000010427 Variable Annuity 0001064046 S000003759 Basic Materials C000010428 Variable Annuity 0001064046 S000011813 Russell 2000(R) 2x Strategy Fund C000032290 Variable Annuity 0001064046 S000016688 High Yield Strategy Fund C000046626 Variable Annuity 0001064046 S000023531 Global Managed Futures Strategy Fund C000069235 Variable Annuity DEF 14A 1 rvt82019proxydoc.htm DEF 14A RVT 8/2019 Proxy Combined Document



UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
  
SCHEDULE 14A
Proxy Statement Pursuant to Section 14(a) of the
Securities Exchange Act of 1934
(Amendment No.     )
  

Filed by the Registrant  x         Filed by a party other than the Registrant  ¨
Check the appropriate box:
 
 
 
¨
 
Preliminary Proxy Statement
 
 
¨
 
Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))
 
 
x
 
Definitive Proxy Statement
 
 
¨
 
Definitive Additional Materials
 
 
¨
 
Soliciting Material under § 240.14a-12
(Name of Registrant as Specified In Its Charter)

Rydex Series Funds
Rydex Dynamic Funds
Rydex Variable Trust

(Name of Person(s) Filing Proxy Statement, if other than the Registrant)





Payment of Filing Fee (Check the appropriate box):
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Fee computed on table below per Exchange Act Rules 14a-6(i)(1) and 0-11.
 
 
 
 
 
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Fee paid previously with preliminary materials.
 
 
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Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.
 
 
 
 
 
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Date Filed:
   






RYDEX SERIES FUNDS
RYDEX DYNAMIC FUNDS
RYDEX VARIABLE TRUST
Dear Shareholder:

I am writing to you on an important matter relating to each series (each, a “Fund” and collectively, the “Funds”) of Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust (each, a “Trust” and collectively, the “Trusts”), each of which is listed on the attachment to the accompanying Notice of Special Joint Meeting of Shareholders. At a meeting held on August 19, 2019, the Board of Trustees of each Trust (collectively, the “Rydex Board”) voted to approve a proposal affecting the Funds and their shareholders. The proposal is explained in the accompanying Joint Proxy Statement for Special Joint Meeting of Shareholders (the “Joint Proxy Statement”) and is subject to shareholder approval. Accordingly, the Trusts and each of their respective Funds will hold a special joint meeting of shareholders on October 24, 2019, at 10:00 a.m. Central Time, at the offices of Guggenheim Partners, LLC, located at 227 West Monroe Street, Chicago, Illinois 60606 (together with any postponements or adjournments, the “Meeting”).

At the Meeting, shareholders will be asked to consider and act upon the proposed election of ten nominees to the Rydex Board (the “Proposal”).

Three of the nominees currently serve as members of the Rydex Board. Seven of the nominees currently serve as members of the boards of trustees of certain other funds advised by the investment adviser to the Funds and its affiliates. The Funds and the other funds advised by the investment adviser to the Funds and its affiliates are collectively referred to as the “Guggenheim Family of Funds.”

Election of all of the nominees will align and consolidate the membership of each of the boards of trustees of the Guggenheim Family of Funds such that all of the funds in the Guggenheim Family of Funds are overseen by the same group of trustees. This alignment and consolidation would address immediate trustee succession needs, provide the opportunity to further streamline and enhance the effectiveness of board oversight, and result in other potential benefits, including the potential for economies of scale for Fund shareholders as certain costs are spread over a larger asset base, as described in the accompanying Joint Proxy Statement.

After careful consideration, the Rydex Board unanimously recommends that shareholders vote “FOR” the Proposal (the election of each nominee).

Shareholders also will be asked to consider and act upon the transaction of any such other business as may properly come before the Meeting.

If you were a shareholder of record of any of the Funds as of the close of business on August 26, 2019, the record date fixed by the Rydex Board, you are entitled to notice of, and to vote at, the Meeting, even if you no longer own Fund shares.

Accordingly, we are requesting that you carefully review the Joint Proxy Statement and vote using one of the methods described below.

Your vote is extremely important, and voting is quick and easy. Everything you need is enclosed. You can access the proxy materials at http://www.proxyonline.com/docs/Rydex.pdf, and you can vote in one of four ways:

By mail with the enclosed proxy card—be sure to sign, date and return it in the enclosed postage-paid envelope;

Through the web site listed in the proxy voting instructions included on your proxy card;

By telephone using the toll-free number listed in the proxy voting instructions included on your proxy card; or

In person at the Meeting.






We encourage you to vote over the Internet or by telephone, using the voting control number that appears on your proxy card.

Shareholder meetings of the Funds do not generally occur with great frequency, so we ask that you take the time to carefully consider and vote on this important proposal. Please read the enclosed information carefully before voting. If you have questions regarding the Meeting or the Proposal please call 1-800-783-5609. Financial advisors should call 1-800-345-7999.

You may revoke your proxy before the vote pursuant to that proxy is taken by: (a) written notice of its revocation to the Trust(s); (b) the subsequent execution of another proxy; (c) attending the Meeting and voting in person; or (d) written notice of the death or incapacity of the maker of the proxy received by the Trust(s) before the vote pursuant to that proxy is counted.

We appreciate your participation and prompt response in this matter and thank you for your continued support.

Sincerely,

Amy J. Lee
President

PROMPT EXECUTION AND RETURN OF THE ENCLOSED PROXY CARD IS REQUESTED. A SELF-ADDRESSED, POSTAGE-PAID ENVELOPE IS ENCLOSED FOR YOUR CONVENIENCE, ALONG WITH INSTRUCTIONS ON HOW TO VOTE OVER THE INTERNET OR BY TELEPHONE.





QUESTIONS AND ANSWERS

For your convenience, the following “Questions and Answers” are a summary of, and are not intended to be as detailed as, the discussion found in the accompanying Joint Proxy Statement for Special Joint Meeting of Shareholders (the “Joint Proxy Statement”). The information in this “Questions and Answers” section is qualified in its entirety by reference to the Joint Proxy Statement. We encourage you to carefully review the information contained in the Joint Proxy Statement.

General

Q.    Why am I receiving these proxy materials?

A.
You are receiving these proxy materials—a booklet that includes the Notice of Special Joint Meeting of Shareholders (the “Notice”), the Joint Proxy Statement and your proxy card—because you have the right to notice of, and to vote on, an important matter concerning the governance of one or more series (each, a “Fund” and collectively, the “Funds”) of Rydex Series Funds, Rydex Dynamic Funds, and Rydex Variable Trust (each, a “Trust” and collectively, the “Trusts”). In particular, you are being asked to consider and act upon the Proposal (defined below), which requires shareholder approval.

The Funds and the other funds advised by the investment advisers to the Funds and their affiliates (collectively, the “Guggenheim Family of Funds”) are currently overseen by two separate groups of trustees. One of these groups consists of the current Trustees of the Trusts (referred to hereafter collectively as the “Rydex Trustees” or individually, a “Rydex Trustee”). The other group consists of members of the boards of trustees of certain other open-end registered management investment companies, like the Funds, in the Guggenheim Family of Funds (collectively, the “Guggenheim Funds”) managed by Security Investors, LLC, the Funds’ investment adviser, or its affiliate, Guggenheim Partners Investment Management LLC.

The Board of Trustees of each Trust (collectively, the “Rydex Board”) and the boards of trustees of other funds in the Guggenheim Family of Funds, including the Guggenheim Funds (collectively, the “Guggenheim Board”), separately determined that it is in the best interests of the funds in the Guggenheim Family of Funds overseen by such boards to align and consolidate the membership of the boards so that all of the funds in the Guggenheim Family of Funds are overseen by the same trustees. Accordingly, the Rydex Board has proposed the election of ten nominees to the Rydex Board (the “Proposal”). Three of the nominees currently serve as Rydex Trustees. Seven of the nominees currently serve as members of the Guggenheim Board (referred to hereafter collectively as the “Guggenheim Trustees” or individually, a “Guggenheim Trustee”).

The Rydex Board believes that this alignment and consolidation of the boards through the election of all of the nominees would be beneficial to the Funds and their shareholders.

Q.
Why am I being asked to vote?

A.
As of August 26, 2019 (the “Record Date”), the record date fixed by the Rydex Board, you were a shareholder of record of one or more of the Funds listed on the attachment to the accompanying Notice. The Proposal requires the approval of shareholders of each applicable Trust.

After careful consideration, the Rydex Board unanimously recommends that shareholders vote “FOR” the Proposal (the election of each nominee).

Q.
Why am I being asked to elect each of the nominees as Trustees?

A.
Each of the nominees either currently serves as a Guggenheim Trustee or a Rydex Trustee. The election of the nominees is part of the intended alignment and consolidation of the membership of the Guggenheim Board with the membership of the Rydex Board. If shareholders approve the election of all of the nominees, the Rydex Board’s membership will be expanded to include the seven nominees who do not currently serve as Rydex Trustees. Each nominee (other than Ms. Amy J. Lee) would not be deemed to be an “interested person,” as that term is defined under the Investment Company Act of 1940, of the Trusts. Ms. Lee would be considered an “interested person” of each Trust by virtue of her role with the Funds’ investment adviser and its affiliates (collectively referred to as “Guggenheim Investments”).






Election of all of the nominees will align the membership of the boards of trustees of the Guggenheim Family of Funds. This alignment and consolidation would address immediate trustee succession needs, provide the opportunity to further streamline and enhance the effectiveness of board oversight and result in other potential benefits, including the potential for economies of scale for Fund shareholders as certain costs are spread over a larger asset base, as described in the accompanying Joint Proxy Statement.

Please note that separate proxy statements are being sent to shareholders of other funds in the Guggenheim Family of Funds, including the Guggenheim Funds, who are also being asked to vote on the election of the same slate of nominees to the boards of their respective funds. If you owned shares of other funds in the Guggenheim Family of Funds as of the applicable record date, you will receive separate proxy materials with respect to this proposal as it relates to such funds. Please review these materials and separately vote on the proposal for the other funds in the Guggenheim Family of Funds.

Q.
Why has the Rydex Board approved the Proposal (the election of each nominee)?

A.
Guggenheim Investments recommended that the Rydex Board approve the proposal (the election of each nominee) after considering the potential benefits of aligning and consolidating the membership of the boards of trustees of the Guggenheim Family of Funds, the immediate governance succession needs of the Rydex Board and the longer-term governance succession needs of the Guggenheim Board.

The proposed consolidated board consists of the Guggenheim Board and certain current Rydex Trustees and is part of a broader effort to enhance the effectiveness of board oversight of the Guggenheim Family of Funds.

The Rydex Board believes that the addition of well-qualified individuals to the Rydex Board who bring experience with other funds within the Guggenheim Family of Funds would enhance board oversight, while addressing immediate trustee governance succession needs. The Rydex Board also believes that the board combination offers other potential benefits to Fund shareholders from efficiencies and economies of scale as certain fixed costs are spread over a larger asset base.

The Rydex Board took into account Guggenheim Investments’ recommendation and the foregoing considerations, as well as the broader initiative to enhance the effectiveness of board oversight of the Guggenheim Family of Funds, in determining to approve the Proposal and present the Proposal to shareholders for a vote. (The factors considered by the Rydex Board in approving the Proposal are described further in the section entitled “Summary of the Reasons for the Board Alignment and Consolidation”).

Voting

Q.
Who is asking for my vote?

A.
Your vote is being solicited by and on behalf of the Rydex Board for use at the special joint meeting of shareholders of each Trust and each of its respective Funds to be held on October 24, 2019 (together with any postponements or adjournments, the “Meeting”). As a shareholder of record of one or more of the Funds as of the close of business on the Record Date, you are entitled to notice of, and to vote at, the Meeting, even if you no longer own Fund shares. Accordingly, the other shareholders of record of the Funds as of the close of business on the Record Date are being sent these proxy materials.

Q.
How does the Rydex Board recommend that I vote?

A.
After careful consideration, the Rydex Board unanimously recommends that shareholders vote “FOR” the Proposal (the election of each nominee). Please see the section entitled “Summary of the Reasons for the Board Alignment and Consolidation” with respect to the Proposal for a discussion of the Rydex Board’s considerations in making such recommendation.

Q.
Why am I receiving the information about the Funds I do not own?

A.
The Proposal is similar for each Trust and series thereof (each, a Fund), and management of the Funds has concluded that it is cost-effective to hold the Meeting concurrently for all of the Funds and Trusts.






Q.
What vote is required to approve the Proposal?

A.
Each shareholder is entitled to one vote for each share held and a fractional vote proportionate to fractional shares held as of the Record Date.

For each Trust, 33 and 1/3% of the shares entitled to vote at the Meeting shall constitute a quorum at the Meeting.

When a quorum is present, a plurality of the shares voted shall elect a nominee as Trustee. A “plurality” means that nominees who receive the largest number of votes cast (even if they receive less than a majority) will be elected as Trustees.

The Proposal applies on a Trust-wide basis, and all series of each Trust (i.e., the respective Funds) and classes thereof will vote together on the Proposal. However, the vote on the Proposal (or any other proposal) or the election of a nominee by the shareholders of one Trust will not affect the Proposal (or any other proposal) or the election of a nominee with respect to the other Trusts.

Q.    Will my vote make a difference?

A.
Yes! Your vote is needed to ensure that the Proposal can be acted upon, and your vote can make a difference in the governance of the Fund(s) that you own. We encourage all shareholders to participate in the governance of their Fund(s). Additionally, your immediate response on the enclosed proxy card, on the Internet or over the phone will help save the costs of any further solicitations.

Q.
If I am a small investor, why should I bother to vote?

A.
You should vote because every vote is important. If numerous shareholders just like you do not vote, the Trusts may not receive enough votes to go forward with the Meeting. If this happens, the Trusts will need to solicit votes again. This may delay the Meeting and the approval of the Proposal and generate unnecessary costs.

Q.
How do I place my vote?

A.
Voting is quick and easy. Everything you need is enclosed. You may provide a Trust with your vote: (i) by mail with the enclosed proxy card; (ii) by Internet by following the instructions in the proxy voting instructions included on your proxy card; (iii) by telephone using the toll-free number listed in the proxy voting instructions included on your proxy card; (iv) or in person at the Meeting. You may use the enclosed postage-paid envelope to mail your proxy card. Please follow the enclosed instructions to vote using any of the enumerated methods.

If we do not receive your vote promptly, you may be contacted by a representative of the Funds or AST Fund Solutions, LLC, the Funds’ proxy solicitor, reminding you to vote your shares.

The person(s) named as proxies on the enclosed proxy card will vote in accordance with your directions marked on the proxy card, if your proxy is received properly executed.

Q.
Whom do I call if I have questions?

A.
We will be happy to answer your questions about this proxy solicitation. If you have questions regarding the Meeting or the Proposal please call 1-800-783-5609. Financial advisors should call 1-800-345-7999.

PROMPT EXECUTION AND RETURN OF THE ENCLOSED PROXY CARD IS REQUESTED. A SELF-ADDRESSED, POSTAGE-PAID ENVELOPE IS ENCLOSED FOR YOUR CONVENIENCE, ALONG WITH INSTRUCTIONS ON HOW TO VOTE OVER THE INTERNET OR BY TELEPHONE. 





RYDEX SERIES FUNDS
RYDEX DYNAMIC FUNDS
RYDEX VARIABLE TRUST

702 King Farm Boulevard
Suite 200
Rockville, Maryland 20850
(301) 296-5100

NOTICE OF SPECIAL JOINT MEETING OF SHAREHOLDERS
TO BE HELD ON OCTOBER 24, 2019

NOTICE IS HEREBY GIVEN THAT A SPECIAL JOINT MEETING OF SHAREHOLDERS of each of Rydex Series Funds, Rydex Dynamic Funds, and Rydex Variable Trust (each, a “Trust” and, collectively, the “Trusts”), each a Delaware statutory trust, and each of their respective series on the attached list (each, a “Fund” and, collectively, the “Funds”) will be held on October 24, 2019, at 10:00 a.m. Central Time, at the offices of Guggenheim Partners, LLC, located at 227 West Monroe Street, Chicago, Illinois 60606 (with any postponements or adjournments, the “Meeting”).

At the Meeting, and as specified in greater detail in the Joint Proxy Statement for Special Joint Meeting of Shareholders (the “Joint Proxy Statement”) accompanying this Notice, shareholders of the Funds will be asked to consider and act upon the following proposals:

1.    To elect the following ten nominees to the Board of Trustees of each Trust:

Randall C. Barnes
Angela Brock-Kyle
Donald A. Chubb, Jr.
Jerry B. Farley
Roman Friedrich III
Thomas F. Lydon, Jr.
Ronald A. Nyberg
Sandra G. Sponem
Ronald E. Toupin, Jr.
Amy J. Lee

2.    To transact such other business as may properly come before the Meeting. 

After careful consideration, the Board of Trustees of each Trust unanimously recommends that shareholders vote “FOR” Proposal 1 (the election of each nominee).

If you were a shareholder of record of one or more of the Funds at the close of business on August 26, 2019, the record date fixed by the Board of Trustees of each Trust, you are entitled to notice of, and to vote at, the Meeting, even if you no longer own Fund shares.

We call your attention to the accompanying Joint Proxy Statement. You are requested to complete, date and sign the enclosed proxy card and return it promptly in the envelope provided for that purpose. Your proxy card also provides instructions for voting via telephone or the Internet if you wish to take advantage of these voting options. You may revoke your proxy before the vote pursuant to that proxy is taken by: (a) written notice of its revocation to the Trust(s); (b) the subsequent execution of another proxy; (c) attending the Meeting and voting in person; or (d) written notice of the death or incapacity of the maker of the proxy received by the Trust(s) before the vote pursuant to that proxy is counted.
By Order of the Board of Trustees of each Trust,

Sandra G. Sponem
Chairperson of the Boards of Trustees of Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust






YOUR VOTE IS VERY IMPORTANT TO US REGARDLESS OF THE NUMBER OF VOTES YOU HOLD. PROMPT EXECUTION AND RETURN OF THE ENCLOSED PROXY CARD IS REQUESTED. A SELF-ADDRESSED, POSTAGE-PAID ENVELOPE IS ENCLOSED FOR YOUR CONVENIENCE, ALONG WITH INSTRUCTIONS ON HOW TO VOTE OVER THE INTERNET OR BY TELEPHONE. IF YOU VOTE BY TELEPHONE OR INTERNET, PLEASE DO NOT RETURN YOUR PROXY CARD UNLESS YOU ELECT TO CHANGE YOUR VOTE.

 





FUNDS PARTICIPATING IN THE MEETING
TO BE HELD ON OCTOBER 24, 2019
Rydex Series Funds
Rydex Domestic Equity – Broad Market Funds
Sector Funds (continued)
Inverse Mid-Cap Strategy Fund
Leisure Fund
Inverse NASDAQ-100® Strategy Fund
Precious Metals Fund
Inverse Russell 2000® Strategy Fund
Retailing Fund
Inverse S&P 500® Strategy Fund
Technology Fund
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Telecommunications Fund
Mid-Cap 1.5x Strategy Fund
Transportation Fund
Nova Fund
Utilities Fund
NASDAQ-100® Fund
Rydex International Equity Funds
Russell 2000® Fund
Europe 1.25x Strategy Fund
Russell 2000® 1.5x Strategy Fund
Japan 2x Strategy Fund
S&P 500® Fund
Emerging Markets 2x Strategy Fund
Dow Jones Industrial Average® Fund
Inverse Emerging Markets 2x Strategy Fund
Rydex Domestic Equity – Pure Style Funds
Rydex Specialty Funds
S&P 500® Pure Growth Fund
Commodities Strategy Fund
S&P 500® Pure Value Fund
Strengthening Dollar 2x Strategy Fund
S&P MidCap 400® Pure Growth Fund
Weakening Dollar 2x Strategy Fund
S&P MidCap 400® Pure Value Fund
Real Estate Fund
S&P SmallCap 600® Pure Growth Fund
Rydex Fixed Income Funds
S&P SmallCap 600® Pure Value Fund
Government Long Bond 1.2x Strategy Fund
Rydex Sector Funds
Inverse Government Long Bond Strategy Fund
Banking Fund
High Yield Strategy Fund
Basic Materials Fund
Inverse High Yield Strategy Fund
Biotechnology Fund
Emerging Markets Bond Strategy Fund
Consumer Products Fund
Guggenheim Alternative Funds
Electronics Fund
Long Short Equity Fund
Energy Fund
Multi-Hedge Strategies Fund
Energy Services Fund
Managed Futures Strategy Fund
Financial Services Fund
Rydex Money Market Fund
Health Care Fund
U.S. Government Money Market Fund
Internet Fund
 

Rydex Dynamic Funds

S&P 500® 2x Strategy Fund
Dow 2x Strategy Fund
Inverse S&P 500® 2x Strategy Fund
Inverse Dow 2x Strategy Fund
NASDAQ-100® 2x Strategy Fund
Russell 2000® 2x Strategy Fund
Inverse NASDAQ-100® 2x Strategy Fund
Inverse Russell 2000® 2x Strategy Fund








Rydex Variable Trust
Rydex Domestic Equity – Broad Market Funds
Rydex Sector Funds (continued)
Dow 2x Strategy Fund
Health Care Fund
NASDAQ-100® 2x Strategy Fund
Internet Fund
Russell 2000® 2x Strategy Fund
Leisure Fund
S&P 500® 2x Strategy Fund
Precious Metals Fund
Inverse Dow 2x Strategy Fund
Retailing Fund
Inverse Mid-Cap Strategy Fund
Technology Fund
Inverse NASDAQ-100® Strategy Fund
Telecommunications Fund
Inverse Russell 2000® Strategy Fund
Transportation Fund
Inverse S&P 500® Strategy Fund
Utilities Fund
Mid-Cap 1.5x Strategy Fund
Rydex International Equity Funds
Nova Fund
Europe 1.25x Strategy Fund
NASDAQ-100® Fund
Japan 2x Strategy Fund
Russell 2000® 1.5x Strategy Fund
Rydex Specialty Funds
S&P 500® Pure Growth Fund
Commodities Strategy Fund
S&P 500® Pure Value Fund
Strengthening Dollar 2x Strategy Fund
S&P MidCap 400® Pure Growth Fund
Weakening Dollar 2x Strategy Fund
S&P MidCap 400® Pure Value Fund
Real Estate Fund
S&P SmallCap 600® Pure Growth Fund
Rydex Fixed Income Funds
S&P SmallCap 600® Pure Value Fund
Government Long Bond 1.2x Strategy Fund
Rydex Sector Funds
Inverse Government Long Bond Strategy Fund
Banking Fund
High Yield Strategy Fund
Basic Materials Fund
Guggenheim Alternative Funds
Biotechnology Fund
Long Short Equity Fund
Consumer Products Fund
Global Managed Futures Strategy Fund
Electronics Fund
Multi-Hedge Strategies Fund
Energy Fund
Rydex Money Market Fund
Energy Services Fund
U.S. Government Money Market Fund
Financial Services Fund
 






TABLE OF CONTENTS
1

PROPOSAL ONE – ELECTION OF TEN NOMINEES TO THE RYDEX BOARD
2

Explanation of the Board Alignment and Consolidation
3

Summary of the Reasons for the Board Alignment and Consolidation
3

Information Regarding the Nominees and Current Trustees
5

Additional Information About the Rydex Board and the Nominees
10

Board Meetings
10

Board Leadership Structure
10

Board Committees
10

Board Consideration of Each Nominee's Qualifications, Experience, Attributes and Skills
11

Ownership of Securities
14

Compensation
15

Additional Information About the Officers of the Trusts
15

Board's Role in Risk Oversight
15

Role of Diversity in Considering Board Candidates
17

Information About the Trusts' Registered Public Accounting Firm
17

Required Vote
17

Rydex Board's Recommendation
17

OTHER BUSINESS
18

ADDITIONAL INFORMATION
18

Shareholder Communications
18

Investment Adviser
18

Administrator, Transfer Agent and Distributor
18

Voting Information
18

Shareholder Proposals
20

APPENDIX A - GOVERNANCE AND NOMINATING COMMITTEE CHARTER
A-1

APPENDIX B - NOMINEES, TRUSTEES AND MANAGEMENT OWNERSHIP
B-1

APPENDIX C - OFFICERS OF THE TRUSTS
C-1

APPENDIX D - INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM AND RELATED FEES
D-1

APPENDIX E - OUTSTANDING SHARES
E-1

APPENDIX F - BENEFICIAL OWNERS OF MORE THAN 5% OF A CLASS OF EACH FUND
F-1











RYDEX SERIES FUNDS
RYDEX DYNAMIC FUNDS
RYDEX VARIABLE TRUST

702 King Farm Boulevard
Suite 200
Rockville, Maryland 20850
(301) 296-5100

JOINT PROXY STATEMENT FOR SPECIAL JOINT MEETING OF SHAREHOLDERS

TO BE HELD ON OCTOBER 24, 2019

This Joint Proxy Statement and enclosed Notice of Special Joint Meeting of Shareholders (the “Notice”) and proxy card are being furnished in connection with the solicitation of proxies by and on behalf of the Boards of Trustees (collectively, the “Rydex Board” or their members, the “Rydex Trustees”) of Rydex Series Funds, Rydex Dynamic Funds, and Rydex Variable Trust (each, a “Trust” and, collectively, the “Trusts”), each a Delaware statutory trust. The proxies are being solicited for use at a special joint meeting of shareholders of each Trust and each of its respective series on the list attached to the Notice (each, a “Fund” and, collectively, the “Funds”) to be held on October 24, 2019, at 10:00 a.m. Central Time, at the offices of Guggenheim Partners, LLC, located at 227 West Monroe Street, Chicago, Illinois 60606 (with any postponements or adjournments, the “Meeting”).

