0000891092-16-015768.txt : 20160629 0000891092-16-015768.hdr.sgml : 20160629 20160629083756 ACCESSION NUMBER: 0000891092-16-015768 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 6 CONFORMED PERIOD OF REPORT: 20160430 FILED AS OF DATE: 20160629 DATE AS OF CHANGE: 20160629 EFFECTIVENESS DATE: 20160629 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DNP SELECT INCOME FUND INC CENTRAL INDEX KEY: 0000806628 IRS NUMBER: 363480989 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-04915 FILM NUMBER: 161737362 BUSINESS ADDRESS: STREET 1: PO BOX 32760 CITY: LOUISVILLE STATE: KY ZIP: 40232 BUSINESS PHONE: 3123685510 MAIL ADDRESS: STREET 1: PO BOX 32760 CITY: LOUISVILLE STATE: KY ZIP: 40232 FORMER COMPANY: FORMER CONFORMED NAME: DUFF & PHELPS SELECTED UTILITIES INC DATE OF NAME CHANGE: 19910429 N-CSRS 1 e00352ncsrs.htm SEMI-ANNUAL REPORT

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number        811-4915

                          DNP Select Income Fund Inc.                           

(Exact name of registrant as specified in charter)

  200 S. Wacker Drive, Suite 500, Chicago, Illinois 60606  

(Address of principal executive offices)        (Zip code)

Alan M. Meder Lawrence R. Hamilton, Esq.
DNP Select Income Fund Inc. Mayer Brown LLP
200 S. Wacker Drive, Suite 500 71 South Wacker Drive
Chicago, Illinois 60606 Chicago, Illinois  60606

(Name and address of agents for service)

Registrant’s telephone number, including area code:    (312) 368-5510                               

Date of fiscal year end:    October 31                     

Date of reporting period: April 30, 2016

 

 

ITEM 1. REPORTS TO STOCKHOLDERS.

 

The Semi-Annual Report to Stockholders follows.

 

 



   
   

     Fund Distributions and Managed Distribution Plan: DNP Select Income Fund Inc. (the “Fund”) has been paying a regular 6.5 cent per share monthly distribution on its common stock since July 1997. In February 2007, the Board of Directors adopted a Managed Distribution Plan, which provides for the Fund to continue to make a monthly distribution on its common stock of 6.5 cents per share. Under the Managed Distribution Plan, the Fund will distribute all available investment income to shareholders, consistent with the Fund’s primary investment objective. If and when sufficient investment income is not available on a monthly basis, the Fund will distribute long-term capital gains and/or return capital to its shareholders in order to maintain the steady distribution level that has been approved by the Board. If the Fund estimates that it has distributed more than its income and capital gains in a particular period, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income.”

     To the extent that the Fund uses capital gains and/or return of capital to supplement its investment income, you should not draw any conclusions about the Fund’s investment performance from the amount of the Fund’s distributions or from the terms of the Fund’s Managed Distribution Plan.

     Whenever a monthly distribution includes a capital gain or return of capital component, the Fund provides you with a written statement indicating the sources of the distribution and the amount derived from each source. As the most recent monthly statement from the Fund indicated, the cumulative distributions paid this fiscal year to date through May 10 were estimated to be composed of net investment income, capital gains and return of capital.

     The amounts and sources of distributions reported monthly in statements from the Fund are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

     The Board reviews the operation of the Managed Distribution Plan on a quarterly basis, with the most recent review having been conducted in June 2016, and retains an independent consultant to review the Managed Distribution Plan annually. The Board may amend, suspend or terminate the Managed Distribution Plan without prior notice to shareholders if it deems such action to be in the best interests of the Fund and its shareholders. For example, the Board might take such action if the Managed Distribution Plan had the effect of shrinking the Fund’s assets to a level that was determined to be detrimental to Fund shareholders. The suspension or termination of the Managed Distribution Plan could have the effect of creating a trading discount (if the Fund’s stock is trading at or above net asset value), widening an existing trading discount, or decreasing an existing premium.

     The Managed Distribution Plan is described in a Question and Answer format on your Fund’s website, www.dnpselectincome.com, and discussed in the section of management’s letter captioned “About Your Fund.” The tax characterization of the Fund’s distributions for the last 5 years can also be found on the website under the “Tax Information” tab.

   
   

June 16, 2016

Dear Fellow Shareholders:

Performance Review: Consistent with its primary objective of current income and long-term growth of income, and its Managed Distribution Plan, the Fund declared six monthly distributions of 6.5 cents per share of common stock during the first six months of the 2016 fiscal year. The 6.5 cent per share monthly rate, without compounding, would be 78 cents annualized, which is equal to 7.76% of the April 30, 2016, closing price of $10.05 per share. Please refer to the inside front cover of this report and the portion of this letter captioned “About Your Fund” for important information about the Fund and its Managed Distribution Plan.