At the Meeting, and as described in this Joint Proxy Statement, shareholders of the Funds will be asked to consider and act upon the following proposals:
1.    To elect the following ten nominees to the Rydex Board:
Randall C. Barnes
Angela Brock-Kyle
Donald A. Chubb, Jr.
Jerry B. Farley
Roman Friedrich III
Thomas F. Lydon, Jr.
Ronald A. Nyberg
Sandra G. Sponem
Ronald E. Toupin, Jr.
Amy J. Lee

2.    To transact such other business as may properly come before the Meeting. 

After careful consideration, the Rydex Board unanimously recommends that shareholders vote “FOR” Proposal 1 (the election of each nominee). Proposal 1 will be voted upon separately by each Trust. However, Proposal 1 applies on a Trust-wide basis, and all series of each Trust (i.e., the respective Funds) and classes thereof will vote together on Proposal 1.

As further explained below, election of all of the nominees will align and consolidate the membership of the boards of trustees of the Guggenheim Family of Funds (as defined below) such that all of the funds in the Guggenheim Family of Funds are overseen by the same group of trustees. This alignment and consolidation would address immediate trustee succession needs, provide the opportunity to further streamline and enhance the effectiveness of board oversight and result in other potential benefits, as described below, including the potential for economies of scale for Fund shareholders as certain costs are spread over a larger asset base. The Funds and the other funds advised by the advisers to the Funds and their affiliates are collectively referred to as the “Guggenheim Family of Funds.”

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This Joint Proxy Statement and the accompanying Notice and proxy card are anticipated to be first mailed to shareholders on or about September 13, 2019.

The Rydex Board has determined that the use of this Joint Proxy Statement for the Meeting is in the best interests of each Trust (and its corresponding Funds) and its shareholders because the same matter is being considered and voted on by the shareholders of the other Trusts (and their corresponding Funds).

If you were a shareholder of record of one or more of the Funds at the close of business on August 26, 2019 (the “Record Date”), the record date fixed by the Rydex Board, you are entitled to notice of, and to vote at, the Meeting, even if you no longer own Fund shares.

If you have any questions about Proposal 1 please call 1-800-783-5609. Financial advisors should call 1-800-345-7999.

IMPORTANT NOTICE REGARDING THE INTERNET AVAILABILITY OF PROXY MATERIALS FOR THE SPECIAL JOINT MEETING OF SHAREHOLDERS TO BE HELD ON OCTOBER 24, 2019.

These proxy materials are available on the Internet at http://www.proxyonline.com/docs/Rydex.pdf.

Shareholders can find additional information about each Fund in the corresponding Trust’s most recent annual and semi-annual reports to shareholders, which include financial statements for the fiscal year ended December 31, 2018 (audited) and the six-months ended June 30, 2018 (unaudited), with respect to Rydex Variable Trust and the Multi-Hedge Strategies Fund, Managed Futures Strategy Fund, and Commodities Strategy Fund series of Rydex Series Funds, and financial statements for the fiscal year ended March 31, 2019 (audited) and the six-months ended September 30, 2018 (unaudited), with respect to Rydex Series Funds (excluding the Trust’s Multi-Hedge Strategies Fund, Managed Futures Strategy Fund, and Commodities Strategy Fund) and the Rydex Dynamic Funds. You may obtain copies of these reports without charge by writing the applicable Trust, by calling the telephone number shown on the front page of this Joint Proxy Statement or at www.guggenheiminvestments.com.

PROPOSAL ONE

ELECTION OF TEN NOMINEES TO THE RYDEX BOARD

Proposal 1 relates to the election of the following individuals to the Rydex Board (each, a “Nominee” and, collectively, the “Nominees”):

Nominees – Current Trustees of the Trusts
•    Angela Brock-Kyle
•    Thomas F. Lydon, Jr.
•    Sandra G. Sponem
Nominees – Not Current Trustees of the Trusts
•    Randall C. Barnes
•    Donald A. Chubb, Jr.
•    Jerry B. Farley
•    Roman Friedrich III
•    Ronald A. Nyberg
•    Ronald E. Toupin, Jr.
•    Amy J. Lee

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The Rydex Board is currently composed of five Trustees (collectively, the “Rydex Trustees” or each, a “Rydex Trustee”): Angela Brock-Kyle, Corey A. Colehour, J. Kenneth Dalton, Thomas F. Lydon, Jr., and Sandra G. Sponem. Three of the Nominees are Rydex Trustees: Angela Brock-Kyle, Thomas F. Lydon, Jr. and Sandra G. Sponem (collectively, the “Rydex Nominees”). Seven of the Nominees are not Rydex Trustees (referred to herein as the “Guggenheim Nominees”)—Randall C. Barnes, Donald A. Chubb, Jr., Jerry B. Farley, Roman Friedrich III, Ronald A. Nyberg, Ronald E. Toupin, Jr., and Amy J. Lee—but currently serve as members of the boards of trustees of certain other funds (collectively, the “Guggenheim Funds”) in the Guggenheim Family of Funds (collectively, the Guggenheim Board,” with the members of the Guggenheim Board referred to individually as a “Guggenheim Trustee” and collectively, the “Guggenheim Trustees), as explained below.

Each Nominee, other than Ms. Lee, would not be deemed to be an “interested person,” as that term is defined under the Investment Company Act of 1940 (the “1940 Act”), of the Trusts (an “Independent Trustee”). Ms. Lee would be considered an “interested person” of each Trust by virtue of her role with the Funds’ investment adviser and its affiliates (collectively referred to as “Guggenheim Investments”). Of the Rydex Nominees, only Mr. Lydon has previously been elected by shareholders. If elected, the Guggenheim Nominees are expected to assume office immediately following the meeting of the Rydex Board currently scheduled to be held in November 2019, or at such later date following election by shareholders, and would serve during the lifetime of the Trusts or until he or she dies, resigns, has reached the mandatory retirement age, is declared incompetent by a court of appropriate jurisdiction, is removed, or until his or her successors are duly elected and qualified.

Following discussions with Guggenheim Investments over the past several months and meetings of the Governance and Nominating Committees of the Rydex Board (collectively, the “Governance and Nominating Committee”) with each of the Guggenheim Nominees, the Governance and Nominating Committee selected and recommended, and the Rydex Board unanimously nominated, the Nominees for election as Rydex Trustees at a meeting of the Rydex Board held on August 19, 2019. The Rydex Board also determined to increase the size of the Rydex Board to accommodate each Nominee.

Explanation of the Board Alignment and Consolidation

The funds that are part of the Guggenheim Family of Funds currently are overseen by separate groups of trustees. One of these groups consists of the Rydex Trustees. The other group consists of the Guggenheim Trustees. The Guggenheim Family of Funds consists of U.S. registered investment companies advised by the Funds’ investment adviser or its affiliates and is comprised of 6 closed-end funds and 151 open-end funds.

As further explained below, the election of all of the Nominees will align and consolidate the membership of the boards of trustees of the Guggenheim Family of Funds such that all of the funds in the Guggenheim Family of Funds are overseen by the same group of trustees. This alignment and consolidation would address immediate trustee succession needs, provide the opportunity to further streamline and enhance the effectiveness of board oversight and result in other potential benefits, including the potential for economies of scale for Fund shareholders as certain costs are spread over a larger asset base.

The Rydex Board and the Guggenheim Board separately determined that it is in the best interests of the funds in the Guggenheim Family of Funds overseen by such boards to align and consolidate the membership of the boards so that all of the funds in the Guggenheim Family of Funds are overseen by the same trustees. Separate proxy statements are being sent to shareholders of the other funds in the Guggenheim Family of Funds who are also being asked to vote on the election of the same slate of nominees to the boards of the respective funds.

Summary of the Reasons for the Board Alignment and Consolidation

Many of the funds in the Guggenheim Family of Funds were organized at different times by different sponsors, and, as a result, their governance and board reporting processes do not yet fully reflect a common

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overall design. Proposal 1 is the result of an effort on the part of the Guggenheim Board, the Rydex Board and Guggenheim Investments to align and consolidate the membership of the boards so that the same trustees serve on each board for the Guggenheim Family of Funds, in connection with Guggenheim Investments’ broader initiative to enhance the effectiveness of board oversight. Over the past several months, representatives of the Rydex Board met with representatives of the Guggenheim Board and with Guggenheim Investments to consider and develop the proposal to align and consolidate the membership of the boards. The Independent Trustees also met with their independent legal counsel to consider and discuss matters relating to the alignment and consolidation of the boards.

The Rydex Board believes that it is in the best interests of the Funds to elect each of the Nominees, thereby creating an aligned, consolidated board that the Rydex Trustees believe would benefit the Funds because, among other reasons, the increased size, diversity, skill sets, backgrounds and depth of experience of the aligned and consolidated board would allow the proposed consolidated board to better respond to the increasing complexities of the registered fund business. It also provides the opportunity to address succession issues associated with Trustee retirements, both in the near term and thereafter. The Rydex Board further believes that it is in Fund shareholders’ best interests to have a board that is, to the extent possible, composed of elected Trustees.

The Rydex Board also considered that the board alignment and consolidation proposal is part of a broader effort to align and enhance the efficiency of the governance of the Funds and the other funds in the Guggenheim Family of Funds. In reaching the conclusion that the board alignment and consolidation is in the best interests of the Funds and their shareholders, the Board of each Trust considered a number of factors, including the following:

the potential for greater Board oversight efficiencies, including consistent and uniform oversight of common matters and processes across the Guggenheim Family of Funds;

the likely benefits of holding joint board and committee meetings and creating a uniform committee structure, as well as a single set of committee charters and board and committee policies and processes;

certain governance and other costs would be spread over a larger asset base, which could lead to reduced costs experienced by individual funds in the Guggenheim Family of Funds over time;

Guggenheim Investments and officers of the funds in the Guggenheim Family of Funds could focus greater resources and time on matters that more directly benefit shareholders, such as new product initiatives, distribution opportunities, fund services and other matters;

greater uniformity of shareholder experiences throughout the Guggenheim Family of Funds; and

a consolidated board is consistent with common industry practices.

Members of the Governance and Nominating Committee (which is comprised solely of Independent Trustees) met with each of Randall C. Barnes, Donald A. Chubb, Jr., Jerry B. Farley, Roman Friedrich III, Ronald A. Nyberg, Ronald E. Toupin, Jr., and Amy J. Lee prior to his or her nomination to the Rydex Board, and the Committee considered each Nominee, including his or her qualifications and experience, and recommended each Nominee’s nomination to the Rydex Board. Based on this recommendation, the Rydex Board has recommended for election by shareholders each of the Nominees to the Rydex Board.

Likewise, the Guggenheim Board also has recommended for election by shareholders each of Angela Brock-Kyle, Thomas F. Lydon, Jr., and Sandra G. Sponem (in addition to Ms. Lee and Messrs. Barnes, Chubb, Farley, Friedrich, Nyberg, and Toupin) to serve on the Guggenheim Board, subject to approval by shareholders of the applicable Guggenheim Funds trust. In addition to the Funds and the Guggenheim Funds, other open-

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end and closed-end funds comprising the Guggenheim Family of Funds have also recommended the trustee nominees for election to further effect the board consolidation.

Each Nominee has consented to serve as a Rydex Trustee, if elected, and to be named in this Joint Proxy Statement. There is no reason to believe that the Nominees will become unavailable for election as a Rydex Trustee, but if that should occur before the Meeting, votes will be cast for the persons the Governance and Nominating Committee and the Rydex Board recommend.

The term of office of each Rydex Trustee, if elected at this Meeting, terminates when he or she dies, resigns, has reached the mandatory retirement age, is declared incompetent by a court of appropriate jurisdiction, is removed, or until his or her successors are duly elected and qualified.

Information Regarding the Nominees and Current Trustees

The following table lists the Nominees, their year of birth, current position(s) held with the Trusts, length of time served, principal occupations during the past five years, number of funds currently overseen within the Guggenheim Family of Funds and other directorships held by the Nominees during the past five years. Each Nominee, other than Ms. Lee, would be an Independent Trustee. Ms. Lee would be an “interested person” of each Trust by virtue of her role with Guggenheim Investments. In the tables below, the term “Fund Complex” has the same meaning as Guggenheim Family of Funds, which for the purposes of this table includes an additional fund that has a servicing agent that is an affiliated person of the Funds' investment adviser.

Name, Address1 and Year of Birth of Nominees
Position(s) Held with the Trusts
Term of Office and Length of Time Served2
 Principal Occupation(s) During Past 5 Years
Number of Portfolios in the Guggenheim Family of Funds Overseen by Nominee
Other Directorships Held by Nominees During Past 5 Years3
Independent Trustees
Randall C. Barnes
(1951)
None (Nominee)
N/A
Current: Private Investor (2001-present).
Former: Senior Vice President and Treasurer, PepsiCo, Inc. (1993-1997); President, Pizza Hut International (1991-1993); Senior Vice President, Strategic Planning and New Business Development, PepsiCo, Inc. (1987-1990).
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Current: Trustee, Purpose Investments Funds (2013-present).
Former: Managed Duration Investment Grade Municipal Fund (2003-2016).
Angela Brock-Kyle
(1959)
Trustee
Since 2016 (Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)
Current: Founder and Chief Executive Officer, B.O.A.R.D.S (consulting firm).
Former: Senior Leader, TIAA (financial services firm) (1987-2012).
109
None.

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Name, Address1 and Year of Birth of Nominees
Position(s) Held with the Trusts
Term of Office and Length of Time Served2
 Principal Occupation(s) During Past 5 Years
Number of Portfolios in the Guggenheim Family of Funds Overseen by Nominee
Other Directorships Held by Nominees During Past 5 Years3
Donald A. Chubb, Jr.
(1946)
None (Nominee)
N/A
Current: Retired.
Former: Business broker and manager of commercial real estate, Griffith & Blair, Inc. (1997-2017).
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Former: Midland Care, Inc. (2011-2016).
Jerry B. Farley
(1946)
None (Nominee)
N/A
Current: President, Washburn University (1997-present).
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Current: CoreFirst Bank & Trust (2000-present).
Former: Westar Energy, Inc. (2004-2018).
Roman Friedrich III
(1946)
None (Nominee)
N/A
Current: Founder and Managing Partner, Roman Friedrich & Company (1998-present).
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Former: Zincore Metals, Inc. (2009-January 2019).
Thomas F. Lydon, Jr.
(1960)
Trustee and Chairperson of the Governance and Nominating Committee
Since 2005 (Trustee, Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)

Since 2017 (Chairperson of the Governance and Nominating Committee, Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)
Current: President, Global Trends Investments (registered investment adviser) (1996-present).
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Current: Board of Directors of US Global Investors (GROW) (1995-present) and Board of Trustees Harvest Volatility Edge Trust (3) (2017-present).

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Name, Address1 and Year of Birth of Nominees
Position(s) Held with the Trusts
Term of Office and Length of Time Served2
 Principal Occupation(s) During Past 5 Years
Number of Portfolios in the Guggenheim Family of Funds Overseen by Nominee
Other Directorships Held by Nominees During Past 5 Years3
Ronald A. Nyberg
(1953)
None (Nominee)
N/A
Current: Partner, Momkus LLC (2016-present).
Former: Partner, Nyberg & Cassioppi, LLC (2000-2016); Executive Vice President, General Counsel, and Corporate Secretary, Van Kampen Investments (1982-1999).

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Current: PPM Funds (9) (2018-present); Edward-Elmhurst Healthcare System (2012-present); Western Asset Inflation-Linked Income Fund (2003-present); Western Asset Inflation-Linked Opportunities & Income Fund (2004-present).
Former: Managed Duration Investment Grade Municipal Fund (2003-2016).
Sandra G. Sponem
(1958)
Trustee and Chairperson of the Board
Since 2016 (Trustee, Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)

Since 2019 (Chairperson of the Board, Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)
Retired.
Former: Senior Vice President and Chief Financial Officer, M.A. Mortenson Companies, Inc. (construction and real estate development company) (2007-2017).
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Current: Boards of Trustees of SPDR Series Trust (78) (2018-present); SPDR Index Shares Funds (31) (2018-present); SSGA Active Trust (12) (2018-present); and SSGA Master Trust (1) (2018-present).

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Name, Address1 and Year of Birth of Nominees
Position(s) Held with the Trusts
Term of Office and Length of Time Served2
 Principal Occupation(s) During Past 5 Years
Number of Portfolios in the Guggenheim Family of Funds Overseen by Nominee
Other Directorships Held by Nominees During Past 5 Years3
Ronald E. Toupin, Jr.
(1958)
None (Nominee)
N/A
Current: Portfolio Consultant (2010-present); Member, Governing Council, Independent Directors Council (2013-present); Governor, Board of Governors, Investment Company Institute (2018-present).
Former: Member, Executive Committee, Independent Directors Council (2016-2018); Vice President, Manager and Portfolio Manager, Nuveen Asset Management (1998-1999); Vice President, Nuveen Investment Advisory Corp. (1992-1999); Vice President and Manager, Nuveen Unit Investment Trusts (1991-1999); and Assistant Vice President and Portfolio Manager, Nuveen Unit Investment Trusts (1988-1999), each of John Nuveen & Co., Inc. (1982-1999).
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Current: Western Asset Inflation-Linked Income Fund (2003-present); Western Asset Inflation-Linked Opportunities & Income Fund (2004-present).
Former: Managed Duration Investment Grade Municipal Fund (2003-2016).




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Name, Address1 and Year of Birth of Nominees
Position(s) Held with the Trusts
Term of Office and Length of Time Served2
 Principal Occupation(s) During Past 5 Years
Number of Portfolios in the Guggenheim Family of Funds Overseen by Nominee
Other Directorships Held by Nominees During Past 5 Years3
Interested Trustee
Amy J. Lee
(1961)
President
Since 2017 (Rydex Series Funds; Rydex Dynamic Funds; and Rydex Variable Trust)
Current: Interested Trustee, certain other funds in the Fund Complex (2018-present); President, certain other funds in the Fund Complex (2017-present); Chief Legal Officer, certain other funds in the Fund Complex (2014-present); Vice President, certain other funds in the Fund Complex (2007-present); Senior Managing Director, Guggenheim Investments (2012-present).

Former: Vice President, Associate General Counsel and Assistant Secretary, Security Benefit Life Insurance Company and Security Benefit Corporation (2004-2012).
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None.

1.
The business address of each Trustee (and Nominee) is c/o Guggenheim Investments, 702 King Farm Boulevard, Suite 200, Rockville, Maryland 20850.

2.
Each Trustee serves (and Nominee would serve) during the lifetime of the Trusts or until he or she dies, resigns, has reached the mandatory retirement age, is declared incompetent by a court of appropriate jurisdiction, is removed, or until his or her successors are duly elected and qualified. Time served may include time served in the respective position for the predecessor entities.

3.
Messrs. Barnes, Chubb, Farley, Friedrich, Nyberg and Toupin and Ms. Lee also serve on the boards of trustees of Guggenheim Funds Trust, Transparent Value Trust, Guggenheim Variable Funds Trust, Guggenheim Strategy Funds Trust, Fiduciary/Claymore Energy Infrastructure Fund, Guggenheim Taxable Municipal Managed Duration Trust, Guggenheim Strategic Opportunities Fund, Guggenheim Enhanced Equity Income Fund, Guggenheim Energy & Income Fund and Guggenheim Credit Allocation Fund.



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Additional Information About the Rydex Board and the Nominees

The following includes additional information about the current structure of the Rydex Board as well as its leadership, functioning and composition. The Guggenheim Board, members of which would be aligned and consolidated with the identified members of the Rydex Board, do not have identical practices. If the board alignment and consolidation is implemented, the Rydex Trustees will consider during an upcoming meeting whether any changes to current governance and oversight practices would be appropriate to further enhance existing practices and integrate the Nominees who are not currently Rydex Trustees, based on the skills of the Trustees and the interests of the Funds and their shareholders.

Board Meetings

The Rydex Board is responsible for overseeing the management and affairs of the Funds. The Rydex Board held four regular meetings and no special meetings during each Trust’s most recent fiscal year (which ended December 31, 2018, or March 31, 2019, as applicable). Each Rydex Trustee then in office attended at least 75% of the aggregate of the total number of meetings of the Rydex Board and the total number of meetings held by all committees of the Rydex Board on which the Rydex Trustee served. The Rydex Board has established the committees discussed below. If elected, the Nominees who are not currently Rydex Trustees would be expected to join the committees, and the Rydex Board would consider potential changes to its practices, committee structures and committee charters in light of the board alignment and consolidation.

Board Leadership Structure

The Rydex Board has appointed an Independent Chairperson, Ms. Sponem, who presides at board meetings and who is responsible for, among other things, participating in the planning of board meetings, setting the tone of board meetings and seeking to encourage open dialogue and independent inquiry among the Rydex Trustees and management. In addition, the Independent Chairperson acts as a liaison with officers, counsel and other Rydex Trustees between meetings of the Rydex Board. The Independent Chairperson also may perform such other functions as may be delegated by the Rydex Board from time to time. The Rydex Board established two standing committees (as described below) and has delegated certain responsibilities to those committees, each of which is comprised solely of Independent Trustees. The Rydex Board and its committees meet periodically throughout the year to oversee the Funds’ activities, review contractual arrangements with service providers, review the Funds’ financial statements, oversee compliance with regulatory requirements and review performance. The Rydex Board also may establish informal working groups from time to time to review and address the policies and practices of the Trusts or the Rydex Board with respect to certain specified matters. The Independent Trustees are advised by independent legal counsel experienced in 1940 Act matters and are represented by such independent legal counsel at board and committee meetings. The Rydex Board has determined that this leadership structure, including an Independent Chairperson, a supermajority of Independent Trustees and committee membership limited to Independent Trustees, is appropriate in light of the characteristics and circumstances of the Trusts.

Board Committees

Audit Committee—Mses. Brock-Kyle and Sponem, and Messrs. Colehour, Dalton, and Lydon, each an Independent Trustee, serve on the Audit Committee of the Rydex Board (the “Audit Committee”). The Audit Committee is generally responsible for certain oversight matters, such as reviewing the Trusts’ systems for accounting, financial reporting and internal controls and, as appropriate, the internal controls of certain service providers, overseeing the integrity of the Trusts’ financial statements (and the audit thereof), as well as the qualifications, independence and performance of the Trusts’ independent registered public accounting firm. The Audit Committee is also responsible for recommending to the Rydex Board the appointment, retention and termination of the Trusts’ independent registered public accounting firm and acting as a liaison between the Rydex Board and the corresponding Trust’s independent registered public

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accounting firm. The Audit Committee held four meetings during the Trusts’ most recently completed fiscal year.
 
Governance and Nominating Committee—Mses. Brock-Kyle and Sponem, and Messrs. Colehour, Dalton, and Lydon, each an Independent Trustee, serve on the Governance and Nominating Committee. The purpose of the Governance and Nominating Committee is to review matters and make recommendations to the Rydex Board pertaining to the composition, committees and operations of the Rydex Board, including Independent Trustee compensation and expense reimbursement. The Governance and Nominating Committee is responsible for recommending qualified candidates to the Rydex Board in the event that a position is vacated or created. The Governance and Nominating Committee would consider recommendations by shareholders if a vacancy were to exist and shall assess shareholder recommendations in the same manner as it reviews its own candidates. Such recommendations should be submitted to the Secretary of the applicable Trust. The Trusts do not have a standing compensation committee. The Governance and Nominating Committee held three meetings during the Trusts’ most recently completed fiscal years. Additional information regarding the Governance and Nominating Committee may be found in the charter of the Governance and Nominating Committee, which may be found in Appendix A.

Board Consideration of Each Nominee’s Qualifications, Experience, Attributes and Skills

As set forth in Appendix A, the charter of the Governance and Nominating Committee tasks the Committee with periodically reviewing the size and composition of the Rydex Board and making recommendations to the Rydex Board concerning the need to increase or decrease the size of the Rydex Board, or to add individuals with varying professional and social backgrounds or skill sets to provide a mix of knowledge, experience and cultural backgrounds as determined by the Rydex Board to be appropriate and desirable. The Committee has not set minimum qualifications for trustee candidates, and generally considers a variety of factors in considering trustee candidates, including, but not limited to: (i) availability and commitment of a candidate to attend meetings and perform his or her responsibilities on a Board; (ii) relevant industry and related experience; (iii) educational background; (iv) financial expertise; (v) an assessment of the candidate’s ability, judgment and expertise; and (v) overall diversity of a Board’s composition.

The Governance and Nominating Committee does not currently have specific procedures in place to consider nominees recommended by Fund shareholders, but would consider such nominees if submitted in accordance with Rule 14a-8 of the Securities Exchange Act of 1934 in conjunction with a shareholder meeting to consider the election of Trustees. The Rydex Board believes that such specific procedures are unnecessary, as the Governance and Nominating Committee would consider and assess recommendations by shareholders, if a vacancy were to exist, in the same manner as it reviews its own candidates.