Your Fund had a total return (income plus change in market price) of 7.3% for the six months ended April 30, 2016, which is lower than the 11.7% total return of the composite of the S&P 500® Utilities Index and the Barclays U.S. Utility Bond Index, weighted to reflect the stock and bond ratio of the Fund. In comparison, the S&P 500® Utilities Index — a stock-only index — had a total return of 12.7% over that same period.

On a longer-term basis, as of April 30, 2016, your Fund had a five-year annualized total return of 9.1% on a market value basis, which is less than the 11.2% return of the composite of the S&P 500® Utilities Index and the Barclays U.S. Utility Bond Index, weighted to reflect the stock and bond ratio of the Fund. In comparison, the S&P 500® Utilities Index had an annualized total return during that period of 12.2%.

The table below compares the performance of your Fund to various market benchmarks. It is important to note that the composite and index returns referred to in this letter include no fees or expenses, whereas the Fund’s returns are net of expenses.

Total Return1
For the period indicated through April 30, 2016
  Six Months One Year Three Years
(annualized)
Five Years
(annualized)
DNP Select Income Fund Inc.        
Market Value2   7.3%   2.3% 7.0%   9.1%
Net Asset Value3 11.8%   4.9% 7.8% 12.5%
Composite Index4 11.7% 12.2% 8.5% 11.2%
S&P 500® Utilities Index4 12.7% 13.7% 9.4% 12.2%
Barclays U.S. Utility Bond Index4   5.2%   3.3% 3.2%   6.0%

 

1Past performance is not indicative of future results. Current performance may be lower or higher than performance in historical periods.
2Total return on market value assumes a purchase of common stock at the opening market price on the first business day and a sale at the closing market price on the last business day of the period shown in the table and assumes reinvestment of dividends at the actual reinvestment prices obtained under the terms of the Fund’s dividend reinvestment plan. In addition, when buying or selling stock, you would ordinarily pay brokerage expenses. Because brokerage expenses are not reflected in the above calculations, your total return net of brokerage expenses would be lower than the total return on market value shown in the table. Source: Administrator of the Fund.
3Total return on NAV uses the same methodology as is described in note 2, but with use of NAV for beginning, ending and reinvestment values. Because the Fund’s expenses (ratios detailed on page 15 of this report) reduce the Fund’s NAV, they are already reflected in the Fund’s total return on NAV shown in the table. NAV represents the underlying value of the Fund’s net assets, but the market price per share may be higher or lower than NAV. Source: Administrator of the Fund.

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4The Composite Index is a composite of the returns of the S&P 500® Utilities Index and the Barclays U.S. Utility Bond Index, weighted to reflect the stock and bond ratio of the Fund. The indices are calculated on a total return bases with dividends reinvested. Indices are unmanaged; their returns do not reflect any fees, expenses or sales charges; and they are not available for direct investment. Performance returns for the S&P 500® Utilities Index and Barclays U.S. Utility Bond Index were obtained from Bloomberg LP.

Update on Industry Fundamentals by the Portfolio Managers: Annually, the portfolio managers at the Fund’s investment adviser, Duff & Phelps Investment Management Co., make “state-of-the-industry” presentations to the Fund’s Board. Below are highlights of those presentations.

Electric Utility Industry Transformation Is Positive For Investors: The U.S. electricity grid is in the midst of a transformation that is functionally necessary and being mandated by regulatory authorities. These changes will require investment of a significant amount of capital, and we believe will provide the Fund with attractive opportunities for dividends and capital growth from regulated utilities.

The transformation of the electricity grid is being propelled by three primary drivers. The first and most inevitable driver is the need to replace aging plant and equipment. A significant portion of the existing grid was constructed and installed in the 1960s and 1970s. All three network functions — generation, transmission, and distribution — suffer from outdated and overused equipment and facilities.

The second driver is government policy on clean-air and environmental issues. This particularly impacts electricity generation. Federal limits on several types of smokestack pollutants and greenhouse gases (e.g., sulfur dioxide, nitrogen dioxide, mercury, and carbon dioxide) are significantly altering the mix of our sources of electricity generation, with coal plants on the decline and being replaced by renewables and natural gas-fired plants.

The final driver of the grid transformation is the significant advancement in power grid technologies. When compared to other industries, the electric utility industry had, for the most part, experienced limited technological innovation over most of the last 30, 40, or even 50 years. However, within the last 10 years or so, significant technological advances have been achieved in nearly every aspect of the production and delivery of electricity.