The following is a summary of each Nominee’s qualifications, experience, attributes and skills considered by the Governance and Nominating Committee and that, on an individual basis and in combination with those of the other Nominees, served as a basis for the Rydex Board’s conclusion that each Nominee is qualified to serve (or continue to serve, as applicable) as Trustee. The Governance and Nominating Committee considered the factors as its members deemed relevant to evaluating the Nominees and considering whether each Nominee possesses the requisite skills and attributes to carry out the applicable oversight responsibilities with respect to the Funds, including, as applicable, their positions as members of the Rydex Board or other trusts in the Guggenheim Family of Funds, their business and professional background and their knowledge of the Guggenheim Family of Funds and the various service providers to such funds. The Nominees have varied experiences, attributes and skills that may be utilized in overseeing the operations of the Funds, including the Funds’ performance and service providers. Generally, no one factor was decisive or controlling in the selection of an individual as a Nominee.

Randall C. Barnes—Mr. Barnes has served as a Trustee of Guggenheim Funds Trust since 2014, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 2004. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, his service on other registered investment company boards, prior employment experience as

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President of Pizza Hut International and as Treasurer of PepsiCo, Inc. and his personal investment experience, Mr. Barnes is experienced in financial, accounting, regulatory and investment matters.

Angela Brock-Kyle—In addition to her service as trustee of the Trusts, Ms. Brock-Kyle has served as a member of the Audit Committee of the Trusts since August 2016, as a member of the Governance and Nominating Committee of the Trusts since November 2017, and as a member of the former Compliance and Risk Oversight Committee of the Trusts from November 2016 to December 31, 2018 and as Chairperson of the Committee from November 2017 to December 31, 2018. Prior to November 2017, when the Governance and Nominating Committees of the Trusts were consolidated into a single committee, Ms. Brock-Kyle served as a member of the stand-alone Governance Committee from November 2016 to November 2017. Through her prior positions, including with TIAA where she spent 25 years in leadership roles, Ms. Brock-Kyle has gained experience in multiple facets of the financial operations services industry, including institutional investment and portfolio management, enterprise-wide risk management, and liaising with various financial services regulators. Ms. Brock-Kyle also has extensive experience serving on the boards of public, private and non-profit organizations, including service as audit committee chair and as a member of governance and nominating committees. From 2014 to 2018, Ms. Brock-Kyle served as a director of Infinity Property & Casualty Inc., and since 2019 she has served as a director of Hunt Companies, Inc. Ms. Brock-Kyle’s extensive experience in the financial services industry, knowledge of the asset management industry, and experience serving on other boards qualifies her to serve as Trustee.

Donald A. Chubb, Jr.—Mr. Chubb has served as a Trustee of Guggenheim Funds Trust since 2013, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 1994. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, and his prior experience in the commercial brokerage and commercial real estate market and service as a director of Fidelity State Bank and Trust Company (Topeka, KS), Mr. Chubb is experienced in financial, regulatory and investment matters.

Dr. Jerry B. Farley—Dr. Farley has served as a Trustee of Guggenheim Funds Trust since 2013, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 2005. Dr. Farley currently serves as President of Washburn University and previously served in various executive positions for the University of Oklahoma and Oklahoma State University. He has also been a Certified Public Accountant since 1972 and, although he has not practiced public accounting, his business responsibilities at educational institutions have included all aspects of financial management and reporting. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, as well as Chairman of the Audit Committee of the Guggenheim Board and his experience in the administration of the academic, business and fiscal operations of educational institutions, including currently serving as President of Washburn University, and service on other boards, Dr. Farley is experienced in accounting, financial, regulatory and investment matters. The Guggenheim Board has determined that Dr. Farley is an “audit committee financial expert” as defined by the U.S. Securities and Exchange Commission (“SEC”).

Roman Friedrich III—Mr. Friedrich has served as a Trustee of Guggenheim Funds Trust since 2014, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 2003. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, as well as Chairman of the Contracts Review Committee of the Guggenheim Board, his prior service on other public company boards, his experience as Founder and Managing Partner of Roman Friedrich & Company, a financial advisory firm, and his prior experience as a senior executive of various financial securities firms, Mr. Friedrich is experienced in financial, investment and regulatory matters.

Thomas F. Lydon, Jr.—In addition to his service as trustee of the Trusts, Mr. Lydon has served as a member of the Audit Committee of the Trusts since 2005, as Chairperson and member of the Governance and Nominating Committee of the Trusts since November 2017, and as a member of the former Investment and Performance Committee of the Trusts from January 2018 to December 31, 2018. Prior to November 2017, when the Governance and Nominating Committees of the Trusts were consolidated into a single committee, Mr. Lydon served as a member of the stand-alone Nominating Committee from 2005 to November 2017

12




and as Chairperson of the Committee from November 2016 to November 2017, and as a member of the stand-alone Governance Committee from 2007 to November 2017. In addition to his experience as a Trustee of the Trusts, Mr. Lydon is currently President of Global Trends Investments, a registered investment adviser, where he has served since 1996. Mr. Lydon also has served on the board of U.S. Global Investors, Inc. (GROW), the investment adviser and transfer agent to thirteen open-end investment companies, since April 1995 and the Board of Trustees of Harvest Volatility Edge Trust since December 2017, and is the editor of ETF Trends, a website specializing in daily news and commentary about the ETF industry. He has also authored two books about ETFs. Based on his experience as a Trustee of the Trusts, his experience serving on another board, and his related work experience, Mr. Lydon has extensive knowledge of the mutual fund business and the financial services industry.

Ronald A. Nyberg—Mr. Nyberg has served as a Trustee of Guggenheim Funds Trust since 2014, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 2003. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, as well as Chairman of the Nominating and Governance Committee of the Guggenheim Board, his service on other registered investment company boards, his professional training and experience as an attorney and partner of a law firm, Momkus LLC, and his prior employment experience, including as an attorney and partner of a law firm, Nyberg & Cassioppi, LLC, and Executive Vice President and General Counsel of Van Kampen Investments, an asset management firm, Mr. Nyberg is experienced in financial, regulatory and governance matters.

Sandra G. Sponem—In addition to her service as a Trustee and as Chairperson of the Board of the Trusts, Ms. Sponem has served as a member of the Audit Committee of the Trusts since 2016, as a member of the Governance and Nominating Committee of the Trusts since November 2017, and as a member of the former Investment and Performance Committee of the Trusts from August 2016 to December 31, 2018. Prior to November 2017, when the Governance and Nominating Committees of the Trusts were consolidated into a single committee, Ms. Sponem served as a member of the stand-alone Nominating Committee from November 2016 to November 2017. Ms. Sponem gained significant knowledge of the institutional and retail brokerage, securities trading, investment research, investment banking and asset management industries during her tenure as the Chief Financial Officer of Piper Jaffray Companies, Inc. Ms. Sponem also previously held several securities licenses and is a certified public accountant. Ms. Sponem’s extensive knowledge of accounting and finance and the financial services industry, and the experience she has gained working in various leadership positions in the accounting and finance profession for over 36 years and the financial services industry for over 16 years qualifies her to serve as Trustee. The Rydex Board has determined that Ms. Sponem is an “audit committee financial expert” as defined by the SEC.

Ronald E. Toupin, Jr.—Mr. Toupin has served as a Trustee of Guggenheim Funds Trust since 2014, of Transparent Value Trust since 2015, and as a trustee of other funds in the Guggenheim Family of Funds since 2003. Mr. Toupin currently serves on the Governing Council of the Independent Directors Council (IDC) of the Investment Company Institute (ICI) and on the Board of Governors of the ICI. Through his service as a Guggenheim Trustee and a trustee of other funds in the Guggenheim Family of Funds, as well as the Independent Chairman of the Guggenheim Board, his service on other registered investment company boards, and his professional training and prior employment experience, including Vice President and Portfolio Manager for Nuveen Asset Management, an asset management firm, Mr. Toupin is experienced in financial, regulatory and investment matters.

Amy J. Lee—Ms. Lee has served as a Guggenheim Trustee and as a trustee of other funds in the Guggenheim Family of Funds since 2018. Through her service as Chief Legal Officer of the Guggenheim Funds and certain other funds in the Guggenheim Family of Funds, her service as Senior Managing Director of Guggenheim Investments, as well as her prior experience as Associate General Counsel of Security Benefit Corporation, Ms. Lee is experienced in financial, legal, regulatory and governance matters.

Each Nominee also has familiarity with the Funds’ investment adviser (or its affiliates) and other service providers, and their operations, as well as the regulatory requirements governing regulated investment

13




companies and the responsibilities of investment company boards as a result of their experience overseeing the Funds and/or other funds in the Guggenheim Family of Funds.

References to the experience, qualifications, attributes and skills of the Nominees are pursuant to requirements of the SEC, do not constitute holding out of any Nominee as having any special expertise or experience and shall not impose any greater responsibility or liability on any such person or on the Nominee by reason thereof.

Ownership of Securities

As of June 30, 2019, the Nominees and current Trustees beneficially owned shares of the Funds in the dollar ranges set forth below and also beneficially owned shares of other funds in the Guggenheim Family of Funds in the dollar ranges set forth below. If a Fund is not shown for a Nominee or current Trustee, the Nominee or current Trustee did not beneficially own shares of the Fund as of such date.

None of the Nominees or their immediate family members had any interest in the Funds’ investment adviser or distributor, or any person controlling, controlled by or under common control with such persons. For this purpose, “immediate family member” includes the Nominee’s spouse, children residing in the Nominee’s household and dependents of the Nominee. As of June 30, 2019, the Nominees, Trustees and officers (as a group) owned less than 1% of the outstanding shares of any share class of each Fund, except as listed in Appendix B.
 




Name




Fund


Dollar Range of Equity Securities in the Funds
Aggregate Dollar Range of Equity Securities in all Funds Overseen by Trustee in the Guggenheim Family of Funds
Randall C. Barnes
None
None
Over $100,000
Angela Brock-Kyle
None
None
None
Donald A. Chubb, Jr.

U.S. Government
Money Market Fund
(a series of Rydex Series Funds)
$1-$10,000
Over $100,000
Jerry B. Farley

Biotechnology Fund
(a series of Rydex Series Funds)
Over $100,000
Over $100,000
Consumer Products Fund
(a series of Rydex Series Funds)
$10,001 - $50,000
Energy Fund
(a series of Rydex Series Funds)
$10,001 - $50,000
NASDAQ-100® Fund
(a series of Rydex Series Funds)
$50,001 - $100,000
NASDAQ-100® 2x Strategy Fund
(a series of Rydex Dynamic Funds)
$10,001 - $50,000
Roman Friedrich III
None
None
Over $100,000
Thomas F. Lydon, Jr.
None
None
None
Ronald A. Nyberg
None
None
Over $100,000
Sandra G. Sponem
None
None
None
Ronald E. Toupin, Jr.
None
None
Over $100,000
Amy J. Lee
S&P 500® Fund
(a series of Rydex Series Funds) 
Over $100,000
Over $100,000

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Compensation

The Independent Trustees receive from the Guggenheim Family of Funds a general annual retainer for service on covered boards. Additional annual retainer fees are paid to: the Independent Chair of the Board of each Trust, and the Chair of each of the Audit Committee and the Governance and Nominating Committee. In addition, fees are paid for special Board or Committee meetings, whether telephonic or in-person. The Trusts also reimburse each Independent Trustee for reasonable travel and other out-of-pocket expenses incurred in attending in-person meetings, which are not included in the compensation amounts shown below. Each Fund pays proportionately its respective share of Independent Trustees’ fees and expenses based on relative net assets.

The aggregate compensation paid by each Trust and the broader Guggenheim Family of Funds to each of the Independent Trustees during the Trust’s most recently completed fiscal year(s) is set forth below. The Trustees did not accrue any pension or retirement benefits as part of Trust expenses, nor will they receive any annual benefits upon retirement. The Trustees also did not accrue any deferred compensation nor is any amount of deferred compensation payable by the Trusts.

Name of Independent Trustee
Aggregate Compen-sation from Rydex Series Funds for the Fiscal Year Ended March 31, 2019
Aggregate Compen-sation from Rydex Series Funds for the Fiscal Year Ended December 31, 2018
Aggregate Compen-sation from Rydex Dynamic Funds for the Fiscal Year Ended March 31, 2019
Aggregate Compensation from Rydex Variable Trust for the Fiscal Year Ended December 31, 2018
Aggregate Compen-sation from the Fund Complex for the Fiscal Year Ended December 31, 2018*
Aggregate Compen-sation from the Fund Complex for the Fiscal Year Ended March 31, 2019*
Angela Brock-Kyle
$181,700
$151,600
$29,100
$27,700
$261,000
$249,500
Thomas F. Lydon, Jr.
$182,850
$151,600
$29,400
$27,700
$261,000
$249,250
Sandra G. Sponem
$191,600
$151,600
$30,800
$27,700
$261,000
$263,000

*
Represents total compensation for service as a Trustee of Rydex Series Funds, Rydex Dynamic Funds, Rydex Variable Trust and Rydex ETF Trust.

Nominees who are not currently Rydex Trustees received no compensation from the Trusts during the most recently completed fiscal year but received compensation from the Guggenheim Funds trusts for their service on the applicable boards of trustees.

If shareholders approve Proposal 1, it is expected that the Trustees will reconsider their compensation structure such that the members of each board in the Guggenheim Family of Funds will be compensated under a new, unified compensation structure.

The Funds’ investment adviser compensates its officers and directors, who may also serve as officers or Trustees of the Trusts. Currently, all of the Rydex Trustees are Independent Trustees.

Additional Information about the Officers of the Trusts

Officers of the Trusts are elected by the Rydex Board and serve at the pleasure of the Rydex Board. The table in Appendix C shows information about the officers of the Trusts, including their birth years, their positions with the Trusts and their principal occupation(s) during the past five years.

Board’s Role in Risk Oversight

The day-to-day business of the Funds, including the day-to-day management and administration of the Funds and of the risks that arise from the Funds’ investments and operations, is performed by third-party service providers, primarily the Funds’ investment adviser and distributor. Consistent with its responsibility for oversight of the Trusts, the Rydex Board is responsible for overseeing the service providers and thus,

15




has oversight responsibility with respect to the risk management functions performed by those service providers. Risks to the Funds and the Trusts include, among others, investment risk, credit risk, liquidity risk, valuation risk, compliance risk and operational risk, as well as the overall business risk relating to the Funds. Risk management seeks to identify and mitigate the potential effects of risks, i.e., events or circumstances that could have material adverse effects on the business, operations, investment performance or reputation of the Funds. Under the oversight of the Rydex Board, the service providers to the Funds employ a variety of processes, procedures and controls to seek to identify risks relevant to the operations of the Funds and to lessen the probability of the occurrence of such risks and/or to mitigate the effects of such events or circumstances if they do occur. Each service provider is responsible for one or more discrete aspects of the Funds’ business and consequently, for managing risks associated with that activity. Each of the Funds’ investment adviser, distributor and other service providers has its own independent interest in risk management, and its policies and methods of carrying out risk management functions will depend, in part, on its analysis of the risks, functions and business models. Accordingly, Board oversight of different types of risks may be handled in different ways. As part of the Rydex Board’s periodic review of each Fund’s advisory and other service provider agreements, the Rydex Board may consider risk management aspects of the service providers’ operations and the functions for which they are responsible.

The Rydex Board oversees risk management for the Funds directly and through the committee structure the Rydex Board has established. The Rydex Board has established the Audit Committee and the Governance and Nominating Committee to assist in its oversight functions, including its oversight of the risks each Fund faces. For instance, the Audit Committee receives reports from the Funds’ independent registered public accounting firm on internal control and financial reporting matters. Each committee reports its activities to the Rydex Board on a regular basis. The Rydex Board also oversees the risk management of the Funds’ operations by requesting periodic reports from and otherwise communicating with various personnel of the Trusts and their service providers, including, in particular, the Trusts’ Chief Compliance Officer and independent registered public accounting firm and internal auditors for the Funds’ investment adviser or its affiliates, as applicable. In this connection, the Rydex Board requires officers of the Trusts to report to the full Rydex Board on a variety of matters at regular and special meetings of the Rydex Board and its committees, as applicable, including matters relating to risk management. On at least a quarterly basis, the Rydex Board meets with the Trusts’ Chief Compliance Officer, including separate meetings with the Independent Trustees in executive session, to discuss compliance matters and, on at least an annual basis, receive a report from the Chief Compliance Officer regarding the adequacy of the policies and procedures of the Trusts and certain service providers and the effectiveness of their implementation. The Rydex Board, with the assistance of Trust management, reviews investment policies and risks in connection with its review of the Funds’ performance. In addition, the Rydex Board receives reports from the Funds’ investment adviser on the investments and securities trading of the Funds. The Rydex Board has approved Fair Valuation procedures applicable to valuing the Funds’ securities and other assets, which the Audit Committee periodically reviews. The Rydex Board also requires the investment adviser to each Fund to report to the Rydex Board on other matters relating to risk management on a regular and as-needed basis.

The Rydex Board oversees the Funds’ liquidity risks through, among other things, receiving periodic reporting and presentations by investment and other personnel of the Funds’ investment adviser. Additionally, as required by Rule 22e-4 under the 1940 Act, the Trusts implemented a liquidity risk management program (the “Liquidity Program”), which is reasonably designed to assess and manage the Funds’ liquidity risks. The Rydex Board, including a majority of the Independent Trustees, approved the designation of a liquidity risk management program administrator (the “Liquidity Program Administrator”), who is responsible for administering the Liquidity Program. The Rydex Board reviews, no less frequently than annually, a written report prepared by the Liquidity Program Administrator that addresses the operation of the Liquidity Program and assesses its adequacy and effectiveness of implementation.

The Rydex Board recognizes that not all risks that may affect the Funds can be identified, that it may not be practical or cost-effective to eliminate or mitigate certain risks, that it may be necessary to bear certain risks (such as investment-related risks) to seek to achieve the Funds’ investment objectives, and that the processes, procedures and controls employed to address certain risks may be limited in their effectiveness.

16




As part of its oversight function, the Rydex Board receives and reviews various risk management reports and assessments and discuss these matters with appropriate management and other personnel. Moreover, despite the periodic reports the Rydex Board receives, the Rydex Board may not be made aware of all of the relevant information of a particular risk. Most of the Funds’ investment management and business affairs are carried out by or through the the Funds’ investment adviser, distributor and other service providers, most of whom employ professional personnel who have risk management responsibilities and each of whom has an independent interest in risk management, which interest could differ from or conflict with that of the other funds that are advised by the investment adviser. The role of the Rydex Board and of any individual Trustee is one of oversight and not of management of the day-to-day affairs of the Trusts and this oversight role does not make the Rydex Board a guarantor of the Trusts’ investments, operations or activities. As a result of the foregoing and other factors, the Rydex Board’s risk management oversight is subject to limitations.

Role of Diversity in Considering Board Candidates

In considering Trustee nominee candidates, the Governance and Nominating Committee takes into account a wide variety of factors, including the overall diversity of the Rydex Board’s composition. The Governance and Nominating Committee believes the Rydex Board benefits from diversity of background, experience and views among its members, and considers this a factor in evaluating the composition of the Rydex Board, but has not adopted any specific policy in this regard.

Information About the Trusts’ Registered Public Accounting Firm

Information about the Trusts’ independent registered public accounting firm is provided in Appendix D.

Required Vote

Each shareholder is entitled to one vote for each share held and a fractional vote proportionate to fractional shares held as of the Record Date.

For each Trust, 33 and 1/3% of the shares entitled to vote at the Meeting shall constitute a quorum at the Meeting.

When a quorum is present, a plurality of the shares voted shall elect a Nominee as Trustee. A “plurality” means that Nominees who receive the largest number of votes cast (even if they receive less than a majority) will be elected as Trustees. As of the date of this Joint Proxy Statement, because each of the Nominees is the only nominee nominated for the relevant seat, provided a quorum is present at the Meeting, each Nominee is expected to be elected (or re-elected, as the case may be) to the Rydex Board.

Proposal 1 applies on a Trust-wide basis, and all series of each Trust (i.e., the respective Funds) and classes thereof will vote together on Proposal 1. However, the vote on Proposal 1 (or any other proposal) or the election of a Nominee by the shareholders of one Trust will not affect Proposal 1 (or any other proposal) or the election of a Nominee with respect to the other Trusts (e.g., the failure by one Trust to elect one or more Nominees will not affect the election of such Nominee(s) by another Trust). If the Nominees are not elected, the current Trustees will continue to oversee the Funds and the Rydex Board will evaluate other potential options, including the possible appointment of new trustees in compliance with applicable law.

Rydex Board’s Recommendation

THE RYDEX BOARD UNANIMOUSLY RECOMMENDS THAT
SHAREHOLDERS OF THE FUNDS VOTE “FOR
PROPOSAL 1 (ELECTION OF EACH NOMINEE)
 

17




OTHER BUSINESS

As of the date of this Joint Proxy Statement, the Rydex Trustees knew of no matter to be presented at the Meeting other than as set forth in this Joint Proxy Statement. If other business should properly come before the Meeting, proxies will be voted in accordance with the judgment of the persons named in the accompanying proxy.

ADDITIONAL INFORMATION

Shareholder Communications

Shareholders wishing to communicate with the Rydex Board or a Rydex Trustee should send such correspondence to the Rydex Board or Rydex Trustee at the Trusts’ offices. Shareholder communications will be sent directly to the applicable Rydex Trustee(s).

Investment Adviser

Security Investors, LLC (“Security Investors”), located at 702 King Farm Boulevard, Suite 200, Rockville, Maryland 20850, serves as the investment adviser to each Fund.

Pursuant to the Advisory Agreement between Security Investors and each Trust, Security Investors furnishes investment advisory, statistical and research services to the Funds, supervises and arranges for the purchase and sale of securities on behalf of the Funds, and provides for the compilation and maintenance of records pertaining to the investment advisory functions among other services. Security Investors is registered with the Commodity Futures Trading Commission (“CFTC”) as a commodity pool operator (“CPO”) and is a member of the National Futures Association (“NFA”) in such capacities. Security Investors serves as the CPO of the Multi-Hedge Strategies Fund and Commodities Strategy Fund, each a series of Rydex Series Funds and Rydex Variable Trust, the Managed Futures Strategy Fund, a series of Rydex Series Funds, and the Global Managed Futures Strategy Fund, a series of Rydex Variable Trust.

Administrator, Transfer Agent and Distributor

MUFG Investor Services (US), LLC, 805 King Farm Boulevard, Suite 600, Rockville, Maryland 20850, serves as the transfer agent for each of the Funds pursuant to an Amended and Restated Service Agreement with the Trusts, and acts as the administrative agent for each of the Funds pursuant to an Accounting Services Agreement with the Trusts, as amended.

Guggenheim Funds Distributors, LLC (“GFD”), 702 King Farm Boulevard, Suite 200, Rockville, Maryland 20850, a Delaware limited liability company, serves as the principal underwriter for shares of the Trusts pursuant to a Distribution Agreement between each Trust and GFD. 

Voting Information

Proxy Solicitation. The principal solicitation of proxies will be by the mailing of this Joint Proxy Statement, but proxies may also be solicited by telephone and/or in person by representatives of the Trusts, regular employees of Guggenheim Investments or its affiliate(s), or AST Fund Solutions, LLC, the Funds’ proxy solicitor. If we have not received your vote as the date of the Meeting approaches, you may be contacted by a representative of the Funds or AST Fund Solutions, LLC, the Funds’ proxy solicitor, reminding you to vote your shares. Arrangements will be made with brokerage houses and other custodians, nominees, and fiduciaries to forward proxies and proxy materials to their principals.

Cost of the Meeting. The cost of the Meeting, including the costs of retaining AST Fund Solutions, LLC, the Funds’ proxy solicitor, preparing and mailing of the notice, proxy statement and proxy and the solicitation of proxies, including reimbursement to broker-dealers and others who forwarded proxy materials to their

18




clients, will be borne by the Funds. The estimated cost of retaining AST Fund Solutions, LLC as proxy solicitation agent for the Funds is approximately $111,302. The costs of the Meeting will be allocated among the Funds based on each Fund’s number of shareholder accounts and net assets.

Shareholder Voting. If you were a shareholder of record of any of the Funds as of the close of business on the Record Date, you are entitled to notice of, and to vote at, the Meeting, even if you no longer own Fund shares. Information regarding the number of shares outstanding for each Fund and for each class of each Fund as of the Record Date is provided in Appendix E. The persons who are known to have owned beneficially 5% or more of a class of a Fund’s outstanding shares as of August 15, 2019 are listed in Appendix F.

The person(s) named as proxies on the enclosed proxy card will vote in accordance with your directions marked on the proxy card, if your proxy is received properly executed. If we receive your proxy, and it is executed properly, but you give no voting instructions, your shares will be voted “FOR” Proposal 1.