In our view, the ongoing electricity grid transformation places the regulated electric utilities in which the Fund invests within the sweet spot for potential returns. Many companies are making necessary, transparent, mandated and pre-approved capital expenditures that can be recovered from rate payers with minimum regulatory lag. Our biggest concern is that the rate hikes driven by capital expenditures may be too much of a good thing, which could potentially result in push back from regulators due to rate levels. It has been our experience that managements of most electric utility companies appear to be aware of these risks and are working closely with regulators to keep electricity rate increases at reasonable levels. Electric utilities appear to be on track to deliver safe, reliable and clean electricity to consumers while also providing visible, growing earnings and dividends to investors.

Gas Utilities Benefiting from Favorable Regulation and Acquisition Activity: Gas utilities have successfully maneuvered through a much warmer than normal winter. Heating degree days were significantly lower than normal, meaning that gas demand for heating was below average. Despite the mild winter, gas utility financial performance was still solid. Why? Over the past decade or so, the rates for many gas utilities have been reformulated to be based more on fixed charges and less dependent on delivered volumes. For instance, a company may have a weather normalization adjustment, so that revenues essentially track a “normal” winter, regardless of the actual winter weather. These types of rate mechanisms provide more revenue certainty for companies and bill certainty for customers by minimizing the volatility caused by weather.

A second development in the gas utility sector over the past several months has been acquisition activity. Three companies — AGL Resources, Piedmont Energy and Questar — have been the subject of bids from electric

2

 


utilities: Southern Company, Duke Energy and Dominion Resources, respectively. In each case, a significant premium was offered to the shareholders of the gas utilities. As a result, the stock prices of remaining publicly-traded gas utilities have benefited from a “takeout” premium in recent months.

Going forward, we expect gas utilities to benefit fundamentally from capital expenditures they are making to replace aging cast iron pipe and other infrastructure and to enhance the safety of their distribution systems. These expenditures are multi-decade programs and enjoy strong regulatory support, giving investors reason to anticipate rate base growth, revenues, earnings and dividend prospects for many years to come.

Despite Recent Challenges, Midstream Energy Companies Still Offer Long-Term Growth Opportunities: After a very difficult 2015 and early 2016, our investments in midstream energy companies and master limited partnerships (MLPs) have seen an encouraging rebound. Throughout 2015, midstream energy companies and MLPs traded down significantly on the back of falling oil prices. Difficult equity and credit markets combined with heavy technical selling as hedge funds and closed-end funds de-levered further exacerbated stock price performance. Nevertheless, February 11, 2016 appears to have been the bottom for not only for oil, but also for midstream energy companies and MLPs. Since that time, oil has traded from the mid $20s to the mid $40s per barrel while MLPs (as measured by the Alerian MLP Index) have risen roughly 50%.

Midstream energy companies and MLPs are still down significantly from their highs, and it will likely be a long road back. Given lower commodity prices, capital expenditures are being curtailed significantly, and many regions remain overbuilt. Nevertheless, we have a positive outlook for our portfolio and the long-term opportunities for growth. We believe we own a high quality group of midstream energy companies and MLPs. We expect many of these companies to continue to benefit from the size and breadth of their operations and to enjoy a competitive advantage in a weaker market. Additionally, many of the MLPs have strong general partners and will benefit from a robust pipeline of assets that can be contributed to the MLPs, thereby allowing them to still generate growth even in a period of lower capital expenditures.

In the long run, we also have a positive outlook for oil and gas markets and the role the U.S. will play in helping to meet global demand. Oil markets are just getting back into equilibrium after a period of excess supply. Nevertheless, we are likely to see the pendulum swing the other way over the coming years due to continued robust global demand and the effects of the significant curtailment of investment in new oil projects. As the global oil market looks for new supply and prices continue to push up, we think the U.S. and its ample shale reserves will be ideally positioned to meet these growing needs. Higher U.S. production will require renewed investment which will benefit the midstream energy companies and the MLPs.

Telecommunications Companies Change With The Times: The telecommunications industry continues to be dynamic, experiencing both technological and structural changes. We have seen a significant shift from landline to wireless, primarily driven by the widespread deployment of fourth generation wireless technology commonly referred to as 4G LTE. Since the introduction of the first Apple iPhone less than 10 years ago, smartphone penetration in the U.S. has skyrocketed and is now estimated to be greater than the penetration of fixed line high speed broadband. Faster speeds on smartphones and tablets has allowed for more video viewing on mobile devices. Subscribers are demanding access to content anytime, anywhere.

This changing communications landscape has required companies to make major strategic decisions. Sometimes that means transformational acquisitions; other times it means changing the way services are delivered to customers. The industry has historically been an active participant in mergers and acquisitions. We do not see that changing, but the targets may be different. Content and social media are becoming more important, and network operators are looking for acquisitions to expand their access to content.

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Because content is being consumed in non-traditional ways, the ability to deliver content across multiple platforms is critical. It is also clear that network quality matters, meaning a more densely built wireless network and additional deployment of fiber. Generally, these trends play into the hands of the incumbents, which comprise the majority of the Fund’s telecommunications holdings. We believe these companies are strategically well positioned, financially sound, and provide attractive income to shareholders.

Annual Shareholder Meeting: The annual meeting of the Fund’s shareholders was held on March 15, 2016. At that meeting, holders of the Fund’s common stock reelected Philip R. McLoughlin and Nathan I. Partain as directors of DNP. Holders of the Fund’s preferred stock reelected Robert J. Genetski as a director of DNP.

Board of Directors Meeting: At the regular March 2016 Board of Directors’ meeting, the Board declared the following monthly dividends:

Cents Per Share Record Date Payable Date
6.5 April 29 May 10
6.5 May 31 June 10
6.5 June 30 July 11

 

At the regular June 2016 Board of Directors’ meeting, the Board declared the following monthly dividends:

Cents Per Share Record Date Payable Date
6.5 July 29 August 10
6.5 August 31 September 12
6.5 September 30 October 11

 

Also at the June 2016 Board of Directors meeting, the Board elected Clifford W. Hoffman as a director of the Fund for a term ending in 2018, to fill the vacancy created by the resignation of Stewart E. Conner. Mr. Hoffman is a retired partner from Deloitte & Touche LLP.

About Your Fund: The Fund seeks to achieve its investment objectives by investing primarily in the public utility industry. Under normal market conditions, more than 65% of the Fund’s total assets are invested in a diversified portfolio of equity and fixed income securities of public utility companies engaged in the production, transmission or distribution of electric energy, gas or telephone services. The Fund does not currently use derivatives and has no investments in complex or structured investment vehicles.

The Fund seeks to provide investors with a stable monthly dividend that is primarily derived from current fiscal year earnings and profits. The Investment Company Act of 1940 and related SEC rules generally prohibit investment companies from distributing long-term capital gains more often than once in a twelve–month period. However, in 2008, the SEC granted the Fund’s request for exemptive relief from that prohibition, and the Fund is now permitted, subject to certain conditions, to make periodic distributions of long-term capital gains as frequently as twelve times a year. In connection with the exemptive relief, in February 2008 the Board of Directors reaffirmed the current 6.5 cent per share monthly distribution rate and formalized the monthly distribution process by adopting a Managed Distribution Plan (MDP). The Board reviews the operation of the MDP on a quarterly basis, with the most recent review having been conducted in June 2016, and retains an independent consultant to review the plan annually. The MDP is described on the inside front cover of this report and in a Question and Answer format on the Fund’s website, www.dnpselectincome.com.

The use of leverage enables the Fund to borrow at short-term rates and invest at longer-term rates. As of April 30, 2016, the Fund's leverage consisted of $300 million of preferred stock and $700 million of debt. On that date the total amount of leverage represented approximately 28% of the Fund’s total assets. The amount and type of leverage used is reviewed by the Board of Directors based on the Fund’s expected earnings relative to the anticipated costs (including fees and expenses) associated with the leverage. In addition, the long-term expected benefits of

4

 


leverage are weighed against the potential effect of increasing the volatility of both the Fund’s net asset value and the market value of its common stock. Historically, the tendency of the U.S. yield curve to exhibit a positive slope (i.e., long-term rates higher than short-term rates) has fostered an environment in which leverage can make a positive contribution to the earnings of the Fund. There is no assurance that this will continue to be the case in the future. A decline in the difference between short-term and long-term rates could have an adverse effect on the income provided from leverage. If the Fund were to conclude that the use of leverage was likely to cease being beneficial, it could modify the amount and type of leverage it uses or eliminate the use of leverage entirely.

Along with the influence on the income provided from leverage, the level of interest rates can be a primary driver of bond returns, including the return on your Fund’s fixed income investments. For example, an extended environment of historically low interest rates adds an element of reinvestment risk, since the proceeds of maturing bonds may need to be reinvested in lower yielding securities. Alternatively, a sudden or unexpected rise in interest rates would likely reduce the total return of fixed income investments, since higher interest rates could be expected to depress the valuations of fixed rate bonds held in a portfolio.

Maturity and duration are measures of the sensitivity of a fund’s fixed income investments to changes in interest rates. More specifically, duration refers to the percentage change in a bond’s price for a given change in rates (typically +/- 100 basis points). In general, the greater the average maturity and duration of a portfolio, the greater is the potential percentage price volatility for a given change in interest rates. As of April 30, 2016, your Fund’s fixed income investments had an average maturity of 6.2 years and duration of 4.4 years, while the Barclays U.S. Utility Bond Index had an average maturity of 14.7 years and duration of 9.6 years.