In order that your shares may be represented at the Meeting, you are requested to vote your shares by mail, Internet or telephone by following the enclosed instructions. We encourage you to vote as soon as possible to make sure that each Fund receives enough votes to act on Proposal 1. Unless you attend the Meeting to vote in person, your vote (cast by mail, Internet or telephone) must be received by the applicable Trust prior to 11:59 p.m. Eastern Time on October 23, 2019. IF YOU VOTE BY TELEPHONE OR INTERNET, PLEASE DO NOT RETURN YOUR PROXY CARD, UNLESS YOU LATER ELECT TO CHANGE YOUR VOTE. You may revoke your proxy before the vote pursuant to that proxy is taken by: (a) written notice of its revocation to the Trust(s); (b) the subsequent execution of another proxy; (c) attending the Meeting and voting in person; or (d) written notice of the death or incapacity of the maker of the proxy received by the Trust(s) before the vote pursuant to that proxy is counted.

Only shareholders or their duly appointed proxies can attend the Meeting. If you wish to attend the Meeting and vote in person, you can do so. If you intend to attend the Meeting in person and you are a record holder of a Fund’s shares, in order to gain admission you must show photographic identification, such as your driver’s license. If you intend to attend the Meeting in person and you hold your shares through a bank, broker or other custodian, in order to gain admission you must show photographic identification, such as your driver’s license, and satisfactory proof of ownership of shares of a Fund, such as your voting instruction form (or a copy thereof) or broker’s statement indicating ownership as of the Record Date. If you hold your shares in a brokerage account or through a bank or other nominee, you will not be able to vote in person at the Meeting unless you have previously requested and obtained a “legal proxy” from your broker, bank or other nominee and present it at the Meeting. You may contact the Funds at 1-800-345-7999 to obtain directions to the site of the Meeting.

Certain of the Funds invest in other funds in the Guggenheim Family of Funds. As such, the Funds are shareholders of record of, and own shares with voting rights of, these other funds in the Guggenheim Family of Funds. Consistent with applicable proxy voting policies and procedures, the votes cast by the Funds’ shareholders on Proposal 1 will be echo-voted by the Funds with respect to their shares of such other funds in the Guggenheim Family of Funds.

Abstentions and Broker Non-Votes. Abstentions and “broker non-votes” will be counted toward establishing a quorum but will not be counted as votes cast with respect to Proposal 1. Accordingly, assuming the relevant quorum is present, abstentions and broker non-votes will have no effect on Proposal 1. “Broker non-votes” are shares held by a broker or nominee as to which instructions have not been received from the beneficial owners or persons entitled to vote, and the broker or nominee does not have discretionary authority to vote with respect to a particular proposal.

In addition, broker-dealer firms holding shares of a Fund in “street name” for the benefit of their customers and clients may request the instructions of such customers and clients on how to vote their shares on Proposal 1 before the Meeting. Under the rules of the New York Stock Exchange (the “NYSE”), broker-dealers that are members of the NYSE that have not received instructions from a customer may grant

19




authority to the proxies designated to vote on Proposal 1. A properly executed proxy card or other authorization by a beneficial owner of shares that does not specify how the beneficial owner’s shares should be voted on Proposal 1 may be deemed an instruction to vote such shares in favor of Proposal 1. Broker-dealers who are not members of the NYSE may be subject to other rules, which may or may not permit them to vote your shares without instruction. We urge you to provide instructions to your bank, broker or other nominee so that your votes may be counted.

Adjournment. The President of the Trusts has the authority to adjourn the Meeting from time to time until either a quorum shall be present or a date not more than 120 days after the original record date or another date and time within a reasonable time after the date set for Meeting.

A shareholder vote may be taken on Proposal 1 (or other proposal) as it relates to a Trust prior to any adjournment if sufficient votes for approval have been received and it is otherwise appropriate. Such vote would be considered final regardless of whether the Meeting is adjourned to permit additional solicitation with respect to Proposal 1 as it relates to the other Trusts or any other proposal relating to the Trusts.

Shareholders Sharing the Same Address. As permitted by law, only one copy of the Notice of Internet Availability of Proxy Materials and/or this Joint Proxy Statement may be delivered to shareholders residing at the same address, unless such shareholders have notified the Trusts of their desire to receive multiple copies of the shareholder reports and proxy statements that the Trusts send. If you would like to receive an additional copy, please contact the Trusts by writing to the Trusts’ address, or by calling the telephone number shown on the front page of this Joint Proxy Statement. The applicable Trust will then promptly deliver, upon request, a separate copy of the Notice of Internet Availability of Proxy Materials and/or this Joint Proxy Statement to any shareholder residing at an address to which only one copy was mailed. Shareholders wishing to receive separate copies of a Trust’s Notice of Internet Availability of Proxy Materials and/or proxy statements in the future, and shareholders sharing an address that wish to receive a single copy if they are receiving multiple copies, should also send a request as indicated.

Shareholder Proposals

As a general matter, each Trust does not hold annual meetings of shareholders. Shareholders wishing to submit proposals for inclusion in a proxy statement for a subsequent shareholders’ meeting should send their written proposal to the Secretary of the applicable Trust.

Proposals must be received a reasonable time before the Trusts begin to print the proxy materials in order to be considered for inclusion in the proxy materials for the meeting. Timely submission of a proposal does not, however, necessarily mean that the proposal will be included. The person(s) named as proxies for any subsequent shareholders’ meeting will vote in accordance with their judgment with respect to proposals submitted on an untimely basis.

PROMPT EXECUTION AND RETURN OF THE ENCLOSED PROXY CARD IS REQUESTED. A SELF-ADDRESSED, POSTAGE-PAID ENVELOPE IS ENCLOSED FOR YOUR CONVENIENCE, ALONG WITH INSTRUCTIONS ON HOW TO VOTE OVER THE INTERNET OR BY TELEPHONE.

By order of the Rydex Board,

Sandra G. Sponem
Chairperson of the Boards of Trustees of Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust


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APPENDIX A

RYDEX SERIES FUNDS
RYDEX DYNAMIC FUNDS
RYDEX VARIABLE TRUST

GOVERNANCE AND NOMINATING COMMITTEE CHARTER

I.     THE COMMITTEE

The Governance and Nominating Committee (the “Committee”) of the Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust (each a “Trust” and collectively, the “Trusts”) shall be composed of at least three members, each of whom is a Trustee who is not an “interested person” of the Trusts (each an “Independent Trustee”) as defined in Section 2(a)(19) of the Investment Company Act of 1940, as amended. The Board of Trustees of the Trusts (the “Board”) shall appoint the members of the Committee and shall designate one member of the Committee to act as the chairperson of the Committee. All members of the Committee shall serve for the term provided in the by-laws.

II.     PURPOSE OF THE COMMITTEE

The role of the Committee shall be to assist the Board in assuring the effective and efficient governance of the Trusts.

III.    COMMITTEE FUNCTIONS AND RESPONSIBILITIES

a.
Chairperson of the Board

The Committee shall make a recommendation to the Board regarding the independent Chairperson of the Board, if any.

b.
Committees of the Board

The Committee shall make recommendations to the Board regarding committees of the Board, the responsibilities of those committees to be reflected in written committee charters, committee assignments, and term limits for committee members, if any.

c.
Term Limits and Retirement Policies

The Committee shall make recommendations to the Board regarding the appropriateness of adopting term limits or retirement policies applicable to Independent Trustees, and what any such term limits or retirement policies may be.

d.
Trustee Compensation and Expense Reimbursement

i.
The Committee shall consider and make recommendations to the Board concerning the compensation of the Independent Trustees, and any special compensation for serving as the Chairperson of the Board or as a member of a committee of the Board. Such recommendations shall be made no less frequently than annually.

ii.
The Committee shall consider and recommend to the Board written expense reimbursement policies applicable to the Independent Trustees.

A-1




e.
Size and Composition of the Board

i.
The Committee shall periodically review the size and composition of the Board and shall make recommendations to the Board concerning the need to increase or decrease the size of the Board or to add individuals with varying professional and social backgrounds or skill sets in order to provide an appropriate mix of knowledge, experience and cultural backgrounds on the Board.

ii.
The Committee, with the assistance of counsel, shall review the independence of incumbent Independent Trustees and shall make recommendations to the Board in the event it determines that an incumbent Trustee no longer satisfies applicable standards of independence.

iii.
As needed, the Committee or a subset thereof shall function as a Nominating Committee with the responsibility to identify and evaluate candidates for Board membership and to make a recommendation to the Board.

f.
Orientation and Education

The Committee shall oversee the process of providing orientation of new Independent Trustees and the continuing education of incumbent Independent Trustees.

g.
Independent Legal Counsel

The Committee shall make a recommendation to the Independent Trustees regarding the selection of independent counsel to the Independent Trustees and periodically monitor the independence, performance and compensation of legal counsel to the Independent Trustees.

h.
Self-assessment of the Board

The Committee shall oversee the process regarding the Board’s annual self-assessments, and shall make recommendations to the Board concerning that process. To enhance this process, the Committee may recommend periodic evaluations of the performance of individual Independent Trustees.

i.
Other Governance Matters

The Committee shall consider and make recommendations to the Board concerning all other matters pertaining to the functioning of the Board and committees of the Board and pertaining generally to the governance of the Trusts, including the performance of individual Independent Trustees, the need to assign inside or outside staff or consultants to support the Independent Trustees, the adequacy and appropriateness of insurance coverage for the Board, and adoption of governance policies that may be considered “best practices.”

IV.    MEETINGS OF THE BOARD

a.
Meetings

The Committee shall recommend to the Board the number and length of Board meetings each year, which meetings shall be no less frequently than quarterly.


A-2




b.
Board Meeting Process

The Committee shall make recommendations to the Board concerning processes intended to promote effective and efficient meetings, which may relate to, among other topics, the setting of agendas for Board meetings, scheduling of Committee meetings and executive sessions, and coordination with management on presentations to the Board.

V. COMMITTEE PROCEDURES

a.
Meetings

i.
The Committee shall meet shall meet as often as it deems necessary in open or executive session. Meetings of the Committee may be called on reasonable notice by the Chairperson of the Committee or by the Independent Chairperson of the Board.

ii.
One or more Committee members shall establish, in consultation with others as appropriate, an agenda for each meeting. The chairperson will cause notice of each meeting, together with the agenda and any related materials to be sent to each member, normally at least one week before the meeting.

iii.
The Committee may invite members of the Board, management, counsel to the Independent Trustees, Fund counsel, advisers, sub-advisers and others to attend its meetings as it deems appropriate.

iv.
A majority of the members of the Committee shall constitute a quorum for the transaction of business at any meeting of the Committee. The action of a majority of the members of the Committee present at a meeting at which a quorum is present shall be the action of the Committee. The Committee may meet in person or by telephone, and the Committee may act by written consent, to the extent permitted by law and by the applicable Trust’s by-laws. The chairperson, or a person designated by the chairperson, shall take minutes of all meetings of the Committee, copies of which shall be furnished to the Board. In the event of any inconsistency between this Charter and a Trust’s organizational documents, the provisions of the Trust’s organizational documents shall govern.

b.
Reports to the Board

The Committee shall report its activities to the Board and make such recommendations as are called for under this Charter or as the Committee may otherwise deem necessary or appropriate.

c.
Committee Charter

The Committee shall annually review its activities and the adequacy of this Charter and recommend changes to the Board as needed.

d.
Resources

The Committee shall have the resources appropriate to discharge its responsibilities, including the authority to consult with counsel and to retain, at the Trusts’ expense, such other experts or advisors as the Committee deems necessary or appropriate.

Amended: November 2018

A-3




APPENDIX B

NOMINEES, TRUSTEES AND MANAGEMENT OWNERSHIP

As of June 30, 2019, the Nominees, Trustees and officers (as a group) owned of record or beneficially less than 1% of the outstanding shares of any share class of each Fund, except as follows:


Fund

Title of Class

Percentage of Class
Long Short Equity Fund
(a series of Rydex Series Funds)

Institutional Class

1.99%
Managed Futures Strategy Fund
(a series of Rydex Series Funds)

Institutional Class

3.37%

B-1




APPENDIX C

OFFICERS OF THE TRUSTS

In the table below, the term “Fund Complex” has the same meaning as Guggenheim Family of Funds.

Name, Address1 and Year of Birth of Officers

Position(s)
Held with the Trusts

Term of Office and Length of Time Served2

Principal Occupation(s)
During the Past 5 Years
Amy J. Lee
(1961)
President
Since 2017 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Interested Trustee, certain other funds in the Fund Complex (2018-present); Chief Legal Officer, certain other funds in the Fund Complex (2014-present); Senior Managing Director, Guggenheim Investments (2012-present); and Vice President, certain other funds in the Fund Complex (2007-present).

Former: Interested Trustee, certain other funds in the Fund Complex (2018-February 2019); President and Chief Executive Officer, certain other funds in the Fund Complex (2017-2018); and Vice President, Associate General Counsel and Assistant Secretary, Security Benefit Life Insurance Company and Security Benefit Corporation (2004-2012).
Michael P. Byrum
 (1970)
Vice President
Since 2000 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Senior Vice President, Security Investors, LLC (2010-present); Senior Managing Director, Guggenheim Investments (2010-present); and Vice President, certain other funds in the Fund Complex (2010-present).

Former: Manager, Guggenheim Specialized Products, LLC (2005-2018); and Director (2008-2010), Chief Investment Officer (2006-2010), President (2004-2010) and Secretary (2002-2010), Rydex Advisors, LLC and Rydex Advisors II, LLC.
William Rehder
(1967)
Assistant Vice President
Since 2018 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Managing Director, Guggenheim Investments (2002-present).
Mark E. Mathiasen
 (1978)
Secretary
Since 2017 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Secretary, certain other funds in the Fund Complex (2007-present); and Managing Director, Guggenheim Investments (2007-present).

C-1




Name, Address1 and Year of Birth of Officers

Position(s)
Held with the Trusts

Term of Office and Length of Time Served2

Principal Occupation(s)
During the Past 5 Years
Michael P. Megaris
(1984)
Assistant Secretary
Since 2018 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Assistant Secretary, certain other funds in the Fund Complex (2014-present); and Director, Guggenheim Investments (2012-present).
Elisabeth Miller (1968)
Chief Compliance Officer
Since 2012 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Chief Compliance Officer, certain other funds in the Fund Complex (2012-present); Senior Managing Director, Guggenheim Investments (2014-present); and Vice President, Guggenheim Funds Distributors, LLC (2014-present).

Former: Chief Compliance Officer, Security Investors, LLC and Guggenheim Funds Investment Advisors, LLC (2012- 2018); Chief Compliance Officer (2009-2014) and Senior Manager (2004-2014), Guggenheim Distributors, LLC; and Senior Manager, Security Investors, LLC (2004- 2014).
Margaux M. Misantone
(1978)
AML Chief Compliance Officer

Since 2017 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Chief Compliance Officer, Security Investors, LLC and Guggenheim Funds Investment Advisors, LLC (2018-present); AML Officer, certain other funds in the Fund Complex (2017-present); and Managing Director, Guggenheim Investments (2013-present).

Former: Assistant Chief Compliance Officer, Security Investors, LLC and Guggenheim Funds Investment Advisors, LLC (2015-2018).
John L. Sullivan
(1955)
Chief Financial Officer and Treasurer

Since 2016 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: CFO, Chief Accounting Officer and Treasurer, certain other funds in the Fund Complex (2010-present); Senior Managing Director, Guggenheim Investments (2010-present).

Former: Managing Director and Chief Compliance Officer, each of the funds in the Van Kampen Investments fund complex (2004-2010); Managing Director and Head of Fund Accounting and Administration, Morgan Stanley Investment Management (2002-2004); and CFO and Treasurer, Van Kampen Funds (1996-2004).

C-2




Name, Address1 and Year of Birth of Officers

Position(s)
Held with the Trusts

Term of Office and Length of Time Served2

Principal Occupation(s)
During the Past 5 Years
James Howley (1972)
Assistant Treasurer
Since 2016 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Managing Director, Guggenheim Investments (2004-present); and Assistant Treasurer, certain other funds in the Fund Complex (2006-present).

Former: Manager, Mutual Fund Administration of Van Kampen Investments, Inc. (1996-2004).
Glenn McWhinnie
(1969)
Assistant Treasurer
Since 2016 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Vice President, Guggenheim Investments (2009-present); and Assistant Treasurer, certain other funds in the Fund complex (2016-present).

Former: Tax Compliance Manager, Ernst & Young LLP (1996-2009).
Adam J. Nelson
(1979)
Assistant Treasurer
Since 2016 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Vice President, Guggenheim Investments (2015-present); and Assistant Treasurer, certain other funds in the Fund Complex (2015-present).

Former: Assistant Vice President and Fund Administration Director, State Street Corporation (2013-2015); Fund Administration Assistant Director, State Street (2011-2013); and Fund Administration Manager, State Street (2009-2011).
Kimberly Scott
(1974)
Assistant Treasurer
Since 2016 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Director, Guggenheim Investments (2012-present); and Assistant Treasurer, certain other funds in the Fund Complex (2012-present).

Former: Financial Reporting Manager, Invesco, Ltd. (2010-2011); Vice President/Assistant Treasurer, Mutual Fund Administration of Van Kampen Investments, Inc./Morgan Stanley Investment Management (2009-2010); and Manager of Mutual Fund Administration, Van Kampen Investments, Inc./Morgan Stanley Investment Management (2005-2009).

C-3




Name, Address1 and Year of Birth of Officers

Position(s)
Held with the Trusts

Term of Office and Length of Time Served2

Principal Occupation(s)
During the Past 5 Years
Jon Szafran
(1989)
Assistant Treasurer
Since 2017 (Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust)
Current: Vice President, Guggenheim Investments (2017-present); and Assistant Treasurer, certain other funds in the Fund Complex (2017-present).

Former: Assistant Treasurer of Henderson Global Funds and Manager of US Fund Administration, Henderson Global Investors (North America) Inc. (“HGINA”), (2017); Senior Analyst of US Fund Administration, HGINA (2014-2017); Senior Associate of Fund Administration, Cortland Capital Market Services, LLC (2013-2014); and Experienced Associate, PricewaterhouseCoopers LLP (2012-2013).

1.
The business address of each officer is c/o Guggenheim Investments, 702 King Farm Boulevard, Suite 200, Rockville, Maryland 20850.

2.
Each officer serves an indefinite term, until his or her successor is duly elected and qualified. Time served may include time served in the respective position for any predecessor entities.




C-4




APPENDIX D

INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM AND RELATED FEES

The firm of Ernst & Young LLP (“Ernst & Young”) has been selected as independent auditor of the Trusts for each Trust’s current fiscal year. Ernst & Young has confirmed to the Audit Committee of each Board that they are independent auditors with respect to the Trusts. Representatives of Ernst & Young are not expected to be present at the Meeting, but will have the opportunity to make a statement if they wish, and will be available should any matter arise requiring their presence.

Certain information concerning the fees and services provided by Ernst & Young to the Trusts and to the Funds’ investment advisers and their affiliates for the two most recently completed fiscal years of the Trusts is provided below. The Audit Committee is responsible for the engagement, compensation and oversight of Ernst & Young. The Audit Committee is required to pre-approve all audit and permitted non-audit services performed by Ernst & Young for the Funds in accordance with the Audit Committee Charter and the 1940 Act and make a determination with respect to Ernst & Young’s independence each year. For the two most recent fiscal years for each of the Funds, none of the services provided to the Trusts or described under “Audit-Related Fees,” “Tax Fees” and “All Other Fees” were approved by the Audit Committee pursuant to the de minimis exception to the pre-approval requirements. The Audit Committee has considered whether the provision of any non-audit services not pre-approved by the Audit Committee provided by Ernst & Young to each Fund’s investment adviser and any entity controlling, controlled by or under common control with the investment adviser is compatible with maintaining the independent registered public accounting firm’s independence.

The following table sets forth the aggregate fees billed by Ernst & Young for professional services rendered to each Trust during the two most recent fiscal years.

 
RYDEX
SERIES FUNDS
RYDEX
DYNAMIC FUNDS
RYDEX
VARIABLE TRUST
Audit Fees
03/31/19: $849,312
12/31/18: $91,976
03/31/19: $146,006
12/31/18: $873,067
03/31/18: $867,833
12/31/17: $84,967
03/31/18: $147,640
12/31/17: $867,833
Audit-Related Fees
03/31/19: $0
12/31/18: 0
03/31/19: $0
12/31/18: $0
03/31/18: $0
12/31/17: $0
03/31/18: $0
12/31/17: $0
Tax Fees
03/31/19: $455,018
12/31/18: $35,463
03/31/19: $74,464
12/31/18: $304,132
03/31/18: $453,793
12/31/17: $38,374
03/31/18: $65,483
12/31/17: $277,916
All Other Fees
03/31/19: $0
12/31/18: $0
03/31/19: $0
12/31/18: $0
03/31/18: $0
12/31/17: $0
03/31/18: $0
12/31/17: $0
Aggregate
Non-Audit Fees
03/31/19: $455,018
12/31/18: $35,463
03/31/19: $74,464
12/31/18: $304,132
03/31/18: $453,793
12/31/17: $38,374
03/31/18: $65,483
12/31/17: $277,916

Audit Fees. The aggregate fees billed by Ernst & Young for the audit of the annual financial statements in connection with statutory and regulatory filings.

D-1




Audit-Related Fees. The aggregate fees billed by Ernst & Young for assurance and related services reasonably related to the performance of the annual audit or review of a Trust’s financial statements (and not reported above).

Tax Fees. The aggregate tax fees billed by Ernst & Young for professional services rendered for tax compliance, tax advice and tax planning, including preparation of tax returns and distribution assistance.

All Other Fees. The aggregate fees billed by Ernst & Young for products and services provided by Ernst & Young to the Funds, other than the services reported above.

Aggregate Non-Audit Fees. The aggregate non-audit fees were for tax fees billed by Ernst & Young for professional services rendered for tax compliance, tax advice, and tax planning, including preparation of tax returns and distribution assistance. All non-audit services rendered were pre-approved by the Audit Committee. As such, the Audit Committee has considered these services in maintaining Ernst & Young’s independence.

D-2




APPENDIX E

E-1




OUTSTANDING SHARES

As of the Record Date, the total number of shares outstanding for each Fund and for each class of each Fund is set forth in the following table.

Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Rydex Series Funds
Banking Fund
Class A
60,856
220,496
Class C
19,485
Class H
5,597
Investor Class
134,558
Basic Materials Fund
Class A
124,398
646,325
Class C
51,961
Class H
42,736
Investor Class
427,229
Biotechnology Fund
Class A
272,696
2,440,582
Class C
182,342
Class H
152,916
Investor Class
1,832,628
Commodities Strategy Fund
Class A
13,222
80,511
Class C
1,497
Class H
65,792
Consumer Products Fund
Class A
226,471
2,694,738
Class C
272,454
Class H
180,858
Investor Class
2,014,955
Dow Jones Industrial Average Fund
Class A
84,662
420,035
Class C
29,091
Class H
306,282
Electronics Fund
Class A
31,822
411,748
Class C
23,267
Class H
20,635
Investor Class
336,024
Emerging Markets 2x Strategy Fund
Class A
19,634
69,308
Class C
4,880
Class H
44,795
Emerging Markets Bond Strategy Fund
Class A
2,561
112,854
Class C
2,620
Class H
107,673
Energy Fund
Class A
42,495
285,279
Class C
24,395
Class H
13,669
Investor Class
204,721

E-2




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Energy Services Fund
Class A
46,524
444,626
Class C
46,643
Class H
54,537
Investor Class
296,921
Europe 1.25x Strategy Fund
Class A
1,585
124,305
Class C
288
Class H
122,432
Financial Services Fund
Class A
113,394
407,567
Class C
15,338
Class H
93,366
Investor Class
185,470
Government Long Bond 1.2x Strategy Fund
Class A
189,073
3,837,969
Class C
22,546
Class H
1,535,059
Investor Class
2,091,292
Health Care Fund
Class A
313,259
1,405,297
Class C
152,149
Class H
79,924
Investor Class
859,965
High Yield Strategy Fund
Class A
185,405
2,625,735
Class C
60,634
Class H
2,379,695
Internet Fund
Class A
17,604
410,310
Class C
27,755
Class H
7,667
Investor Class
357,284
Inverse Emerging Markets 2x Strategy Fund
Class A
236
17,570
Class C
83
Class H
17,250
Inverse Government Long Bond Strategy Fund
Class A
292,869
2,009,005
Class C
184,589
Class H
104,793
Investor Class
1,426,753
Inverse High Yield Strategy Fund
Class A
133,074
177,964
Class C
7,319
Class H
37,571
Inverse Mid-Cap Strategy Fund
Class A
5,581
41,558
Class C
1
Class H
35,976
Inverse NASDAQ-100®  Strategy Fund
Class A
6,497
238,084
Class C
3,643
Class H
28,289
Investor Class
199,655

E-3




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Inverse Russell 2000®  Strategy Fund
Class A
15,278
359,545
Class C
24,492
Class H
319,774
Inverse S&P 500® Strategy Fund
Class A
371,135
1,297,686
Class C
42,390
Class H
125,590
Investor Class
758,571
Japan 2x Strategy Fund
Class A
1,677
12,803
Class C
268
Class H
10,858
Leisure Fund
Class A
15,846
152,615
Class C
10,471
Class H
31,569
Investor Class
94,730
Long Short Equity Fund
Class A
579,583
1,315,492
Class C
69,083
Class P
547,346
Institutional Class
119,480
Managed Futures Strategy Fund
Class A
400,693
1,635,688
Class C
139,524
Class P
697,569
Institutional Class
397,902
Mid-Cap 1.5x Strategy Fund
Class A
27,055
166,553
Class C
45,745
Class H
93,753
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class A
21,173
1,031,553
Class C
4,700
Class H
1,005,680
Multi-Hedge Strategies Fund
Class A
156,844
1,498,997
Class C
74,649
Class P
306,141
Institutional Class
961,362
NASDAQ-100® Fund
Class A
1,499,939
30,404,302
Class C
2,680,937
Class H
1,473,446
Investor Class
24,749,980
Nova Fund
Class A
473,716
3,799,485
Class C
61,527
Class H
537,437
Investor Class
2,726,804
Precious Metals Fund
Class A
550,199
2,360,359
Class C
99,023
Class H
233,325
Investor Class
1,477,811

E-4




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Real Estate Fund
Class A
18,851
433,084
Class C
19,068
Class H
395,165
Retailing Fund
Class A
33,601
346,165
Class C
13,742
Class H
27,246
Investor Class
271,576
Russell 2000® Fund
Class A
29,987
124,144
Class C
1,058
Class H
93,098
Russell 2000® 1.5x Strategy Fund
Class A
411,134
768,956
Class C
72,539
Class H
285,284
S&P 500® Fund
Class A
386,763
2,759,413
Class C
261,281
Class H
2,111,370
S&P 500® Pure Growth Fund
Class A
185,518
1,303,302
Class C
169,694
Class H
948,090
S&P 500® Pure Value Fund
Class A
39,088
600,640
Class C
32,963
Class H
528,590
S&P MidCap 400® Pure Growth Fund
Class A
208,630
1,151,953
Class C
181,293
Class H
762,030
S&P MidCap 400® Pure Value Fund
Class A
20,223
207,474
Class C
23,634
Class H
163,618
S&P SmallCap 600® Pure Growth Fund
Class A
38,067
160,974
Class C
17,563
Class H
105,344
S&P SmallCap 600® Pure Value Fund
Class A
44,901
251,244
Class C
24,754
Class H
181,589
Strengthening Dollar 2x Strategy Fund
Class A
30,732
131,235
Class C
4,200
Class H
96,303
Technology Fund
Class A
64,584
796,784
Class C
50,411
Class H
60,466
Investor Class
621,323

E-5




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Telecommunications Fund
Class A
13,993
91,370
Class C
4,381
Class H
6,917
Investor Class
66,078
Transportation Fund
Class A
58,388
217,757
Class C
32,989
Class H
9,288
Investor Class
117,091
Utilities Fund
Class A
140,475
2,067,282
Class C
180,216
Class H
85,633
Investor Class
1,660,958
Weakening Dollar 2x Strategy Fund
Class A
4,529
48,520
Class C
460
Class H
43,532
U.S. Government Money Market Fund
Money Market Class
437,181,521
437,181,521
Rydex Dynamic Funds
Dow 2x Strategy Fund
Class A
104,357
409,289
Class C
23,460
Class H
281,472
Inverse Dow 2x Strategy Fund
Class A
147,128
654,800
Class C
32,069
Class H
475,603
Inverse NASDAQ-100® 2x Strategy Fund
Class A
16,044
616,724
Class C
5,137
Class H
595,542
Inverse Russell 2000® 2x Strategy Fund
Class A
208,300
353,404
Class C
9,001
Class H
136,103
Inverse S&P 500® 2x Strategy Fund
Class A
41,069
578,134
Class C
21,403
Class H
515,662
NASDAQ-100® 2x Strategy Fund
Class A
225,108
2,901,506
Class C
88,667
Class H
2,587,731
Russell 2000® 2x Strategy Fund
Class A
22,220
233,338
Class C
2,993
Class H
208,125
S&P 500® 2x Strategy Fund
Class A
114,028
1,176,213
Class C
109,168
Class H
953,017
Rydex Variable Trust
Banking Fund
--
46,492
46,492

E-6




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
Basic Materials Fund
--
90,802
90,802
Biotechnology Fund
--
242,021
242,021
Commodities Strategy Fund
--
38,576
38,576
Consumer Products Fund
--
288,065
288,065
Dow 2x Strategy Fund
--
117,144
117,144
Electronics Fund
--
84,192
84,192
Energy Fund
--
128,128
128,128
Energy Services Fund
--
86,076
86,076
Europe 1.25x Strategy Fund
--
55,261
55,261
Financial Services Fund
--
108,451
108,451
Global Managed Futures Strategy Fund
--
857,195
857,195
Government Long Bond 1.2x Strategy Fund
--
1,462,241
1,462,241
Health Care Fund
--
259,247
259,247
High Yield Strategy Fund
--
51,923
51,923
Internet Fund
--
85,746
85,746
Inverse Dow 2x Strategy Fund
--
25,064
25,064
Inverse Government Long Bond Strategy Fund
--
30,392
30,392
Inverse Mid-Cap Strategy Fund
--
5,025
5,025
Inverse NASDAQ-100®  Strategy Fund
--
25,504
25,504
Inverse Russell 2000®  Strategy Fund
--
19,373
19,373
Inverse S&P 500® Strategy Fund
--
42,183
42,183
Japan 2x Strategy Fund
--
21,159
21,159
Leisure Fund
--
43,607
43,607
Long Short Equity Fund
--
2,180,990
2,180,990
Mid-Cap 1.5x Strategy Fund
--
288,266
288,266
Multi-Hedge Strategies Fund
--
1,494,936
1,494,936
NASDAQ-100® Fund
--
1,703,641
1,703,641

E-7




Fund
Class
Shares Outstanding
Total Shares Outstanding for the Fund
NASDAQ-100® 2x Strategy Fund
--
1,111,341
1,111,341
Nova Fund
--
299,914
299,914
Precious Metals Fund
--
702,980
702,980
Real Estate Fund
--
363,831
363,831
Retailing Fund
--
47,103
47,103
Russell 2000® 1.5x Strategy Fund
--
87,527
87,527
Russell 2000® 2x Strategy Fund
--
13,973
13,973
S&P 500® 2x Strategy Fund
--
157,596
157,596
S&P 500® Pure Growth Fund
--
824,105
824,105
S&P 500® Pure Value Fund
--
548,006
548,006
S&P MidCap 400® Pure Growth Fund
--
382,193
382,193
S&P MidCap 400® Pure Value Fund
--
226,060
226,060
S&P SmallCap 600® Pure Growth Fund
--
216,954
216,954
S&P SmallCap 600® Pure Value Fund
--
137,544
137,544
Strengthening Dollar 2x Strategy Fund
--
57,981
57,981
Technology Fund
--
195,554
195,554
Telecommunications Fund
--
48,434
48,434
Transportation Fund
--
46,896
46,896
Utilities Fund
--
702,958
702,958
Weakening Dollar 2x Strategy Fund
--
9,907
9,907
U.S. Government Money Market Fund
--
69,667,668
69,667,668


E-8




APPENDIX F

F-1




BENEFICIAL OWNERS OF MORE THAN 5% OF A CLASS OF EACH FUND
As of August 15, 2019, the following persons owned beneficially 5% or more of a class of a Fund’s outstanding securities.



Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Rydex Series Funds
Banking Fund
Class A
20560.147
33.7506
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Banking Fund
Class A
5924.035
9.7246
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Banking Fund
Class A
4555.225
7.4776
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Banking Fund
Class A
8239.966
13.5263
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Banking Fund
Class A
9379.513
15.397
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Banking Fund
Class C
4593.64
23.5807
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Banking Fund
Class C
2718.466
13.9548
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Banking Fund
Class C
3713.893
19.0647
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Banking Fund
Class C
3284.101
16.8584
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Banking Fund
Class C
2411.116
12.3771
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091

F-2






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Banking Fund
Class H
746.057
13.5613
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Banking Fund
Class H
1680.074
30.5392
SEI 370 BWM/C/O 370 Reinvest
Attn: Mutual Funds
One Freedom Valley Drive
Oaks, PA 19456
Banking Fund
Class H
1904.76
34.6234
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Banking Fund
Investor Class
17911.476
43.8602
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Banking Fund
Investor Class
4514.388
11.0544
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Banking Fund
Investor Class
2217.05
5.4289
Gilman D. Blake III (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Banking Fund
Investor Class
5119.987
12.5374
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Basic Materials Fund
Class H
7555.353
31.6434
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Basic Materials Fund
Class H
2080.951
8.7154
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Basic Materials Fund
Class A
9595.857
7.7147
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Basic Materials Fund
Class A
12980.745
10.4361
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-3






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Basic Materials Fund
Class A
20922.895
16.8213
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Basic Materials Fund
Class A
23620.382
18.99
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Basic Materials Fund
Class C
5785.146
11.1426
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Basic Materials Fund
Class C
10440.479
20.1091
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ 07303-9998
Basic Materials Fund
Class C
14136.903
27.2287
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Basic Materials Fund
Class C
6751.757
13.0044
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Basic Materials Fund
Class C
6999.007
13.4806
UBS Financial Services Inc. FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Basic Materials Fund
Class H
9404.019
39.386
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Basic Materials Fund
Class H
1492.792
6.2521
Mid Atlantic Trust Company
FBO St. John Associates Inc. 401(k) Profit Sharing Plan & Trust
1251 Waterfront Place, Suite 525
Pittsburgh, PA 15222
Basic Materials Fund
Investor Class
91510.106
21.4515
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Basic Materials Fund
Investor Class
128419.621
30.1037
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Basic Materials Fund
Investor Class
96325.923
22.5804
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-4






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Basic Materials Fund
Investor Class
22975.334
5.3858
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Biotechnology Fund
Class A
40972.985
14.9547
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
Biotechnology Fund
Class A
15234.043
5.5602
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Biotechnology Fund
Class A
23901.979
8.7239
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Biotechnology Fund
Class A
24757.002
9.036
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Biotechnology Fund
Class A
30359.855
11.081
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Biotechnology Fund
Class A
22480.449
8.2051
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Biotechnology Fund
Class A
42128.184
15.3763
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Biotechnology Fund
Class A
14903.332
5.4395
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Biotechnology Fund
Class C
35675.19
19.5305
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Biotechnology Fund
Class C
27389.467
14.9945
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Biotechnology Fund
Class C
13794.103
7.5516
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901

F-5






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Biotechnology Fund
Class C
28869.419
15.8047
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Biotechnology Fund
Class C
20292.872
11.1094
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Biotechnology Fund
Class C
18623.775
10.1956
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Biotechnology Fund
Class C
9499.845
5.2007
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Biotechnology Fund
Class H
22972.607
14.8441
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Biotechnology Fund
Class H
10052.922
6.4958
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Biotechnology Fund
Class H
32672.881
21.1121
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Biotechnology Fund
Class H
69103.575
44.6525
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Biotechnology Fund
Investor Class
106692.416
5.7778
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Biotechnology Fund
Investor Class
529460.968
28.6726
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Biotechnology Fund
Investor Class
697891.812
37.7938
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Biotechnology Fund
Investor Class
127494.143
6.9043
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226

F-6






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Commodities Strategy Fund
Class A
922.297
6.9753
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Commodities Strategy Fund
Class A
2075.907
15.7002
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Commodities Strategy Fund
Class A
2350.02
17.7733
NFS LLC FEBO/NFS/FMTC SEP IRA
FBO Rebecca A. Berarducci
[Address Intentionally Omitted for Privacy Purposes]
Commodities Strategy Fund
Class A
721.858
5.4594
TD Ameritrade FBO/Francis Bruening IRA
TD Ameritrade Clearing, Custodian
[Address Intentionally Omitted for Privacy Purposes]
Commodities Strategy Fund
Class C
361.168
23.1471
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Commodities Strategy Fund
Class C
87.894
5.633
Michael E. Lassley (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Commodities Strategy Fund
Class C
327.187
20.9692
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Commodities Strategy Fund
Class C
86.634
5.5523
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Commodities Strategy Fund
Class H
50291.129
75.0434
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Commodities Strategy Fund
Class H
4744.802
7.0801
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Consumer Products Fund
Class A
19691.832
8.6043
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Consumer Products Fund
Class A
14380.941
6.2837
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901

F-7






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Consumer Products Fund
Class A
41812.109
18.2698
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Consumer Products Fund
Class A
13294.609
5.809
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Consumer Products Fund
Class A
39002.446
17.0421
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Consumer Products Fund
Class A
30930.075
13.5149
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Consumer Products Fund
Class A
18016.351
7.8722
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Consumer Products Fund
Class C
67279.713
24.5948
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Consumer Products Fund
Class C
47458.932
17.3491
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Consumer Products Fund
Class C
18289.381
6.6858
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Consumer Products Fund
Class C
15829.158
5.7865
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Consumer Products Fund
Class C
20792.762
7.601
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Consumer Products Fund
Class C
65993.832
24.1248
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Consumer Products Fund
Class H
23800.813
13.1474
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Consumer Products Fund
Class H
9088.467
5.0204
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Consumer Products Fund
Class H
10966.864
6.058
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002

F-8






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Consumer Products Fund
Class H
75546.488
41.7315
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Consumer Products Fund
Class H
40718.256
22.4925
MG Trust Company Custodian
FBO Hastings Air-Energy 401k Plan
717 17th Street, Suite 1300
Denver CO 80202
Consumer Products Fund
Investor Class
114597.585
5.7466
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Consumer Products Fund
Investor Class
477802.375
23.9602
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Consumer Products Fund
Investor Class
733979.856
36.8067
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Consumer Products Fund
Investor Class
206987.899
10.3797
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Consumer Products Fund
Investor Class
233182.527
11.6933
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Dow Jones Industrial Average Fund
Class A
38461.825
44.1855
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Dow Jones Industrial Average Fund
Class A
25909.873
29.7656
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Dow Jones Industrial Average Fund
Class C
5879.28
20.2291
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Dow Jones Industrial Average Fund
Class C
10186.647
35.0497
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Dow Jones Industrial Average Fund
Class C
1574.867
5.4187
Leslie Fukumoto (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Dow Jones Industrial Average Fund
Class C
8190.012
28.1798
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Dow Jones Industrial Average Fund
Class C
2040.773
7.0217
Matrix Trust Company Custodian FBO Visionary Eye Care, P.A.
717 17th Street, Suite 1300
Denver, CO 80202

F-9






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Dow Jones Industrial Average Fund
Class H
29859.918
8.9662
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Dow Jones Industrial Average Fund
Class H
140211.749
42.1025
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Dow Jones Industrial Average Fund
Class H
48637.263
14.6047
E*TRADE Savings Bank
FBO #98
PO Box 6503
Englewood, CO 80155-6503
Dow Jones Industrial Average Fund
Class H
59535.94
17.8773
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Electronics Fund
Class A
2154.511
6.7155
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Electronics Fund
Class A
3282.781
10.2324
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Electronics Fund
Class A
2097.379
6.5375
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Electronics Fund
Class A
7747.632
24.1493
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Electronics Fund
Class C
2748.246
11.8427
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Electronics Fund
Class C
2085.943
8.9887
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Electronics Fund
Class C
6507.249
28.041
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Electronics Fund
Class C
7196.158
31.0096
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400

F-10






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Electronics Fund
Class C
2943.99
12.6862
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Electronics Fund
Class H
1924.581
9.3475
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Electronics Fund
Class H
2900.88
14.0893
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Electronics Fund
Class H
2541.196
12.3423
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Electronics Fund
Class H
11752.725
57.082
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Electronics Fund
Investor Class
190774.647
63.8277
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Electronics Fund
Investor Class
60226.907
20.1502
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Emerging Markets 2x Strategy Fund
Class A
10689.446
53.5001
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Emerging Markets 2x Strategy Fund
Class A
2372.101
11.8722
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Emerging Markets 2x Strategy Fund
Class C
1002.97
18.5047
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Emerging Markets 2x Strategy Fund
Class C
475.173
8.7669
Marella Jones (SEP)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets 2x Strategy Fund
Class C
458.939
8.4674
Patrick A. Fend (ROTH)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets 2x Strategy Fund
Class C
858.601
15.8411
NFS LLC FEBO/NFS/FMTC/IRA
FBO Mary K. Rude
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets 2x Strategy Fund
Class C
285.785
5.2727
E Trade Securities LLC
IRA Custodian
PO Box 484
Jersey City, NJ 07303-0484

F-11






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Emerging Markets 2x Strategy Fund
Class H
6862.343
12.9973
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Emerging Markets 2x Strategy Fund
Class H
7447.538
14.1056
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Emerging Markets 2x Strategy Fund
Class H
3986.442
7.5503
Robert C. Rosen (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets 2x Strategy Fund
Class H
11270.783
21.3469
E*TRADE Savings Bank
FBO #98
PO Box 6503
Englewood, CO 80155-6503
Emerging Markets 2x Strategy Fund
Class H
8310.776
15.7406
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Emerging Markets Bond Strategy Fund
Class A
146.014
30.5228
Guggenheim Funds Distributors LLC
227 West Monroe Street, Suite 4800
Chicago, IL 60606
Emerging Markets Bond Strategy Fund
Class A
56.373
11.7842
Gary D. Sorenson (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class A
149.994
31.3548
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Emerging Markets Bond Strategy Fund
Class A
27.647
5.7793
Jennifer L. Fields (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class A
78.196
16.3461
Anna K. Fish (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class C
147.094
5.6141
Guggenheim Funds Distributors LLC
227 West Monroe Street, Suite 4800
Chicago, IL 60606
Emerging Markets Bond Strategy Fund
Class C
468.641
17.8865
Sitaram Walambe (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class C
161.799
6.1753
Mark J. Greil (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class C
148.388
5.6634
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Emerging Markets Bond Strategy Fund
Class C
313.938
11.982
Gary M. Rusinovich/Or Sharon Rusinovich JTWROS
[Address Intentionally Omitted for Privacy Purposes]

F-12






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Emerging Markets Bond Strategy Fund
Class C
187.199
7.1447
Lori A. Britt (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Emerging Markets Bond Strategy Fund
Class C
148.414
5.6644
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Emerging Markets Bond Strategy Fund
Class H
99200.321
87.252
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Emerging Markets Bond Strategy Fund
Class H
6430.759
5.6562
TD Ameritrade Inc. for the Exclusive Benefit of our Clients
PO Box 2226
Omaha, NE 68103-2226
Energy Fund
Class A
4536.194
10.8121
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Energy Fund
Class A
6890.587
16.4239
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Energy Fund
Class A
2098.33
5.0014
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Energy Fund
Class A
6458.833
15.3948
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Energy Fund
Class A
11622.388
27.7023
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Energy Fund
Class H
1314.053
9.6122
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Energy Fund
Class H
1221.88
8.9379
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Energy Fund
Class H
1,131.566
8.2773
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Energy Fund
Class H
4856.861
35.5276
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226

F-13






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Energy Fund
Class C
6686.567
27.1837
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Energy Fund
Class C
1618.695
6.5806
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Energy Fund
Class C
5736.639
23.3219
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Energy Fund
Class C
1649.303
6.7051
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Energy Fund
Investor Class
78874.917
35.6425
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Energy Fund
Investor Class
61199.988
27.6554
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Energy Fund
Investor Class
15243.548
6.8883
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Energy Services Fund
Class A
4683.01
10.0657
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Energy Services Fund
Class A
4254.482
9.1446
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Energy Services Fund
Class A
3647.662
7.8403
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Energy Services Fund
Class A
11413.745
24.5329
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Energy Services Fund
Class A
9906.556
21.2933
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-14






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Energy Services Fund
Class C
4175.583
8.9521
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Energy Services Fund
Class C
9405.498
20.1647
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ 07303-9998
Energy Services Fund
Class C
23341.263
50.0421
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Energy Services Fund
Class C
2680.168
5.7461
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Energy Services Fund
Class H
32021.603
58.5299
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Energy Services Fund
Class H
3041.404
5.5591
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Energy Services Fund
Class H
8833.458
16.146
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Energy Services Fund
Investor Class
29863.753
5.7281
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Energy Services Fund
Investor Class
64298.167
12.333
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Energy Services Fund
Investor Class
91712.725
17.5913
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Energy Services Fund
Investor Class
56328.81
10.8044
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Energy Services Fund
Investor Class
128017.93
24.555
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226

F-15






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Energy Services Fund
Investor Class
36424.754
6.9866
Mid Atlantic Trust Company
FBO/MATC FBO Various Kulp Financial Ser.
1251 Waterfront Place, Suite 525
Pittsburgh, PA 15222
Europe 1.25x Strategy Fund
Class A
95.455
6.0222
Judith C. Kleinberg Char Remain Unit Trust – Judith C. Kazen TTEE, Ivan J. Kazen TTEE
[Address Intentionally Omitted for Privacy Purposes]
Europe 1.25x Strategy Fund
Class A
240.573
15.1777
James L. Ridderbush (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Europe 1.25x Strategy Fund
Class A
104.01
6.5619
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Europe 1.25x Strategy Fund
Class A
215.076
13.5691
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Europe 1.25x Strategy Fund
Class A
358.885
22.6419
Oppenheimer & Co. Inc. FBO
FBO Michael Freeman Rlvr IRA
[Address Intentionally Omitted for Privacy Purposes]
Europe 1.25x Strategy Fund
Class A
109.364
6.8997
Stockcross Financial Services/Philip C. Sturman
Peggy J. Sturman TTEE
Philip J. Sturman Living Trust
Europe 1.25x Strategy Fund
Class C
34.833
12.1011
Aaron C. Dunn (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Europe 1.25x Strategy Fund
Class C
233.778
81.2154
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Europe 1.25x Strategy Fund
Class H
104214.232
85.1142
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Financial Services Fund
Class A
8460.874
7.465
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Financial Services Fund
Class A
82729.095
72.9925
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Financial Services Fund
Class A
8445.93
7.4519
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-16






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Financial Services Fund
Class C
8576.16
56.3394
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ 07303-9998
Financial Services Fund
Class C
1424.309
9.3567
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Financial Services Fund
Class C
859.502
5.6463
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Financial Services Fund
Class C
772.021
5.0716
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Financial Services Fund
Class C
1342.24
8.8175
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Financial Services Fund
Class H
66015.593
70.4347
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Financial Services Fund
Class H
6411.929
6.8411
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Financial Services Fund
Class H
16868.561
17.9977
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Financial Services Fund
Investor Class
26442.821
13.6214
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Financial Services Fund
Investor Class
102422.772
52.761
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Financial Services Fund
Investor Class
12409.519
6.3925
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Government Long Bond 1.2x Strategy Fund
Class H
1302305.235
95.0753
E*TRADE Savings Bank/FBO: 75
PO Box 6503
Englewood, CO 80112
Government Long Bond 1.2x Strategy Fund
Investor Class
169841.088
7.457
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-17






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Government Long Bond 1.2x Strategy Fund
Investor Class
1700777.043
74.674
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Government Long Bond 1.2x Strategy Fund
Investor Class
146117.592
6.4154
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Government Long Bond 1.2x Strategy Fund
Investor Class
133019.311
5.8403
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Government Long Bond 1.2x Strategy Fund
Class C
1245.074
6.0533
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
Government Long Bond 1.2x Strategy Fund
Class C
1992.716
9.6882
Linda S. Ewald (ROTH)
[Address Intentionally Omitted for Privacy Purposes]
Government Long Bond 1.2x Strategy Fund
Class C
3865.061
18.7913
Janis Lightfoot (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Government Long Bond 1.2x Strategy Fund
Class C
3061.897
14.8864
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Government Long Bond 1.2x Strategy Fund
Class C
1828.183
8.8883
Cheryl Jones Hall (IRA)/Benefit of Mary Ann Jones (DECD)
[Address Intentionally Omitted for Privacy Purposes]
Government Long Bond 1.2x Strategy Fund
Class C
1554.264
7.5566
Megan Copple Nolen
[Address Intentionally Omitted for Privacy Purposes]
Government Long Bond 1.2x Strategy Fund
Class C
1096.714
5.332
Richard T. Schnabel
[Address Intentionally Omitted for Privacy Purposes]
Health Care Fund
Class A
18034.251
5.6995
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Health Care Fund
Class A
17978.233
5.6818
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Health Care Fund
Class A
181522.941
57.3684
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091

F-18






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Health Care Fund
Class A
31034.573
9.8081
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Health Care Fund
Class C
75721.526
49.355
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Health Care Fund
Class C
12005.426
7.825
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Health Care Fund
Class C
18410.419
11.9998
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Health Care Fund
Class C
8615.228
5.6153
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Health Care Fund
Class H
8844.6
10.8055
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Health Care Fund
Class H
4972.385
6.0748
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Health Care Fund
Class H
9118.756
11.1405
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Health Care Fund
Class H
13722.642
16.7651
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Health Care Fund
Class H
9271.695
11.3273
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Health Care Fund
Class H
21745.215
26.5664
Mid Atlantic Trust Company
FBO Techstar Solutions Group LLC 401(k)
1251 Waterfront Place, Suite 525
Pittsburgh, PA 15222
Health Care Fund
Investor Class
354406.803
41.2722
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-19