As a practical matter, it is not possible for your Fund’s fixed income investments to be completely insulated from unexpected moves in interest rates. However, Fund management believes that over the long term the conservative distribution of fixed income investments along the yield curve positions your Fund to take advantage of future opportunities while limiting volatility to some degree.

Automatic Distribution Reinvestment Plan and Direct Deposit Service: The Fund has a distribution reinvestment plan available as a benefit to all registered common shareholders and also offers direct deposit service through electronic funds transfer to all registered common shareholders currently receiving a monthly distribution check. These services are offered through Computershare. For more information and/or an authorization form on automatic distribution reinvestment or direct deposit, please contact Computershare (1.877.381.2537 or www.computershare.com/investor). Information on these services is also available on the Fund’s website at the address noted below.

Visit us on the Web: You can obtain the most recent shareholder financial reports and distribution information at our website, www.dnpselectincome.com.

We appreciate your interest in DNP Select Income Fund Inc., and we will continue to do our best to be of service to you.

Nathan I. Partain, CFA
Director, President, and
Chief Executive Officer

Certain statements in this report are forward-looking statements. Discussions of specific investments are for illustration only and are not intended as recommendations of individual investments. The forward-looking statements and other views expressed herein, are those of the portfolio managers as of the date of this report. Actual future results or occurrences may differ significantly from those anticipated in any forward-looking statements, and the views expressed herein are subject to change at any time, due to numerous market and other factors. The Fund disclaims any obligation to update publicly or revise any forward-looking statements or views expressed herein.

5

 


DNP SELECT INCOME FUND INC.
SCHEDULE OF INVESTMENTS
April 30, 2016
(Unaudited)

Shares    Description    Value
(Note 2)
COMMON STOCKS & MLP INTERESTS—117.3%
    ELECTRIC, GAS AND WATER—77.5%
1,500,000   Alliant Energy Corp.(a)  $105,780,000
1,800,000   Ameren Corp.(a)  86,400,000
900,000   American Electric Power
    Company, Inc.  57,150,000
1,000,000   American Water
    Works Co.  72,760,000
500,000   Atmos Energy Corp.  36,275,000
1,000,000   Black Hills Corp.  60,590,000
3,071,300   CenterPoint
    Energy Inc.(a)(b)  65,879,385
2,500,000   CMS Energy Corp.(a)  101,700,000
1,000,000   DTE Energy Co.(a)(b)  89,160,000
1,000,000   Edison International  70,710,000
1,800,000   Eversource Energy(a)(b)  101,592,000
2,500,000   Great Plains
    Energy Inc.(a)  78,075,000
1,000,000   NextEra Energy, Inc.(a)(b)  117,580,000
1,900,000   NiSource Inc.  43,149,000
800,000   Northwest Natural
    Gas Co.  41,232,000
2,300,000   OGE Energy Corp.  68,057,000
1,000,000   Piedmont Natural
    Gas Co.  59,800,000
1,000,000   Pinnacle West
    Capital Corp.  72,650,000
1,800,000   Public Service Enterprise
    Group Inc.(a)  83,034,000
900,000   Sempra Energy(a)(b)  93,015,000
1,500,000   Southern Co.(a)  75,150,000
700,000   Spire Inc.  44,772,000
1,500,000   Vectren Corp.(a)  73,275,000
1,500,000   WEC Energy
    Group, Inc.(a)  87,315,000
2,000,000   Westar Energy, Inc.(a)  103,220,000
1,000,000   WGL Holdings Inc.(a)  67,890,000
2,000,000   Xcel Energy Inc.(a)(b)  80,060,000
       2,036,270,385

 