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Health Care Fund
Investor Class
123929.485
14.4321
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Health Care Fund
Investor Class
154681.171
18.0132
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
High Yield Strategy Fund
Class A
12102.492
7.2756
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
High Yield Strategy Fund
Class A
12654.238
7.6073
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
High Yield Strategy Fund
Class A
47830.697
28.7544
TD Ameritrade Clearing Inc. FBO
PO Box 2226
Omaha, NE 68103-2226
High Yield Strategy Fund
Class A
24114.556
14.4969
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
High Yield Strategy Fund
Class A
8896.166
5.3481
TD Ameritrade FBO/Wendell Lamar Cossey IRA
TD Ameritrade Clearing, Custodian
[Address Intentionally Omitted for Privacy Purposes]
High Yield Strategy Fund
Class C
4141.133
8.4671
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
High Yield Strategy Fund
Class C
3565.082
7.2893
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
High Yield Strategy Fund
Class C
5877.889
12.0181
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
High Yield Strategy Fund
Class C
4346.537
8.8871
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
High Yield Strategy Fund
Class C
7689.632
15.7225
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
High Yield Strategy Fund
Class C
10424.207
21.3138
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402

F-20






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
High Yield Strategy Fund
Class H
562681.706
23.6065
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
High Yield Strategy Fund
Class H
392635.836
16.4724
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
High Yield Strategy Fund
Class H
144961.89
6.0816
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
High Yield Strategy Fund
Class H
984605.242
41.3076
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Internet Fund
Class A
1062.926
6.0381
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Internet Fund
Class A
4159.014
23.626
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Internet Fund
Class A
1244.722
7.0708
Raymond James/Omnibus for Mutual Funds House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Internet Fund
Class A
3176.422
18.0442
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Internet Fund
Class A
1250.516
7.1037
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Internet Fund
Class A
1523.296
8.6533
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Internet Fund
Class C
2036.816
7.0771
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Internet Fund
Class C
4887.242
16.9813
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-21






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Internet Fund
Class C
15860.152
55.1081
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Internet Fund
Class C
2536.919
8.8148
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Internet Fund
Class H
822.26
10.5433
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Internet Fund
Class H
2325.749
29.8216
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Internet Fund
Class H
2995.086
38.4041
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Internet Fund
Investor Class
260660.413
72.6191
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Internet Fund
Investor Class
22699.498
6.324
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Internet Fund
Investor Class
19037.258
5.3037
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Internet Fund
Investor Class
26189.008
7.2961
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse Emerging Markets 2x Strategy Fund
Class A
1155.435
90.5264
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Emerging Markets 2x Strategy Fund
Class C
11.321
13.6135
William J. Toshner (ROTH)
[Address Intentionally Omitted for Privacy Purposes]
Inverse Emerging Markets 2x Strategy Fund
Class C
71.839
86.3864
TD Ameritrade FBO/Kenna Newman
[Address Intentionally Omitted for Privacy Purposes]
Inverse Emerging Markets 2x Strategy Fund
Class H
1210.419
14.8572
Robert J. Doran (RIRA)
[Address Intentionally Omitted for Privacy Purposes]

F-22






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Emerging Markets 2x Strategy Fund
Class H
1093.949
13.4276
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Emerging Markets 2x Strategy Fund
Class H
626.174
7.6859
Dhruvkumar V. Gunderia or Mita D. Gunderia
[Address Intentionally Omitted for Privacy Purposes]
Inverse Emerging Markets 2x Strategy Fund
Class H
475.654
5.8384
E*TRADE Savings Bank
FBO #98
PO Box 6503
Englewood, CO 80155-6503
Inverse Emerging Markets 2x Strategy Fund
Class H
727.978
8.9355
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Emerging Markets 2x Strategy Fund
Class H
1194.05
14.6563
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse Emerging Markets 2x Strategy Fund
Class H
587.985
7.2172
Equity Trust
FBO Marilyn Ann Haqq
[Address Intentionally Omitted for Privacy Purposes]
Inverse Government Long Bond Strategy Fund
Class A
17580.225
5.9257
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Government Long Bond Strategy Fund
Class A
26788.007
9.0293
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Inverse Government Long Bond Strategy Fund
Class A
44249.309
14.915
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Government Long Bond Strategy Fund
Class A
41938.702
14.1361
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Inverse Government Long Bond Strategy Fund
Class A
91872.589
30.9672
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse Government Long Bond Strategy Fund
Class C
45539.164
24.4442
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Government Long Bond Strategy Fund
Class C
11464.449
6.1538
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-23






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Government Long Bond Strategy Fund
Class C
12466.602
6.6917
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Government Long Bond Strategy Fund
Class C
68617.93
36.8322
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse Government Long Bond Strategy Fund
Class C
27877.729
14.964
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse Government Long Bond Strategy Fund
Class H
20267.383
19.1548
E*TRADE Savings Bank/FBO: 75
PO Box 6503
Englewood, CO 80112
Inverse Government Long Bond Strategy Fund
Class H
66773.385
63.1078
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Government Long Bond Strategy Fund
Investor Class
135439.987
11.2854
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Inverse Government Long Bond Strategy Fund
Investor Class
172239.536
14.3517
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Government Long Bond Strategy Fund
Investor Class
519031.505
43.2479
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Government Long Bond Strategy Fund
Investor Class
64002.003
5.3329
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse High Yield Strategy Fund
Class A
604.386
12.1678
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse High Yield Strategy Fund
Class A
985.56
19.8419
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Inverse High Yield Strategy Fund
Class A
291.638
5.8714
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002

F-24






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse High Yield Strategy Fund
Class A
2569.732
51.7355
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse High Yield Strategy Fund
Class C
5303.11
72.8783
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse High Yield Strategy Fund
Class C
1645.007
22.6066
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse High Yield Strategy Fund
Class H
132240.178
89.5777
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse Mid-Cap Strategy Fund
Class A
688.766
12.3408
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Mid-Cap Strategy Fund
Class A
2072.149
37.1272
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse Mid-Cap Strategy Fund
Class A
1682.188
30.1402
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Mid-Cap Strategy Fund
Class A
960.799
17.2148
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Thomas E. McKnight
[Address Intentionally Omitted for Privacy Purposes]
Inverse Mid-Cap Strategy Fund
Class C
1
99.6015
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Mid-Cap Strategy Fund
Class H
25286.687
63.5692
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Mid-Cap Strategy Fund
Class H
2249.146
5.6542
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Mid-Cap Strategy Fund
Class H
2533.981
6.3702
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse Mid-Cap Strategy Fund
Class H
2266.716
5.6983
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226

F-25






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Mid-Cap Strategy Fund
Class H
3308.859
8.3182
Mid Atlantic Trust Company
FBO Smackover Family Practice Clin 401(k)
1251 Waterfront Place, Suite 525
Pittsburgh, PA 15222
Inverse NASDAQ-100® Strategy Fund
Class A
1521.931
23.7462
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse NASDAQ-100® Strategy Fund
Class A
577.171
9.0054
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse NASDAQ-100® Strategy Fund
Class A
1701.27
26.5444
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse NASDAQ-100® Strategy Fund
Class A
352.125
5.4941
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Inverse NASDAQ-100® Strategy Fund
Class A
980.527
15.2988
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse NASDAQ-100® Strategy Fund
Class C
747.398
20.514
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Inverse NASDAQ-100® Strategy Fund
Class C
893.199
24.5158
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Inverse NASDAQ-100® Strategy Fund
Class C
314.434
8.6303
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse NASDAQ-100® Strategy Fund
Class C
1354.304
37.1719
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse NASDAQ-100® Strategy Fund
Class H
3442.806
11.654
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse NASDAQ-100® Strategy Fund
Class H
22511.856
76.2034
E*TRADE Savings Bank/FBO: 75
PO Box 6503
Englewood, CO 80112
Inverse NASDAQ-100® Strategy Fund
Investor Class
26050.101
17.4988
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-26






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse NASDAQ-100® Strategy Fund
Investor Class
19065.328
12.8069
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse NASDAQ-100® Strategy Fund
Investor Class
26093.548
17.528
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse NASDAQ-100® Strategy Fund
Investor Class
7801.14
5.2403
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse NASDAQ-100® Strategy Fund
Investor Class
8459.156
5.6823
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Fund Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Inverse NASDAQ-100® Strategy Fund
Investor Class
32185.941
21.6205
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse Russell 2000® Strategy Fund
Class A
978.061
6.1711
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse Russell 2000® Strategy Fund
Class A
4980.555
31.4249
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse Russell 2000® Strategy Fund
Class A
2864.438
18.0732
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Russell 2000® Strategy Fund
Class A
3158.253
19.9271
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Russell 2000® Strategy Fund
Class A
1921.23
12.122
TD Ameritrade FBO/Lorraine Suzuki
[Address Intentionally Omitted for Privacy Purposes]
Inverse Russell 2000® Strategy Fund
Class C
2417.292
9.8695
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Robert C. Irvine
[Address Intentionally Omitted for Privacy Purposes]
Inverse Russell 2000® Strategy Fund
Class C
18148.838
74.0997
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Russell 2000® Strategy Fund
Class C
2425.29
9.9021
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091

F-27






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Russell 2000® Strategy Fund
Class H
67757.637
24.3311
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Russell 2000®  Strategy Fund
Class H
49600.194
17.8109
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Russell 2000®  Strategy Fund
Class H
20189.831
7.2499
E*TRADE Savings Bank
FBO: 75
PO Box 6503
Englewood, CO 80112
Inverse Russell 2000®  Strategy Fund
Class H
76439.031
27.4485
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse Russell 2000® Strategy Fund
Class H
15708.89
5.6409
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse S&P 500® Strategy Fund
Class A
314481.486
84.4861
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Inverse S&P 500® Strategy Fund
Class H
19754.96
15.0795
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse S&P 500® Strategy Fund
Class H
98615.475
75.276
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse S&P 500® Strategy Fund
Investor Class
145944.5
18.3824
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse S&P 500® Strategy Fund
Investor Class
350645.972
44.1655
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse S&P 500® Strategy Fund
Investor Class
54626.19
6.8804
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Inverse S&P 500® Strategy Fund
Class C
9900.148
23.3725
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-28






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse S&P 500® Strategy Fund
Class C
19065.822
45.0111
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Inverse S&P 500® Strategy Fund
Class C
3758.619
8.8734
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Japan 2x Strategy Fund
Class A
84.353
5.03
Judith C. Kleinberg Charitable Remain Unit Trust
Judith C. Kazen TTEE
Ivan J. Kaven TTEE
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class A
150.38
8.9673
James L. Ridderbush (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class A
390.519
23.2872
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Japan 2x Strategy Fund
Class A
623.117
37.1574
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Japan 2x Strategy Fund
Class C
33.471
12.4754
Transsolutions Ret Plan/FBO Leong Ng Match
Gloria Bender and Belinda Hargrove TTEES
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class C
15.142
5.6438
John Downing (ROTH)
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class C
32.837
12.2391
Charles Schwab & Co. Inc./Special Custody A/C FBO Customers
Attn: Mutual Funds
101 Montgomery Street
San Francisco, CA 94104-4122
Japan 2x Strategy Fund
Class C
112.57
41.9577
J.P. Morgan Securities LLC/FBO
4 Chase Metrotech Center
Brooklyn, NY 11245-0001
Japan 2x Strategy Fund
Class C
48.226
17.975
TD Ameritrade FBO/Kwock Yee Hom Roth IRA TD Ameritrade Inc. Custodian
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class H
744.887
6.7539
Dean G. Sather or Nancy J. Deschane
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class H
611.874
5.5479
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-29






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Japan 2x Strategy Fund
Class H
1898.505
17.214
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Japan 2x Strategy Fund
Class H
1913.131
17.3466
FolioFN Investments Inc.
8180 Greensboro Drive, 8th Floor
McLean, VA 22102
Japan 2x Strategy Fund
Class H
759.255
6.8842
Jay Lewis Wertman (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Japan 2x Strategy Fund
Class H
2674.866
24.2533
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Leisure Fund
Class A
2681.134
16.9216
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Leisure Fund
Class A
3713.969
23.4402
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Leisure Fund
Class A
2911.117
18.3731
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Leisure Fund
Class A
2,543.389
16.0522
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Leisure Fund
Class A
1088.663
6.8709
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Leisure Fund
Class C
859.701
8.2094
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Leisure Fund
Class C
3383.787
32.3125
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Leisure Fund
Class C
1484.566
14.1764
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Leisure Fund
Class C
1605.405
15.3303
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-30






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Leisure Fund
Class C
681.621
6.5089
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Leisure Fund
Class C
665.762
6.3575
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Leisure Fund
Class C
590.177
5.6357
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Leisure Fund
Class H
5833.023
19.0089
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Leisure Fund
Class H
19920.309
64.9172
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Leisure Fund
Investor Class
25162.958
26.7501
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Leisure Fund
Investor Class
16131.334
17.1488
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Leisure Fund
Investor Class
16455.472
17.4934
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Leisure Fund
Investor Class
6712.922
7.1363
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Leisure Fund
Investor Class
5056.056
5.3749
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Long Short Equity Fund
Class A
47654.004
8.1492
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Long Short Equity Fund
Class A
55476.817
9.487
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Long Short Equity Fund
Class A
43411.12
7.4236
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-31






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Long Short Equity Fund
Class A
97590.143
16.6887
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Long Short Equity Fund
Class A
168646.97
28.8401
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Long Short Equity Fund
Class A
30373.496
5.1941
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Long Short Equity Fund
Class C
6789.562
9.8281
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Long Short Equity Fund
Class C
4151.626
6.0096
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Long Short Equity Fund
Class C
5397.951
7.8137
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Long Short Equity Fund
Class C
6331.109
9.1644
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Long Short Equity Fund
Class C
12825.679
18.5655
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Long Short Equity Fund
Class C
3805.849
5.509
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Long Short Equity Fund
Class C
13538.709
19.5977
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Long Short Equity Fund
Class C
5296.816
7.6673
TD Ameritrade FBO/James LaLonde & Patricia Elise Scallan LaLonde
Community Prop.
[Address Intentionally Omitted for Privacy Purposes]
Long Short Equity Fund
Class P
144504.357
26.3769
UMB Bank NA
FBO Fiduciary For Tax Deferred Acct.
One Security Place
Topeka, KS 66636-0001

F-32






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Long Short Equity Fund
Class P
120701.254
22.032
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Long Short Equity Fund
Class P
53840.195
9.8276
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Long Short Equity Fund
Class P
30578.633
5.5816
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Long Short Equity Fund
Institutional Class
9072.174
7.7283
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Long Short Equity Fund
Institutional Class
17776.035
15.1429
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Long Short Equity Fund
Institutional Class
44091.364
37.5603
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Long Short Equity Fund
Institutional Class
19222.871
16.3754
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Long Short Equity Fund
Institutional Class
10272.975
8.7512
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Long Short Equity Fund
Institutional Class
7713.308
6.5707
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Managed Futures Strategy Fund
Class A
33168.041
8.2307
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
Managed Futures Strategy Fund
Class A
94409.173
23.4278
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901

F-33






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Managed Futures Strategy Fund
Class A
48607.878
12.0621
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Managed Futures Strategy Fund
Class A
52740.378
13.0876
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Managed Futures Strategy Fund
Class A
42543.609
10.5572
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Managed Futures Strategy Fund
Class A
25924.299
6.4331
Oppenheimer & Co. Inc. Custodian/FBO Susan M. Stocke ROTH IRA
[Address Intentionally Omitted for Privacy Purposes]
Managed Futures Strategy Fund
Class C
11425.562
8.1829
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Managed Futures Strategy Fund
Class C
8554.408
6.1266
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Managed Futures Strategy Fund
Class C
26194.454
18.7604
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Managed Futures Strategy Fund
Class C
28016.82
20.0656
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Managed Futures Strategy Fund
Class C
12054.91
8.6337
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Managed Futures Strategy Fund
Class C
12931.19
9.2613
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Managed Futures Strategy Fund
Class C
12712.668
9.1048
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Managed Futures Strategy Fund
Class P
158855.668
22.7935
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Managed Futures Strategy Fund
Class P
82467.984
11.8329
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-34






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Managed Futures Strategy Fund
Class P
90115.985
12.9303
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Managed Futures Strategy Fund
Class P
165123.066
23.6928
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Managed Futures Strategy Fund
Class P
39118.688
5.6129
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Managed Futures Strategy Fund
Institutional Class
30606.284
7.7353
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Managed Futures Strategy Fund
Institutional Class
93379.021
23.6003
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Managed Futures Strategy Fund
Institutional Class
53070.507
13.4128
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Managed Futures Strategy Fund
Institutional Class
81532.891
20.6063
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Managed Futures Strategy Fund
Institutional Class
48584.371
12.279
TD Ameritrade Inc. for the Exclusive Benefit of our Clients
PO Box 2226
Omaha, NE 68103-2226
Managed Futures Strategy Fund
Institutional Class
31945.734
8.0738
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Mid-Cap 1.5x Strategy Fund
Class A
2328.651
8.5188
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Mid-Cap 1.5x Strategy Fund
Class A
1942.069
7.1046
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901

F-35






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Mid-Cap 1.5x Strategy Fund
Class A
2468.651
9.031
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Mid-Cap 1.5x Strategy Fund
Class A
1985.309
7.2628
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Mid-Cap 1.5x Strategy Fund
Class A
2631.368
9.6262
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Mid-Cap 1.5x Strategy Fund
Class A
1896.004
6.9361
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Mid-Cap 1.5x Strategy Fund
Class A
3202.745
11.7165
Vanguard Brokerage Services
P.O. Box 1170
Valley Forge, PA 19482-1170
Mid-Cap 1.5x Strategy Fund
Class C
4472.059
9.8463
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Mid-Cap 1.5x Strategy Fund
Class C
36388.581
80.1184
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Mid-Cap 1.5x Strategy Fund
Class H
7621.76
7.2553
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Mid-Cap 1.5x Strategy Fund
Class H
10152.034
9.6639
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Mid-Cap 1.5x Strategy Fund
Class H
10506.429
10.0013
Luxor Investments LP
Attn: Dr. Atef Eltoukhy GP
84 W. Santa Clara Treet, Suite 490
San Jose, CA 95113
Mid-Cap 1.5x Strategy Fund
Class H
41945.847
39.9293
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class A
1995.448
9.5158
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class A
4989.031
23.7915
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-36






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class A
8135.282
38.7953
E*TRADE Savings Bank/FBO #618
PO Box 6503
Englewood, CO 80155-6503
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class C
511.318
10.8178
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class C
890.909
18.8488
Vincent P. Quigley (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class C
2375.01
50.2477
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class C
429.111
9.0786
Stockcross Financial Services/Barbara Braham Sanborn Rev. Tr. UAD
Barbara Sanborn & Ranza Boggess TTEES
[Address Intentionally Omitted for Privacy Purposes]
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class H
72391.708
7.0492
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class H
121289.836
11.8107
E*TRADE Savings Bank/FBO: 75
PO Box 6503
Englewood, CO 80112
Monthly Rebalance NASDAQ-100® 2x Strategy Fund
Class H
647847.188
63.0849
TD Ameritrade Inc. for the Exclusive Benefit of our Clients
PO Box 2226
Omaha, NE 68103-2226
Multi-Hedge Strategies Fund
Class A
9508.618
6.0261
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Multi-Hedge Strategies Fund
Class A
48950.227
31.0227
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Multi-Hedge Strategies Fund
Class A
12988.335
8.2315
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Multi-Hedge Strategies Fund
Class A
14962.358
9.4825
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761

F-37






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Multi-Hedge Strategies Fund
Class A
8995.327
5.7008
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Multi-Hedge Strategies Fund
Class A
18380.805
11.649
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Multi-Hedge Strategies Fund
Class C
13565.338
18.156
Merrill Lynch, Pierce, Fenner & Smith, Inc./For the Sole Benefit of its Customers
4800 Deer Lake Drive E, 3rd Floor
Jacksonville, FL 32246
Multi-Hedge Strategies Fund
Class C
6429.367
8.6051
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Multi-Hedge Strategies Fund
Class C
4590.449
6.1439
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Multi-Hedge Strategies Fund
Class C
5137.237
6.8757
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Multi-Hedge Strategies Fund
Class C
9187.046
12.296
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Multi-Hedge Strategies Fund
Class C
16179.117
21.6543
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Multi-Hedge Strategies Fund
Class P
34024.424
11.0489
UMB Bank NA
FBO Fiduciary For Tax Deferred Acct.
One Security Place
Topeka, KS 66636-0001
Multi-Hedge Strategies Fund
Class P
103933.312
33.7507
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Multi-Hedge Strategies Fund
Class P
40054.541
13.007
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-38






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Multi-Hedge Strategies Fund
Class P
20786.85
6.7502
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Multi-Hedge Strategies Fund
Class P
52552.494
17.0656
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Multi-Hedge Strategies Fund
Class P
19439.894
6.3128
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Multi-Hedge Strategies Fund
Institutional Class
87800.614
8.9311
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Multi-Hedge Strategies Fund
Institutional Class
222313.621
22.6139
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Multi-Hedge Strategies Fund
Institutional Class
393542.421
40.0315
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Multi-Hedge Strategies Fund
Institutional Class
151161.751
15.3763
TD Ameritrade Inc. for the Exclusive Benefit of our Clients
PO Box 2226
Omaha, NE 68103-2226
NASDAQ-100® Fund
Class A
282245.976
18.6705
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
NASDAQ-100® Fund
Class A
106924.791
7.073
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
NASDAQ-100® Fund
Class A
221753.409
14.6689
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
NASDAQ-100® Fund
Class A
296314.617
19.6012
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
NASDAQ-100® Fund
Class A
160617.582
10.6248
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002

F-39






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
NASDAQ-100® Fund
Class C
460142.912
17.1395
NFS LLC FEBO/FMT Co Custodian IRA Rollover
FBO Michael S. Wojcik
[Address Intentionally Omitted for Privacy Purposes]
NASDAQ-100® Fund
Class C
199151.333
7.418
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ -7303-9998
NASDAQ-100® Fund
Class C
254513.057
9.4801
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
NASDAQ-100® Fund
Class C
258060.582
9.6122
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
NASDAQ-100® Fund
Class C
785493.565
29.2582
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
NASDAQ-100® Fund
Class C
405962.213
15.1213
UBS Financial Services Inc. FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
NASDAQ-100® Fund
Class H
64843.984
5.8934
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
NASDAQ-100® Fund
Class H
383381.792
34.8444
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
NASDAQ-100® Fund
Class H
206933.744
18.8075
E*TRADE Savings Bank/FBO: 75
PO Box 6503
Englewood, CO 80112
NASDAQ-100® Fund
Class H
274826.146
24.9781
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
NASDAQ-100® Fund
Investor Class
7343078.67
30.4746
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-40






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
NASDAQ-100® Fund
Investor Class
5489076.251
22.7803
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
NASDAQ-100® Fund
Investor Class
2068250.409
8.5834
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Nova Fund
Class A
25787.67
5.4775
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Nova Fund
Class A
24265.291
5.1541
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Nova Fund
Class A
250509.773
53.2103
Trust Company of America
For Benefit of: Darlene Herrmann
P.O. Box 6503
Englewood, CO 80155
Nova Fund
Class C
33041.76
54.9709
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Nova Fund
Class C
3103.904
5.1639
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Nova Fund
Class C
16009.043
26.6339
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Nova Fund
Class H
163579.064
29.7324
E*TRADE Savings Bank/FBO 60
PO Box 6503
Englewood, CO 80155
Nova Fund
Class H
357318.851
64.9468
TD Ameritrade Inc. for the Exclusive Benefit of our Clients
PO Box 2226
Omaha, NE 68103-2226
Nova Fund
Investor Class
357065.048
13.1015
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Nova Fund
Investor Class
375041.733
13.7611
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155

F-41






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Nova Fund
Investor Class
624048.083
22.8977
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Nova Fund
Investor Class
988818.012
36.282
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Precious Metals Fund
Class A
85297.282
15.509
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Precious Metals Fund
Class A
306297.336
55.6919
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Precious Metals Fund
Class A
54973.488
9.9954
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Precious Metals Fund
Class H
31664.815
14.1715
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Precious Metals Fund
Class H
19528.22
8.7398
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Precious Metals Fund
Class H
127689.383
57.1473
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Precious Metals Fund
Class H
17036.53
7.6246
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Precious Metals Fund
Class C
8841.651
9.1277
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Precious Metals Fund
Class C
27119.577
27.997
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Precious Metals Fund
Class C
12726.808
13.1386
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-42






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Precious Metals Fund
Class C
6825.302
7.0461
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Precious Metals Fund
Investor Class
305021.683
19.5091
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Precious Metals Fund
Investor Class
89310.32
5.7122
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
Precious Metals Fund
Investor Class
323224.361
20.6733
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Precious Metals Fund
Investor Class
103354.957
6.6105
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Real Estate Fund
Class A
989.317
5.2658
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Real Estate Fund
Class A
1647.734
8.7704
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Real Estate Fund
Class A
5741.225
30.559
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Real Estate Fund
Class A
3001.093
15.974
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Real Estate Fund
Class C
9206.504
46.6395
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ -7303-9998
Real Estate Fund
Class C
2828.243
14.3276
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Real Estate Fund
Class C
2066.546
10.4689
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-43