Shares    Description    Value
(Note 2)
     OIL & GAS STORAGE,
     TRANSPORTATION AND
     PRODUCTION—24.6%
560,000   Antero Midstream    
    Partners LP  $14,302,400 
2,500,000   Columbia Pipeline    
    Group, Inc.  64,050,000 
620,000   Columbia Pipeline    
    Partners LP  9,008,600 
417,000   DCP Midstream    
    Partners LP  13,623,390 
359,800   Dominion Midstream    
    Partners, LP  12,067,692 
534,000   Enbridge Energy    
    Partners LP  11,555,760 
1,600,000   Enbridge Inc. (Canada)(a)  66,464,000 
780,532   Energy Transfer    
    Equity LP  9,702,013 
463,911   Energy Transfer    
    Partners LP  16,436,367 
680,000   EnLink Midstream    
    Partners LP  9,574,400 
941,000   Enterprise Products    
    Partners LP  25,115,290 
315,000   EQT GP Holdings, LP  8,334,900 
236,000   EQT Midstream    
    Partners LP  18,712,440 
605,000   GasLog Partners LP    
    (Marshall Islands)  10,835,550 
407,000   Genesis Energy LP  13,194,940 
1,900,526   Kinder Morgan Inc.(a)  33,753,342 
350,090   Magellan Midstream    
    Partners LP  25,230,986 
432,185   MPLX LP  13,912,035 
180,000   NuStar Energy LP  9,079,200 
120,000   Phillips 66 Partners LP  6,868,800 
475,610   Plains All American    
    Pipeline LP  10,910,493 
640,000   Plains GP Holdings,    
    LP Class A  6,336,000 
480,625   Shell Midstream    
    Partners LP  18,153,206 
1,915,000   Spectra Energy Corp.(a)  59,882,050 

 

The accompanying notes are an integral part of these financial statements.

6

 


DNP SELECT INCOME FUND INC.
SCHEDULE OF INVESTMENTS—(Continued)
April 30, 2016
(Unaudited)

Shares    Description    Value
(Note 2)
569,000   Sunoco Logistics    
    Partners LP  $16,660,320 
380,000   Tallgrass Energy GP, LP  7,915,400 
500,000   Tallgrass Energy    
    Partners LP  20,550,000 
435,120   Targa Resources Corp.  17,604,955 
352,229   Tesoro Logistics LP  16,287,069 
1,000,000   TransCanada Corp.    
    (Canada)(a)  41,490,000 
307,440   Valero Energy    
    Partners LP  14,661,814 
366,460   Westlake Chemical    
    Partners LP  7,014,044 
327,000   Western Gas Partners LP  15,977,220 
       645,264,676 
     TELECOMMUNICATIONS—15.2%
2,000,000   AT&T Inc.(a)(b)  77,640,000 
939,200   BCE Inc. (Canada)(a)  44,057,872 
800,000   CenturyLink Inc.  24,760,000 
800,000   Communications Sales    
    & Leasing, Inc.  18,584,000 
630,000   Crown Castle    
    International Corp.  54,734,400 
3,518,491   Frontier Communications    
    Corp.(a)  19,562,810 
1,000,000   Orange SA (France)  16,584,660 
1,094,800   Telus Corp. (Canada)  34,768,597 
1,510,089   Verizon Communications    
    Inc.(a)(b)  76,923,934 
782,200   Vodafone Group Plc ADR    
    (United Kingdom)  25,609,228 
666,666   Windstream    
    Holdings, Inc.  5,786,661 
       399,012,162 
    Total Common Stocks &    
    MLP Interests    
    (Cost $2,381,038,653)  3,080,547,223 

 

Shares    Description    Value
(Note 2)
PREFERRED STOCKS—1.7%
    ■ UTILITY—0.1%
50,000   Exelon Corp. 6½%,
    due 6/01/17  $2,423,000
       2,423,000
     NON-UTILITY—1.6%
600,000   Realty Income Corp.
    6⅝% Series F Perpetual  15,648,000
400,000   Regency Centers Corp.
    6⅝% Series 6 Perpetual  10,448,000
234,900   Vornado Realty Trust
    6⅝% Series G Perpetual  6,053,373
350,000   Vornado Realty Trust
    6⅝% Series I Perpetual  9,058,000
       41,207,373
    Total Preferred Stocks
    (Cost $41,036,811)  43,630,373
     
Par Value    
BONDS—17.7%
     ELECTRIC, GAS AND WATER—9.3%
$22,000,000   Arizona Public Service Co.
    6⅞%, due 8/01/36(a)(b)  29,549,564
10,450,000   Atmos Energy Corp. 8½%,
    due 3/15/19(a)(b)  12,353,990
11,000,000   Cleveland Electric
    Illuminating Co. 8⅞%,
    due 11/15/18(a)(b)  12,946,384
6,750,000   Commonwealth Edison
    Company 6.95%, due
    7/15/18(a)  7,456,388
15,305,000   Consolidated Edison Co.
    of New York 7⅛%,
    due 12/01/18(a)(b)  17,459,194
9,354,000   Dominion Resources, Inc.
    6.40%, due 6/15/18(a)(b)  10,224,118

 

The accompanying notes are an integral part of these financial statements.

7

 


DNP SELECT INCOME FUND INC.
SCHEDULE OF INVESTMENTS—(Continued)
April 30, 2016
(Unaudited)

Par Value    Description    Value
(Note 2)
$10,000,000   DPL Capital Trust II 8⅛%,    
    due 9/01/31  $10,479,740 
20,000,000   Entergy Texas Inc. 7⅛%,    
    due 2/01/19(a)(b)  22,670,300 
14,376,000   Exelon Generation Co. LLC    
    6.20%, due 10/01/17(a)(b)  15,273,105 
10,000,000   Georgia Power Co. 5.70%,    
    due 6/01/17(a)  10,471,040 
10,618,000   Indiana Michigan Power Co.    
    7.00%, due 3/15/19(a)(b)  12,009,839 
5,000,000   Metropolitan Edison Co.    
    7.70%, due 1/15/19(a)  5,674,230 
12,000,000   National Fuel Gas Co. 8¾%,    
    due 5/01/19(a)  13,583,436 
3,350,000   Nevada Power Co. 7⅛%,    
    due 3/15/19  3,864,600 
10,345,000   Oncor Electric Delivery    
    Co. LLC 7.00%, due    
    9/01/22(a)  12,963,506 
14,000,000   Progress Energy Inc. 7.05%,    
    due 3/15/19(a)(b)  15,929,760 
5,130,000   Public Service New Mexico    
    7½%, due 8/01/18(a)  5,706,109 
15,169,000   Sempra Energy 6½%,    
    due 6/01/16(a)(b)  15,231,906 
5,000,000   Sempra Energy 6.15%,    
    due 6/15/18  5,446,460 
5,000,000   Talen Energy Supply, LLC    
    6½%, due 5/01/18  5,150,000 
       244,443,669 
     OIL & GAS STORAGE,
     TRANSPORTATION AND
     PRODUCTION—4.6%
6,488,000   Energy Transfer Partners    
    7.60%, due 2/01/24  7,099,131 
8,850,000   Energy Transfer Partners    
    8¼%, due 11/15/29  10,459,390 

 

Par Value    Description    Value
(Note 2)
$5,000,000   Enterprise Products    
    Operating LLC    
    6½%, due 1/31/19  $5,582,140 
12,826,000   EQT Corp. 8⅛%,    
    due 6/01/19(a)(b)  14,076,830 
8,030,000   Kinder Morgan, Inc. 6.85%,    
    due 2/15/20  8,868,051 
14,445,000   Magellan Midstream    
    Partners, LP 6.40%,    
    due 7/15/18(a)(b)  15,723,541 
11,000,000   ONEOK, Inc. 6.00%,    
    due 6/15/35  8,827,500 
9,000,000   ONEOK Partners, LP 8⅝%,    
    due 3/01/19  10,038,924 
12,940,000   Spectra Energy Capital, LLC    
    6.20%, due 4/15/18(a)  13,682,652 
2,615,000   Spectra Energy Capital, LLC    
    6¾%, due 7/15/18  2,769,076 
9,140,000   TransCanada PipeLines Ltd.    
    (Canada) 7⅛%,    
    due 1/15/19(a)  10,272,199 
14,380,000   Williams Partners, LP 7¼%,    
    due 2/01/17(a)(b)  14,824,687 
       122,224,121 
    ■ TELECOMMUNICATIONS—3.4%
10,000,000   BellSouth Capital    
    Funding Corp. 7⅞%,    
    due 2/15/30(a)(b)  12,444,940 
15,000,000   CenturyLink Inc. 6⅞%,    
    due 1/15/28  12,900,000 
5,900,000   Comcast Corp. 7.05%,    
    due 3/15/33  8,152,172 
15,000,000   Koninklijke KPN NV    
    (Netherlands) 8⅜%,    
    due 10/01/30(a)(b)  20,269,620 
5,000,000   TCI Communications Inc.    
    7⅛%, due 2/15/28  6,774,930 

 

The accompanying notes are an integral part of these financial statements.

8

 


DNP SELECT INCOME FUND INC.
SCHEDULE OF INVESTMENTS—(Continued)
April 30, 2016
(Unaudited)

Par Value    Description    Value
(Note 2)
$15,500,000   Verizon Global Funding    
    Corp. 7¾%, due    
    12/01/30  $21,422,690 
5,000,000   Vodafone Group Plc    
    (United Kingdom) 7⅞%,    
    due 2/15/30  6,580,550 
       88,544,902 

 

Par Value    Description    Value
(Note 2)
    ■ NON-UTILITY—0.4%
$8,000,000   Dayton Hudson Corp. 9⅞%,    
    due 7/01/20(a)  $10,208,840 
       10,208,840 
    Total Bonds    
    (Cost $431,214,083)  $465,421,532 

 

       
  TOTAL INVESTMENTS—136.7% (Cost $2,853,289,547)  3,589,599,128 
  Borrowings—(26.6)%  (700,000,000)
  Other assets less liabilities—(10.1)%  (264,204,697)
  NET ASSETS APPLICABLE TO COMMON STOCK—100.0%  $2,625,394,431 

 

(a)All or a portion of this security has been pledged as collateral for borrowings and made available for loan.
(b)All or a portion of this security has been loaned.