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Real Estate Fund
Class H
55514.626
14.368
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Real Estate Fund
Class H
29359.078
7.5985
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Real Estate Fund
Class H
222986.326
57.7122
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Retailing Fund
Class A
2532.846
7.5379
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Retailing Fund
Class A
2376.686
7.0731
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Retailing Fund
Class A
11253.3
33.4905
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Retailing Fund
Class A
7738.905
23.0315
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Retailing Fund
Class A
2157.502
6.4208
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Retailing Fund
Class C
3631.736
26.4283
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Retailing Fund
Class C
2715.254
19.759
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Retailing Fund
Class C
2473.943
18.003
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Retailing Fund
Class C
1701.242
12.38
Steven A. Rubin (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
Retailing Fund
Class C
1046.078
7.6123
TD Ameritrade FBO/Richard D. Atkins Rollover IRA
[Address Intentionally Omitted for Privacy Purposes]

F-44






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Retailing Fund
Class H
1647.503
6.0476
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Retailing Fund
Class H
2440.595
8.9588
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Retailing Fund
Class H
20414.877
74.9383
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Retailing Fund
Investor Class
34064.011
14.047
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Retailing Fund
Investor Class
49625.49
20.4641
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Retailing Fund
Investor Class
85111.749
35.0976
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Retailing Fund
Investor Class
37806.357
15.5902
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Russell 2000® Fund
Class A
41813.747
10.16
Trust Co. of America/FBO 120
PO Box 6503
Englewood, CO 80155
Russell 2000® Fund
Class C
4623.066
6.3746
Donaldson Lufkin Jenrette/Securities Corporation Inc.
P.O. Box 2052
Jersey City, NJ -7303-9998
Russell 2000® Fund
Class C
40296.18
55.5638
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Russell 2000® Fund
Class H
39348.455
12.792
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Russell 2000® Fund
Class H
99967.785
32.4992
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-45






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Russell 2000® Fund
Class H
27241.447
8.8561
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Russell 2000® Fund
Class H
90590.425
29.4507
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Russell 2000® 1.5x Strategy Fund
Class A
2791.846
9.1839
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Russell 2000® 1.5x Strategy Fund
Class A
5899.904
19.4081
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Russell 2000® 1.5x Strategy Fund
Class A
2075.9
6.8288
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Russell 2000® 1.5x Strategy Fund
Class A
2879.676
9.4729
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Russell 2000® 1.5x Strategy Fund
Class A
7799.537
25.6571
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Russell 2000® 1.5x Strategy Fund
Class A
6115.88
20.1186
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Russell 2000® 1.5x Strategy Fund
Class C
119.56
11.2985
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Russell 2000® 1.5x Strategy Fund
Class C
149.452
14.1233
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Russell 2000® 1.5x Strategy Fund
Class C
317.079
29.9642
Edward A. Cheesman (SEP)
[Address Intentionally Omitted for Privacy Purposes]
Russell 2000® 1.5x Strategy Fund
Class C
240.452
22.7229
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Russell 2000® 1.5x Strategy Fund
Class C
136.373
12.8873
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-46






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Russell 2000® 1.5x Strategy Fund
Class C
56.808
5.3684
TD Ameritrade FBO/Angela Eve Vicari IRA
TD Ameritrade Clearing Custodian
[Address Intentionally Omitted for Privacy Purposes]
Russell 2000® 1.5x Strategy Fund
Class H
17084.888
18.0692
Leon B. Bastajian or Deanna A. Bastajian
[Address Intentionally Omitted for Privacy Purposes]
Russell 2000® 1.5x Strategy Fund
Class H
13097.547
13.8521
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Russell 2000® 1.5x Strategy Fund
Class H
11122.601
11.7634
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Russell 2000® 1.5x Strategy Fund
Class H
26546.035
28.0754
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P 500® Fund
Class A
111772.811
14.7107
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P 500® Fund
Class A
46578.307
6.1303
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Fund
Class A
408951.659
53.8232
Trust Company of America/FBO #75
PO Box 6503
Englewood, CO 80155-6503
S&P 500® Fund
Class C
51975.401
20.4267
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P 500® Fund
Class C
51752.415
20.339
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P 500® Fund
Class C
45962.482
18.0635
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
S&P 500® Fund
Class C
32739.546
12.8668
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® Fund
Class C
17925.132
7.0447
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-47






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® Fund
Class H
284268.44
12.6743
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® Fund
Class H
175722.977
7.8347
Trust Co of America
FBO 120
PO Box 6503
Englewood, CO 80155
S&P 500® Fund
Class H
446005.558
19.8854
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Fund
Class H
133959.745
5.9726
Peter S. Proll (RIRA)
[Address Intentionally Omitted for Privacy Purposes]
S&P 500® Fund
Class H
205122.194
9.1455
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® Fund
Class H
685827.801
30.5781
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P 500® Pure Growth Fund
Class A
16703.891
9.0618
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P 500® Pure Growth Fund
Class A
20635.368
11.1946
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® Pure Growth Fund
Class A
67826.566
36.7958
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P 500® Pure Growth Fund
Class A
14750.804
8.0022
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Pure Growth Fund
Class C
29997.439
17.4965
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P 500® Pure Growth Fund
Class C
19942.97
11.632
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® Pure Growth Fund
Class C
65077.382
37.9574
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-48






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® Pure Growth Fund
Class C
13727.474
8.0067
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
S&P 500® Pure Growth Fund
Class C
8641.885
5.0405
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Pure Growth Fund
Class H
56083.398
6.25
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P 500® Pure Growth Fund
Class H
86439.584
9.633
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® Pure Growth Fund
Class H
122973.98
13.7044
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Pure Growth Fund
Class H
419486.79
46.7485
E*TRADE Savings Bank
FBO #65
PO Box 6503
Englewood, CO 80155-6503
S&P 500® Pure Growth Fund
Class H
75387.476
8.4013
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P 500® Pure Value Fund
Class A
4424.417
10.9778
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P 500® Pure Value Fund
Class A
5347.583
13.2683
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® Pure Value Fund
Class A
4659.109
11.5601
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P 500® Pure Value Fund
Class A
2335.311
5.7943
Edward D. Jones & Co./For the Benefit of Customers
12555 Manchester Road
Saint Louis, MO 63131-3729
S&P 500® Pure Value Fund
Class A
10007.395
24.8302
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
S&P 500® Pure Value Fund
Class A
6448.462
15.9998
Trust Company of America/FBO #443
PO Box 6503
Englewood, CO 80155-6503

F-49






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® Pure Value Fund
Class C
7356.73
21.5215
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
S&P 500® Pure Value Fund
Class C
5575.51
16.3107
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® Pure Value Fund
Class C
4796.301
14.0312
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P 500® Pure Value Fund
Class C
6465.459
18.9142
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® Pure Value Fund
Class C
2978.174
8.7124
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P 500® Pure Value Fund
Class H
335835.627
75.5892
Trust Co of America
FBO 120
PO Box 6503
Englewood, CO 80155
S&P 500® Pure Value Fund
Class H
22696.098
5.1083
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P MidCap 400® Pure Growth Fund
Class A
16770.584
7.933
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
S&P MidCap 400® Pure Growth Fund
Class A
22989.723
10.8749
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P MidCap 400® Pure Growth Fund
Class A
49238.985
23.2917
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
S&P MidCap 400® Pure Growth Fund
Class A
25299.476
11.9675
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P MidCap 400® Pure Growth Fund
Class A
38096.271
18.0208
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P MidCap 400® Pure Growth Fund
Class A
20578.819
9.7344
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-50






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P MidCap 400® Pure Growth Fund
Class C
91624.532
48.5047
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P MidCap 400® Pure Growth Fund
Class C
11217.539
5.9384
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P MidCap 400® Pure Growth Fund
Class C
28991.439
15.3476
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P MidCap 400® Pure Growth Fund
Class C
12948.422
6.8547
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
S&P MidCap 400® Pure Growth Fund
Class H
200751.781
25.8914
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P MidCap 400® Pure Growth Fund
Class H
333011.635
42.9492
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P MidCap 400® Pure Growth Fund
Class H
61955.066
7.9904
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P MidCap 400® Pure Value Fund
Class A
4396.92
21.7419
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
S&P MidCap 400® Pure Value Fund
Class A
4469.968
22.1031
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P MidCap 400® Pure Value Fund
Class A
2529.593
12.5083
NFS LLC FEBO/Richard P. Kane TTEE
Elizabeth J. Kane 2001 Rev. Trust
[Address Intentionally Omitted for Privacy Purposes]
S&P MidCap 400® Pure Value Fund
Class A
1644.697
8.1327
TD Ameritrade FBO/Joseph E. Sabella & Pamela S. Sabella JT TEN
[Address Intentionally Omitted for Privacy Purposes]
S&P MidCap 400® Pure Value Fund
Class C
15228.24
15228.24
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-51






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P MidCap 400® Pure Value Fund
Class C
2047.334
8.6627
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P MidCap 400® Pure Value Fund
Class H
34613.658
20.075
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P MidCap 400® Pure Value Fund
Class H
74056.091
42.9507
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P MidCap 400® Pure Value Fund
Class H
29181.254
16.9244
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P SmallCap 600® Pure Growth Fund
Class A
2423.687
6.3328
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P SmallCap 600® Pure Growth Fund
Class A
5318.595
13.897
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P SmallCap 600® Pure Growth Fund
Class A
3956.345
10.3375
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
S&P SmallCap 600® Pure Growth Fund
Class A
4002.584
10.4583
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
S&P SmallCap 600® Pure Growth Fund
Class A
5338.576
13.9492
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P SmallCap 600® Pure Growth Fund
Class A
3217.125
8.406
NFS LLC FEBO/Richard P. Kane TTEE
Elizabeth J. Kane 2001 Rev. Trust
[Address Intentionally Omitted for Privacy Purposes]
S&P SmallCap 600® Pure Growth Fund
Class A
6621.347
17.3009
Trust Company of America/FBO #161
PO Box 6503
Englewood, CO 80155-6503
S&P SmallCap 600® Pure Growth Fund
Class C
4768.698
26.5405
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-52






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P SmallCap 600® Pure Growth Fund
Class C
2203.943
12.2662
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P SmallCap 600® Pure Growth Fund
Class C
3645.452
20.289
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P SmallCap 600® Pure Growth Fund
Class C
974.378
5.4229
Oppenheimer & Co. Inc. FBO/Patricia M. Hall
[Address Intentionally Omitted for Privacy Purposes]
S&P SmallCap 600® Pure Growth Fund
Class H
13478.511
5.4753
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P SmallCap 600® Pure Growth Fund
Class H
53396.219
21.6909
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P SmallCap 600® Pure Growth Fund
Class H
120775.07
49.0619
Trust Company of America Custodian
FBO 25
PO Box 6503
Englewood, CO 80155-6053
S&P SmallCap 600® Pure Growth Fund
Class H
18456.132
7.4973
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P SmallCap 600® Pure Growth Fund
Class H
15317.376
6.2223
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P SmallCap 600® Pure Value Fund
Class A
5082.421
11.3114
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P SmallCap 600® Pure Value Fund
Class A
11156.395
24.8297
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
S&P SmallCap 600® Pure Value Fund
Class A
3299.475
7.3433
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P SmallCap 600® Pure Value Fund
Class A
11072.936
24.6439
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P SmallCap 600® Pure Value Fund
Class A
6328.972
14.0857
Trust Company of America/FBO #648
PO Box 6503
Englewood, CO 80155-6503

F-53






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P SmallCap 600® Pure Value Fund
Class C
1762.203
7.1243
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
S&P SmallCap 600® Pure Value Fund
Class C
1790.893
7.2403
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P SmallCap 600® Pure Value Fund
Class C
13150.009
53.1638
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P SmallCap 600® Pure Value Fund
Class H
39230.357
21.2556
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P SmallCap 600® Pure Value Fund
Class H
23535.033
12.7516
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P SmallCap 600® Pure Value Fund
Class H
16550.566
8.9673
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
S&P SmallCap 600® Pure Value Fund
Class H
40161.708
21.7602
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P SmallCap 600® Pure Value Fund
Class H
26601.953
14.4133
Mid Atlantic Trust Company
FBO/Pere Marquette Emergency Physi 401(k) Profit Sharing Plan & Trust
1251 Waterfront Place, Suite 525
Pittsburgh, PA 15222
Strengthening Dollar 2x Strategy Fund
Class A
14652.794
47.3045
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Strengthening Dollar 2x Strategy Fund
Class A
8043.632
25.9677
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Strengthening Dollar 2x Strategy Fund
Class A
3520.373
11.365
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Strengthening Dollar 2x Strategy Fund
Class C
614.563
29.5863
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-54






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Strengthening Dollar 2x Strategy Fund
Class C
183.294
8.8241
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Strengthening Dollar 2x Strategy Fund
Class C
391.452
18.8453
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Strengthening Dollar 2x Strategy Fund
Class C
446.964
21.5177
NFS LLC FEBO/NFS FMTC SEP IRA
FBO Paul V. Esposito
[Address Intentionally Omitted for Privacy Purposes]
Strengthening Dollar 2x Strategy Fund
Class C
139.799
6.7302
TD Ameritrade FBO/Arthur Pham
[Address Intentionally Omitted for Privacy Purposes]
Strengthening Dollar 2x Strategy Fund
Class C
183.467
8.8324
Director of Finance State of Hawaii/Unclaimed Property Branch
PO Box 150
Honolulu, HI 96810-0150
Strengthening Dollar 2x Strategy Fund
Class H
18231.731
16.7829
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Strengthening Dollar 2x Strategy Fund
Class H
63373.14
58.3372
Trust Company of America
FBO 120
PO Box 6503
Englewood, CO 80155
Strengthening Dollar 2x Strategy Fund
Class H
6452.224
5.9395
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Technology Fund
Class A
4695.131
7.2043
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Technology Fund
Class A
5565.842
8.5404
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Technology Fund
Class A
21703.532
33.3027
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Technology Fund
Class A
17009.051
26.0993
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Technology Fund
Class A
3332.664
5.1137
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Technology Fund
Class C
19075.981
37.3211
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-55






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Technology Fund
Class C
4379.012
8.5673
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Technology Fund
Class C
13141.188
25.71
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Technology Fund
Class C
6049.38
11.8352
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Technology Fund
Class C
2780.265
5.4394
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Technology Fund
Class H
11045.907
17.8002
E*TRADE Savings Bank
FBO #65
PO Box 6503
Englewood, CO 80155-6503
Technology Fund
Class H
4913.702
7.9183
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Technology Fund
Class H
36499.873
58.8189
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Technology Fund
Investor Class
51640.956
8.2831
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Technology Fund
Investor Class
302754.143
48.5616
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Technology Fund
Investor Class
51973.721
8.3365
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Technology Fund
Investor Class
62851.279
10.0813
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Technology Fund
Investor Class
104643.081
16.7847
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Telecommunications Fund
Class A
2338.8
16.7142
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-56






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Telecommunications Fund
Class A
4147.794
29.6422
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Telecommunications Fund
Class A
1430.227
10.2211
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Telecommunications Fund
Class A
705.906
5.0447
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Telecommunications Fund
Class A
3882.032
27.7429
Equity Trust Co. Custodian FBO
Edward F. McCarthy
PO Box 451249
Cleveland, OH 44145
Telecommunications Fund
Class C
3460.506
78.9863
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Telecommunications Fund
Class C
751.067
17.1431
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Telecommunications Fund
Class H
624.378
9.0559
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Telecommunications Fund
Class H
1467.741
21.2879
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Telecommunications Fund
Class H
564.205
8.1831
E*TRADE Savings Bank
FBO: 75
PO Box 6503
Englewood, CO 80112
Telecommunications Fund
Class H
837.258
12.1435
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Telecommunications Fund
Class H
2966.231
43.0219
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Telecommunications Fund
Investor Class
29237.385
44.0585
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Telecommunications Fund
Investor Class
9563.841
14.4119
Donaldson Lufkin Jenrette
Pershing Division
Attn: Mutual Funds, 7th Floor
PO Box 2052
Jersey City, NJ 07303

F-57






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Telecommunications Fund
Investor Class
9091.336
13.6999
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Telecommunications Fund
Investor Class
8795.276
13.2538
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Transportation Fund
Class A
3251.294
5.5666
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Transportation Fund
Class A
4536.426
7.7669
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Transportation Fund
Class A
13236.332
22.6624
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Transportation Fund
Class A
3000.902
5.1379
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Transportation Fund
Class A
5497.806
9.413
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Transportation Fund
Class A
12132.266
20.7721
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Transportation Fund
Class A
10979.971
18.7992
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Transportation Fund
Class C
4255.102
12.5794
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Transportation Fund
Class C
1958.372
5.7895
American Enterprise Investment Services, Inc.
707 2nd Avenue South
Minneapolis, MN 55402
Transportation Fund
Class C
2321.261
6.8623
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901

F-58






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Transportation Fund
Class C
8048.953
23.7952
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Transportation Fund
Class C
1869.43
5.5266
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Transportation Fund
Class C
11820.729
34.9457
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Transportation Fund
Class H
705.982
7.6031
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Transportation Fund
Class H
615.524
6.6289
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Transportation Fund
Class H
2779.864
29.9381
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Transportation Fund
Class H
592.71
6.3832
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Transportation Fund
Class H
2641.408
28.447
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Transportation Fund
Class H
674.39
7.2629
TD Ameritrade Trust Company
P.O. Box 17748
Denver, CO 80217-0748
Transportation Fund
Investor Class
10692.286
9.041
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Transportation Fund
Investor Class
45807.611
38.7335
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Transportation Fund
Investor Class
24235.904
20.4931
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Transportation Fund
Investor Class
14002.957
11.8404
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-59






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Transportation Fund
Investor Class
6364.535
5.3816
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Utilities Fund
Class A
21187.746
15.1158
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Utilities Fund
Class A
24156.629
17.2339
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Utilities Fund
Class A
7791.417
5.5585
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Utilities Fund
Class A
24849.433
17.7282
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Utilities Fund
Class C
9247.613
5.1441
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Paul O. Dodge, Jr.
[Address Intentionally Omitted for Privacy Purposes]
Utilities Fund
Class C
42627.989
23.7123
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Utilities Fund
Class C
22419.108
12.4709
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Utilities Fund
Class C
15576.346
8.6645
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Utilities Fund
Class C
61860.308
34.4106
UBS Financial Services Inc.
FBO/UBS WM USA
Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07806-6761
Utilities Fund
Class C
16555.442
9.2091
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
Utilities Fund
Class H
4764.531
5.4736
Nationwide Trust Company
FSB/C/O IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Utilities Fund
Class H
37463.461
43.039
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-60






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Utilities Fund
Class H
18988.057
21.8139
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Utilities Fund
Investor Class
186650.982
11.2227
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Utilities Fund
Investor Class
275568.162
16.569
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Utilities Fund
Investor Class
543574.058
32.6834
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Utilities Fund
Investor Class
330498.863
19.8718
SEI Private Trust Company
One Freedom Valley Drive
Oaks, PA 19456
U.S. Government Money Market Fund
Money Market Class
45704948.43
11.5363
Trust Company of America/FBO 90
PO Box 6503
Englewood, CO 80155
U.S. Government Money Market Fund
Money Market Class
98173701.36
24.78
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Weakening Dollar 2x Strategy Fund
Class A
362.439
8.0035
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
Weakening Dollar 2x Strategy Fund
Class A
1929.197
42.6012
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Weakening Dollar 2x Strategy Fund
Class A
360.85
7.9684
Marjorie J. White (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Weakening Dollar 2x Strategy Fund
Class A
235
5.1893
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
Weakening Dollar 2x Strategy Fund
Class A
511.073
11.2856
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002

F-61






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Weakening Dollar 2x Strategy Fund
Class A
288.231
6.3648
TD Ameritrade FBO/Simon P. Maybury & Charlotte A. Maybury JT TEN
[Address Intentionally Omitted for Privacy Purposes]
Weakening Dollar 2x Strategy Fund
Class C
381.02
82.8412
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Weakening Dollar 2x Strategy Fund
Class C
48.889
10.6294
TD Ameritrade FBO/Joseph Caffrey IRA Rollover
TD Ameritrade Clearing Custodian
[Address Intentionally Omitted for Privacy Purposes]
Weakening Dollar 2x Strategy Fund
Class H
5917.213
16.0409
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Weakening Dollar 2x Strategy Fund
Class H
11712.439
31.7511
Trust Company of America
FBO 120
PO Box 6503
Englewood, CO 80155
Weakening Dollar 2x Strategy Fund
Class H
2663.039
7.2192
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Weakening Dollar 2x Strategy Fund
Class H
2573.401
6.9762
Ralph C. Newmann (ROTH)
[Address Intentionally Omitted for Privacy Purposes]
Weakening Dollar 2x Strategy Fund
Class H
4872.883
13.2098
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
Rydex Dynamic Funds
Dow 2x Strategy Fund
Class A
10701.516
9.7269
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Dow 2x Strategy Fund
Class A
50224.998
45.651
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Dow 2x Strategy Fund
Class A
16679.747
15.1607
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Dow 2x Strategy Fund
Class C
3592.046
14.9716
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Dow 2x Strategy Fund
Class C
2610.78
10.8817
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105

F-62






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Dow 2x Strategy Fund
Class C
5712.387
23.8092
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Dow 2x Strategy Fund
Class C
1242.911
5.1804
TD Ameritrade FBO/Stephen K C Lo & Charlotte Lo JT TEN
[Address Intentionally Omitted for Privacy Purposes]
Dow 2x Strategy Fund
Class C
1621
6.7563
Oppenheimer & Co. Inc. FBO/Annette M. Nolan Intervivos Trust DTD
Mark Nolan TTEE
[Address Intentionally Omitted for Privacy Purposes]
Dow 2x Strategy Fund
Class C
1816.141
7.5696
TD Ameritrade FBO/Josh R. Cornish
[Address Intentionally Omitted for Privacy Purposes]
Dow 2x Strategy Fund
Class H
48112.142
17.0791
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Dow 2x Strategy Fund
Class H
47363.581
16.8134
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Dow 2x Strategy Fund
Class H
37967.316
13.4779
Vicki Potaznik
[Address Intentionally Omitted for Privacy Purposes]
Dow 2x Strategy Fund
Class H
41209.019
14.6286
TD Ameritrade
FBO Matthew Clemens Rollover IRA
TD Ameritrade Clearing Inc. Custodian
[Address Intentionally Omitted for Privacy Purposes]
Inverse Dow 2x Strategy Fund
Class A
41650.565
53.502
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse Dow 2x Strategy Fund
Class A
28928.738
37.1603
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Dow 2x Strategy Fund
Class C
27067.488
84.4042
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Dow 2x Strategy Fund
Class H
66145.452
13.0242
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Dow 2x Strategy Fund
Class H
229746.028
45.2375
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-63






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Dow 2x Strategy Fund
Class H
32007.518
6.3023
TD Ameritrade
FBO Matthew Clemens Rollover IRA
TD Ameritrade Clearing Inc. Custodian
[Address Intentionally Omitted for Privacy Purposes]
Inverse NASDAQ-100® 2x Strategy Fund
Class A
5576.17
21.2046
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse NASDAQ-100® 2x Strategy Fund
Class A
2579.97
9.8109
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
Inverse NASDAQ-100® 2x Strategy Fund
Class A
16392.208
62.3352
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse NASDAQ-100® 2x Strategy Fund
Class C
1258.981
21.2526
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse NASDAQ-100® 2x Strategy Fund
Class C
2304.904
38.9087
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Inverse NASDAQ-100® 2x Strategy Fund
Class C
572.235
9.6598
Dolores Jansson Bernhardt (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Inverse NASDAQ-100® 2x Strategy Fund
Class C
1156.189
19.5174
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse NASDAQ-100® 2x Strategy Fund
Class H
43867.334
7.3375
TD Ameritrade
FBO Bonnie-Sue Brown-Widell
[Address Intentionally Omitted for Privacy Purposes]
Inverse NASDAQ-100® 2x Strategy Fund
Class H
52172.291
8.7266
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse NASDAQ-100® 2x Strategy Fund
Class H
61286.76
10.2512
Les Linet (Roth)
[Address Intentionally Omitted for Privacy Purposes]
Inverse NASDAQ-100® 2x Strategy Fund
Class H
103338.298
17.285
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Russell 2000® 2x Strategy Fund
Class A
201997.022
98.735
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Russell 2000® 2x Strategy Fund
Class C
5591.785
62.9611
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Robert C. Irvine
[Address Intentionally Omitted for Privacy Purposes]

F-64






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse Russell 2000® 2x Strategy Fund
Class C
504.149
5.6765
Dolores Jansson Bernhardt (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Inverse Russell 2000® 2x Strategy Fund
Class C
2348.983
26.4485
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Russell 2000® 2x Strategy Fund
Class H
18153.52
15.167
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse Russell 2000® 2x Strategy Fund
Class H
27202.048
22.727
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Inverse Russell 2000® 2x Strategy Fund
Class H
6211.395
5.1895
Cooper Family Foundation
Attn: William Benson Bhaskar Manda
[Address Intentionally Omitted for Privacy Purposes]
Inverse Russell 2000® 2x Strategy Fund
Class H
10314.418
8.6175
Citigroup USA, Inc.
FBO General Welfare Group LLC
FBO Patricia Meer
227 West Monroe Street, 3rd Floor
Chicago, IL 60606
Inverse Russell 2000® 2x Strategy Fund
Class H
9913.198
8.2823
TD Ameritrade
FBO Paul Kuhn * Berrin Kuhn JT TEN
[Address Intentionally Omitted for Privacy Purposes]
Inverse S&P 500® 2x Strategy Fund
Class A
9935.132
16.957
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse S&P 500® 2x Strategy Fund
Class A
11694.164
19.9593
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse S&P 500® 2x Strategy Fund
Class A
5421.1
9.2526
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Inverse S&P 500® 2x Strategy Fund
Class C
4714.65
21.8907
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
Inverse S&P 500® 2x Strategy Fund
Class C
3202.215
14.8682
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Inverse S&P 500® 2x Strategy Fund
Class C
3974.016
18.4518
TD Ameritrade FBO/James Thomas McConville TR. FBO James Thomas McConville UA
[Address Intentionally Omitted for Privacy Purposes]

F-65






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse S&P 500® 2x Strategy Fund
Class C
1498.843
6.9593
TD Ameritrade FBO/James Thomas McConville TR. FBO James Thomas McConville Irrevocable Gift Trust
[Address Intentionally Omitted for Privacy Purposes]
Inverse S&P 500® 2x Strategy Fund
Class C
1196.329
5.5547
TD Ameritrade FBO/Michael H. Davis
[Address Intentionally Omitted for Privacy Purposes]
Inverse S&P 500® 2x Strategy Fund
Class C
1700.243
7.8944
TD Ameritrade FBO/State Street Bank & Trust Company
The Wildlife Conservation Society 401(k)
FBO Todd John Comstock
[Address Intentionally Omitted for Privacy Purposes]
Inverse S&P 500® 2x Strategy Fund
Class H
49579.214
10.1329
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Inverse S&P 500® 2x Strategy Fund
Class H
206480.825
42.2002
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
NASDAQ-100® 2x Strategy Fund
Class A
49842.486
22.2324
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310
NASDAQ-100® 2x Strategy Fund
Class A
21604.205
9.6366
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
NASDAQ-100® 2x Strategy Fund
Class A
11229.403
5.0089
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
NASDAQ-100® 2x Strategy Fund
Class A
21900.123
9.7686
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
NASDAQ-100® 2x Strategy Fund
Class A
37036.616
16.5203
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
NASDAQ-100® 2x Strategy Fund
Class C
17690.342
19.8933
NFS LLC FEBO/NFS/FMTC SEP IRA
FBO James Hershey
[Address Intentionally Omitted for Privacy Purposes]
NASDAQ-100® 2x Strategy Fund
Class C
7797.691
8.7687
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998

F-66






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
NASDAQ-100® 2x Strategy Fund
Class C
10799.944
12.1448
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
NASDAQ-100® 2x Strategy Fund
Class C
11669.986
13.1232
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
NASDAQ-100® 2x Strategy Fund
Class C
4739.396
5.3295
Stephen H. Karshbaum
[Address Intentionally Omitted for Privacy Purposes]
NASDAQ-100® 2x Strategy Fund
Class C
4504.701
5.0656
Raymond James/Omnibus for Mutual Funds
House Account
Attn: Courtney Waller
880 Carillon Parkway
Saint Petersburg, FL 33716
NASDAQ-100® 2x Strategy Fund
Class H
388436.211
16.0889
TD Ameritrade
FBO Bonnie-Sue Brown-Widell
[Address Intentionally Omitted for Privacy Purposes]
NASDAQ-100® 2x Strategy Fund
Class H
425739.182
17.634
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
NASDAQ-100® 2x Strategy Fund
Class H
395097.425
16.3648
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
NASDAQ-100® 2x Strategy Fund
Class H
218652.644
9.0565
UBS Financial Services Inc.
FBO/UBS WM USA Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07086-6761
Russell 2000® 2x Strategy Fund
Class A
4269.893
19.4466
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
Russell 2000® 2x Strategy Fund
Class A
1757.101
8.0024
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Russell 2000® 2x Strategy Fund
Class A
3086.414
14.0566
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
Russell 2000® 2x Strategy Fund
Class A
2656.676
12.0995
National Financial Services LLC
499 Washington Boulevard
Jersey City, NJ 07310

F-67






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Russell 2000® 2x Strategy Fund
Class C
383.564
11.2117
NFS LLC FEBO/NFS/FMTC Rollover IRA
FBO Robert C. Irvine
[Address Intentionally Omitted for Privacy Purposes]
Russell 2000® 2x Strategy Fund
Class C
1361.494
39.797
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
Russell 2000® 2x Strategy Fund
Class C
175.964
5.1434
Allen N. Vickrey (IRA)
[Address Intentionally Omitted for Privacy Purposes]
Russell 2000® 2x Strategy Fund
Class C
373.038
10.904
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
Russell 2000® 2x Strategy Fund
Class H
21106.841
13.4278
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
Russell 2000® 2x Strategy Fund
Class H
22981.479
14.6205
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310
Russell 2000® 2x Strategy Fund
Class H
43109.559
27.4257
Trust Company Of America
FBO 25
PO Box 6503
Englewood, CO 80155-6053
Russell 2000® 2x Strategy Fund
Class H
17513.118
11.1416
TD Ameritrade Inc. For the Exclusive Benefit of Our Clients
PO Box 2226
Omaha, NE 68103-2226
S&P 500® 2x Strategy Fund
Class A
14330.729
12.3795
NFS LLC FEBO/Mutual Funds Fractional Write Off Account
Attn: Frank Adinolfi
200 Liberty Street
New York, NY 10281
S&P 500® 2x Strategy Fund
Class A
8450.814
7.3001
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® 2x Strategy Fund
Class A
8672.495
7.4916
Morgan Stanley Smith Barney LLC
For The Exclusive Benefit Of Its Customers
1 New York Plaza, Floor 12
New York, NY 10004-1901
S&P 500® 2x Strategy Fund
Class A
13996.342
12.0906
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103

F-68






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® 2x Strategy Fund
Class A
13795.334
11.917
UBS Financial Services Inc.
FBO/UBS WM USA Omni Account M/F
1000 Harbor Boulevard
Weehawken, NJ 07086-6761
S&P 500® 2x Strategy Fund
Class A
6587.636
5.6906
RBC Capital Markets LLC
Mutual Fund Omnibus Processing Omnibus
Attn: Mutual Funds Ops Manager
60 South Sixth Street – P08
Minneapolis, MN 55402-4400
S&P 500® 2x Strategy Fund
Class A
6273.103
5.4189
LPL Financial
4707 Executive Drive
San Diego, CA 92121-3091
S&P 500® 2x Strategy Fund
Class A
13495.35
11.6578
Pershing LLC
1 Pershing Plaza
Jersey City, NJ 07399-0002
S&P 500® 2x Strategy Fund
Class C
6095.662
5.5851
Pershing LLC
P.O. Box 2052
Jersey City, NJ 07303-9998
S&P 500® 2x Strategy Fund
Class C
8042.788
7.3692
Special Custody Account For The Exclusive Benefit Of Customer
Wells Fargo Clearing Services LLC
2801 Market Street
Saint Louis, MO 63103
S&P 500® 2x Strategy Fund
Class C
16794.341
15.3878
Robert E. Hillard (IRA)
[Address Intentionally Omitted for Privacy Purposes]
S&P 500® 2x Strategy Fund
Class C
5672.15
5.1971
Oppenheimer & Co. Inc. FBO/George Skaff Elias Account
[Address Intentionally Omitted for Privacy Purposes]
S&P 500® 2x Strategy Fund
Class H
121584.803
9.8398
TD Ameritrade
FBO Bonnie-Sue Brown-Widell
[Address Intentionally Omitted for Privacy Purposes]
S&P 500® 2x Strategy Fund
Class H
143505.7
11.6139
Schwab Special Custody Account – Reinvest for Benefit of Customers
211 Main Street
San Francisco, CA 94105
S&P 500® 2x Strategy Fund
Class H
339192.958
27.4509
Trust Co Of America
FBO 120
PO Box 6503
Englewood, CO 80155
S&P 500® 2x Strategy Fund
Class H
123535.365
9.9977
National Financial Services Corporation For Exclusive Benefit Of Our Customers
Attn: Mutual Funds Department, 4th Floor
499 Washington Boulevard
Jersey City, NJ 07310

F-69






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® 2x Strategy Fund
Class H
185135.062
14.983
Meg & Company C/C
c/o Ameriserv Trust & Financial Services Company
216 Franklin Street
Johnstown, PA 15901-1911
Rydex Variable Trust
Banking Fund
--
22031.078
48.2683
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Banking Fund
--
8485.176
18.5903
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Banking Fund
--
14015.955
30.7078
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Basic Materials Fund
--
42550.472
47.0373
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Basic Materials Fund
--
12199.984
13.4864
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Basic Materials Fund
--
25339.168
28.0111
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Basic Materials Fund
--
8438.359
9.3281
Principal Life Insurance Co Cust./FBO Principal Pivot Series Variable
Annuity
Attn: Individual Life Accounting
711 High Street
Des Moines, IA 50392
Biotechnology Fund
--
75224.025
30.9034
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Biotechnology Fund
--
54864.416
22.5393
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Biotechnology Fund
--
35046.189
14.3976
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001

F-70






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Biotechnology Fund
--
71073.784
29.1984
Midland National Life Insurance Company
430 Westown Parkway
West Des Moines, IA 50266
Commodities Strategy Fund
--
11339.924
28.3758
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Commodities Strategy Fund
--
18608.068
46.5628
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Commodities Strategy Fund
--
3088.753
7.7289
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Commodities Strategy Fund
--
6528.605
16.3364
Principal Life Insurance Co Cust./FBO Principal Pivot Series Variable
Annuity
Attn: Individual Life Accounting
711 High Street
Des Moines, IA 50392
Consumer Products Fund
--
95218.773
35.2206
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Consumer Products Fund
--
139160.508
51.4743
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Consumer Products Fund
--
26983.143
9.9808
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Dow 2x Strategy Fund
--
73835.928
64.1926
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Dow 2x Strategy Fund
--
24849.03
21.6036
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Dow 2x Strategy Fund
--
15009.685
13.0493
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Electronics Fund
--
50821.925
64.3239
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-71






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Electronics Fund
--
19302.657
24.4308
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Electronics Fund
--
7411.004
9.3799
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Energy Fund
--
72799.906
56.1606
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Energy Fund
--
33160.63
25.5813
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Energy Fund
--
20612.185
15.901
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Energy Services Fund
--
55320.493
48.2206
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Energy Services Fund
--
25757.814
22.452
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Energy Services Fund
--
32314.7
28.1674
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Europe 1.25x Strategy Fund
--
14052.099
25.5174
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Europe 1.25x Strategy Fund
--
34817.85
63.2263
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Europe 1.25x Strategy Fund
--
6187.789
11.2365
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Financial Services Fund
--
66138.059
60.9587
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-72






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Financial Services Fund
--
22716.106
20.9372
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Financial Services Fund
--
15127.115
13.9425
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Internet Fund
--
52034.177
54.4851
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Internet Fund
--
15986.113
16.7391
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Internet Fund
--
24273.364
25.4167j
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Inverse Dow 2x Strategy Fund
--
23675.586
65.4371
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse Dow 2x Strategy Fund
--
7733.19
21.3738
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Inverse Dow 2x Strategy Fund
--
4771.768
13.1887
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Inverse Russell 2000® Strategy Fund
--
9238.954
70.7479
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse Russell 2000® Strategy Fund
--
3428.191
26.2516
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Leisure Fund
--
30126.485
68.9539
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Leisure Fund
--
5911.265
13.5297
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223

F-73






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Leisure Fund
--
6804.668
15.5746
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Global Managed Futures Strategy Fund
--
276023.571
32.9974
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Global Managed Futures Strategy Fund
--
204276.84
24.4204
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Global Managed Futures Strategy Fund
--
65319.246
7.8086
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Global Managed Futures Strategy Fund
--
169114.162
20.2168
AXA Equitable Life Insurance Company
Separate Account 49
1290 Avenue of the Americas
New York, NY 10104
Government Long Bond 1.2x Strategy Fund
--
715437.126
46.9246
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Government Long Bond 1.2x Strategy Fund
--
632739.133
41.5005
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Government Long Bond 1.2x Strategy Fund
--
91707.679
6.0149
Midland National Life Insurance Co./Attn: Variable Annuity Department
PO Box 79907
West Des Moines, IA 50325-0907
Health Care Fund
--
147282.688
58.0817
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Health Care Fund
--
48882.239
19.2769
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Health Care Fund
--
47623.655
18.7806
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
High Yield Strategy Fund
--
5431.072
10.5001
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223

F-74






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
High Yield Strategy Fund
--
7367.076
14.2431
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
High Yield Strategy Fund
--
26795.575
51.8052
Guggenheim Funds Distributors LLC
227 West Monroe Street, Suite 4800
Chicago, IL 60606
High Yield Strategy Fund
--
12129.955
23.4514
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse Government Long Bond Strategy Fund
--
6663.978
21.0678
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse Government Long Bond Strategy Fund
--
16958.69
53.614
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Inverse Government Long Bond Strategy Fund
--
5081.43
16.0646
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Inverse Mid-Cap Strategy Fund
--
3254.904
64.8856
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse Mid-Cap Strategy Fund
--
1596.447
31.8247
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Inverse NASDAQ-100® Strategy Fund
--
6111.596
21.5908
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse NASDAQ-100® Strategy Fund
--
10859.333
38.3635
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Inverse NASDAQ-100® Strategy Fund
--
8132.555
28.7304
Ameritas Life Insurance Corp./Separate Account LLVA
Attn: Variable Trades
5900 O Street
Lincoln, NE 68510
Inverse NASDAQ-100® Strategy Fund
--
2209.851
7.8068
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001

F-75






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Inverse S&P 500® Strategy Fund
--
16729.291
36.5329
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Inverse S&P 500® Strategy Fund
--
13304.678
29.0543
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Inverse S&P 500® Strategy Fund
--
8028.675
17.5327
Ameritas Life Insurance Corp./Separate Account LLVA
Attn: Variable Trades
5900 O Street
Lincoln, NE 68510
Inverse S&P 500® Strategy Fund
--
6583.152
14.3761
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Japan 2x Strategy Fund
--
10327.508
46.9691
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Japan 2x Strategy Fund
--
5372.878
24.4356
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Japan 2x Strategy Fund
--
5579.53
25.3754
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Long Short Equity Fund
--
473712.365
21.7479
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Long Short Equity Fund
--
179425.185
8.2373
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Long Short Equity Fund
--
742438.478
34.0851
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Long Short Equity Fund
--
281798.771
12.9372
The Lincoln National Life Insurance Company
1300 South Clinton Street
Fort Wayne, IN 46802
Mid-Cap 1.5x Strategy Fund
--
157738.232
54.9298
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-76






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Mid-Cap 1.5x Strategy Fund
--
62147.283
21.6418
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Mid-Cap 1.5x Strategy Fund
--
64172.951
22.3472
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Multi-Hedge Strategies Fund
--
857536.503
56.2436
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Multi-Hedge Strategies Fund
--
94906.389
6.2246
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Multi-Hedge Strategies Fund
--
94823.86
6.2192
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Multi-Hedge Strategies Fund
--
85233.195
5.5902
Midland National Life Insurance Company
4350 Westown Parkway
West Des Moines, IA 50266
Multi-Hedge Strategies Fund
--
203883.982
13.3722
The Lincoln National Life Insurance Company
1300 South Clinton Street
Fort Wayne, IN 46802
NASDAQ-100® Fund
--
452744.879
27.7914
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
NASDAQ-100® Fund
--
372368.456
22.8575
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
NASDAQ-100® Fund
--
85150.658
5.2269
Ameritas Life Insurance Corp./Separate Account LLVA
Attn: Variable Trades
5900 O Street
Lincoln, NE 68510
NASDAQ-100® Fund
--
122103.339
7.4952
GE Life and Annuity Insurance Co./Attn: Variable Accounting
6610 West Broad Street
Richmond, VA 23230
NASDAQ-100® Fund
--
150867.229
9.2608
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001

F-77






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
NASDAQ-100® Fund
--
197348.742
12.1141
Prudential Annuities Life Assurance Co./Attn: Separate Accounts Trade Confirms
213 Washington Street, Floor 7
Newark, NJ 07102
NASDAQ-100® 2x Strategy Fund
--
404331.821
34.2536
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
NASDAQ-100® 2x Strategy Fund
--
565192.185
47.8811
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
NASDAQ-100® 2x Strategy Fund
--
201590.847
17.078
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Nova Fund
--
72946.768
24.3068
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Nova Fund
--
165087.903
55.0095
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Nova Fund
--
20295.872
6.7628
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Precious Metals Fund
--
261254.791
38.0727
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Precious Metals Fund
--
196638.364
28.6561
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Precious Metals Fund
--
109251.466
15.9212
Ameritas Life Insurance Corp./Separate Account LLVA
Attn: Variable Trades
5900 O Street
Lincoln, NE 68510
Precious Metals Fund
--
111315.912
16.222
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Real Estate Fund
--
124052.31
33.4487
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-78






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Real Estate Fund
--
120166.636
32.401
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Real Estate Fund
--
120185.75
32.4062
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Retailing Fund
--
26638.238
53.5674
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Retailing Fund
--
8836.81
17.7701
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Retailing Fund
--
10971.904
22.0636
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Russell 2000® 1.5x Strategy Fund
--
39912.794
48.81
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Russell 2000® 1.5x Strategy Fund
--
12384.694
15.1454
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Russell 2000® 1.5x Strategy Fund
--
18584.134
22.7268
Ameritas Life Insurance Corp./Separate Account LLVA
Attn: Variable Trades
5900 O Street
Lincoln, NE 68510
Russell 2000® 1.5x Strategy Fund
--
10847.457
13.2655
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Russell 2000® 2x Strategy Fund
--
3426.624
37.7558
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Russell 2000® 2x Strategy Fund
--
5584.189
61.5287
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P 500® 2x Strategy Fund
--
90680.455
58.1062
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-79






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P 500® 2x Strategy Fund
--
49769.834
31.8915
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P 500® 2x Strategy Fund
--
13923.422
8.9218
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P 500® Pure Growth Fund
--
471123.862
60.6413
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P 500® Pure Growth Fund
--
115045.892
14.8082
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P 500® Pure Growth Fund
--
100257.361
12.9047
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P 500® Pure Growth Fund
--
79846.706
10.2775
Midland National Life Insurance Company
4350 Westown Parkway
West Des Moines, IA 50266
S&P 500® Pure Value Fund
--
341421.858
62.0544
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P 500® Pure Value Fund
--
60745.776
11.0407
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P 500® Pure Value Fund
--
131412.301
23.8845
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P MidCap 400® Pure Growth Fund
--
215790.298
57.1151
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P MidCap 400® Pure Growth Fund
--
45942.761
12.16
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P MidCap 400® Pure Growth Fund
--
65485.706
17.3326
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001

F-80






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
S&P MidCap 400® Pure Growth Fund
--
45030.15
11.9185
Midland National Life Insurance Company
4350 Westown Parkway
West Des Moines, IA 50266
S&P MidCap 400® Pure Value Fund
--
162639.328
72.2941
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P MidCap 400® Pure Value Fund
--
28100.42
12.4908
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P MidCap 400® Pure Value Fund
--
30319.676
13.4772
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P SmallCap 600® Pure Growth Fund
--
123352.257
53.7753
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P SmallCap 600® Pure Growth Fund
--
61345.524
26.7435
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P SmallCap 600® Pure Growth Fund
--
35624.887
15.5306
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P SmallCap 600® Pure Value Fund
--
61153.208
44.9052
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
S&P SmallCap 600® Pure Value Fund
--
47331.638
34.756
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
S&P SmallCap 600® Pure Value Fund
--
18961.443
13.9235
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
S&P SmallCap 600® Pure Value Fund
--
8736.334
6.4151
FSBL Variable Account A/Attn: Denise Machell – Finance
One Security Benefit Place
Topeka, KS 66636-001
Strengthening Dollar 2x Strategy Fund
--
27503.75
40.8264
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-81






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Strengthening Dollar 2x Strategy Fund
--
30292.964
44.9667
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Strengthening Dollar 2x Strategy Fund
--
9371.375
13.9108
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Technology Fund
--
98838.257
50.3447
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Technology Fund
--
53130.36
27.0627
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Technology Fund
--
34279.021
17.4605
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Telecommunications Fund
--
13272.904
27.399
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Telecommunications Fund
--
22518.705
46.4849
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Telecommunications Fund
--
11747.136
24.2494
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Transportation Fund
--
36853.91
77.8802
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Transportation Fund
--
5025.292
10.6195
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Transportation Fund
--
4352.945
9.1987
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Utilities Fund
--
180726.099
25.831
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029

F-82






Fund

Share Class
Amount of
Shares Owned

Percentage
of the Class


Name and Address
of Beneficial Owner
Utilities Fund
--
335237.323
47.9151
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Utilities Fund
--
175450.906
25.077
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
U.S. Government Money Market Fund
--
63781231.33
91.2785
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001
Weakening Dollar 2x Strategy Fund
--
4282.763
43.2173
Nationwide Insurance Company/NWVA4
c/o IPO Portfolio Accounting
P.O. Box 182029
Columbus, OH 43218-2029
Weakening Dollar 2x Strategy Fund
--
2449.486
24.7177
Jefferson National Life Insurance Co./Attn: Separate Account
10350 Ormsby Park Place, Suite 600
Louisville, KY 40223
Weakening Dollar 2x Strategy Fund
--
3177.566
32.0648
Security Benefit Life Insurance Co./SBL Variable Annuity Account XIV
One Security Benefit Place
Topeka, KS 66636-0001



F-83

 
PROXY CARD SIGN , DATE AND VOTE ON THE REVERSE SIDE PROXY VOTING OPTIONS YOUR VOTE IS IMPORTANT NO MATTER HOW MANY SHARES 1. MAIL your signed and voted proxy back in YOU OWN. PLEASE CAST YOUR the postage paid envelope provided PROXY VOTE TODAY! 2. ONLINE at vote.proxyonline.com using your proxy control number found below . 3. By PHONE when you dial toll-free 1-888- 227-9349 to reach an automated touchtone voting line CONTROL NUMBER [RYDEX TRUST NAME] [RYDEX FUND NAME] PROXY FOR A SPECIAL MEETING OF SHAREHOLDERS TO BE HELD ON OCTOBER 24, 2019 The undersigned hereby revokes all previous proxies for his/her shares of the Fund named above and appoints Amy J. Lee, Mark E. Mathiasen, and Michael P. Megaris, or any one of them, proxies, each with full power of substitution, to vote and act with respect to all shares which the undersigned is entitled to vote at the special meeting of shareholders of Rydex Series Funds, Rydex Dynamic Funds and Rydex Variable Trust (collectively, the “Trusts”) to be held at the offices of Guggenheim Partners, LLC, located at 227 West Monroe Street, Chicago, Illinois 60606, on October 24, 2019, at 10:00 a.m. Central Time (with any postponements, adjournments or any other meeting called for voting on the below proposals, the “Meeting”) upon the matters set forth on the reverse side (the “Proposals”) and instructs them to vote upon any other matters that may properly be acted upon at the Meeting. Please refer to the Proxy Statement for a discussion of Proposal 1. Important Notice Regarding the Availability of Proxy Materials for the Special Meeting of Shareholders to be held on October 24, 2019. These proxy materials are available at: http://www.proxyonline.com/docs/Rydex [PROXY ID NUMBER HERE] [BAR CODE HERE] [CUSIP HERE]


 
[FUND NAME] PROXY CARD YOUR SIGNATURE IS REQUIRED FOR YOUR VOTE TO BE _______________________________________________________________ COUNTED. SIGNATURE (AND TITLE IF APPLICABLE) DATE Please sign exactly as your name appears on this Proxy. If joint owners, EITHER, may sign this Proxy. When signing as attorney, executor, administrator, trustee, guardian or corporate officer, _______________________________________________________________ please give your full title. SIGNATURE (IF HELD JOINTLY) DATE This proxy is solicited on behalf of the Trusts’ Boards of Trustees, and Proposal 1 has been approved by the Boards of Trustees and recommended for approval by shareholders. When properly executed, this proxy will be voted as specified. If no specification is made, this proxy will be voted “FOR” Proposal 1. The proxy will be voted in accordance with the proxy holders’ judgment as to any other matters that may properly arise at the Meeting. THE BOARDS OF TRUSTEES OF THE TRUSTS RECOMMENDS THAT YOU VOTE “FOR” PROPOSAL 1. TO VOTE, MARK CIRCLES BELOW IN BLUE OR BLACK INK AS FOLLOWS. Example: ● 1. To elect the following ten nominees to the Board of Trustees of each Trust FOR WITHHOLD ALL ALL 1. Randall C. Barnes ○ ○ 2. Angela Brock-Kyle 3. Donald A. Chubb, Jr. FOR ALL EXCEPT: 4. Jerry B. Farley ○ 5. Roman Friedrich III 6. Thomas F. Lydon, Jr. (write in nominee name(s) 7. Ronald A. Nyberg above) 8. Sandra G. Sponem 9. Ronald E. Toupin, Jr. 10. Amy J. Lee 2. To transact such other business as may properly come before the Meeting. THANK YOU FOR VOTING [PROXY ID NUMBER HERE] [BAR CODE HERE] [CUSIP HERE]


 
 
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