The percentage shown for each investment category is the total value of that category as a percentage of the net assets applicable to common stock of the Fund.

The accompanying notes are an integral part of these financial statements.

9

 


DNP SELECT INCOME FUND INC.
SCHEDULE OF INVESTMENTS—(Continued)
April 30, 2016
(Unaudited)

The Fund’s investments are carried at fair value which is defined as the price that the Fund would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market of the investment. The three-tier hierarchy of inputs established to classify fair value measurements for disclosure purposes is summarized in the three broad levels listed below.

Level 1—quoted prices in active markets for identical securities

Level 2—other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risks, etc.)

Level 3—significant unobservable inputs (including the Fund’s own assumptions in determining fair value of investments)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in these securities. The following is a summary of the inputs used to value each of the Fund’s investments at April 30, 2016:

   Level 1  Level 2
Common stocks & MLP interests  $3,080,547,223    
Preferred stocks  43,630,373    
Bonds     $465,421,532 
Total  $3,124,177,596   $465,421,532 

 

There were no Level 3 priced securities held and there were no transfers between Level 1 and Level 2 related to securities held at April 30, 2016.

*Percentages are based on total investments rather than total net assets applicable to common stock and include securities pledged as collateral for the Fund’s credit facility.

The accompanying notes are an integral part of these financial statements.

10

 


DNP SELECT INCOME FUND INC.
STATEMENT OF ASSETS AND LIABILITIES
April 30, 2016
(Unaudited)

ASSETS:    
Investments at value (cost $2,853,289,547) including $573,553,119 of securities loaned  $3,589,599,128 
Cash  38,374,933 
Receivables:    
Securities sold  11,448,644 
Interest  8,193,849 
Dividends  9,174,071 
Securities lending income  1,677 
Prepaid expenses  274,833 
Total assets  3,657,067,135 
     
LIABILITIES:    
Borrowings (Note 7)  700,000,000 
Dividends payable on common stock  18,316,010 
Payable for securities purchased  13,378,324 
Investment advisory fee (Note 3)  1,600,397 
Administrative fee (Note 3)  377,456 
Interest payable on floating rate mandatory redeemable preferred shares (Note 6)  666,775 
Accrued expenses  253,008 
Floating rate mandatory redeemable preferred shares (liquidation preference    
$300,000,000, net of deferred offering costs of $2,919,266) (Note 6)  297,080,734 
Total liabilities  1,031,672,704 
NET ASSETS APPLICABLE TO COMMON STOCK  $2,625,394,431 
     
CAPITAL:    
Common stock ($0.001 par value per share; 300,000,000 shares authorized and    
281,784,776 shares issued and outstanding)  $281,785 
Additional paid-in capital  1,948,187,061 
Accumulated net realized gain on investments  52,959,167 
Distributions in excess of net investment income  (112,324,987)
Net unrealized appreciation on investments and foreign currency translation  736,291,405 
Net assets applicable to common stock  $2,625,394,431 
     
NET ASSET VALUE PER SHARE OF COMMON STOCK  $9.32 

 

The accompanying notes are an integral part of these financial statements.

11

 


DNP SELECT INCOME FUND INC.
STATEMENT OF OPERATIONS
For the six months ended
April 30, 2016
(Unaudited)

INVESTMENT INCOME:    
Interest  $12,144,626 
Dividends (less foreign withholding tax of $585,024)  64,316,018 
Less return of capital distributions (Note 2)  (12,341,577)
Securities lending income, net  170,598 
Total investment income  64,289,665 
EXPENSES:    
Investment advisory fees (Note 3)  9,179,648 
Interest expense and fees on borrowings (Note 7)  5,023,300 
Interest expense and amortization of deferred offering costs on preferred    
shares (Note 6)  4,221,943 
Administrative fees (Note 3)  2,184,017 
Reports to shareholders  458,800 
Directors’ fees (Note 3)  199,299 
Professional fees  186,100 
Custodian fees  182,000 
Transfer agent fees  154,700 
Other expenses  263,558 
Total expenses  22,053,365 
Net investment income  42,236,300 
     
REALIZED AND UNREALIZED GAIN:    
Net realized gain on investments  55,529,888 
Net change in unrealized appreciation (depreciation) on investments    
and foreign currency translation  178,969,875 
Net realized and unrealized gain  234,499,763 
NET INCREASE IN NET ASSETS APPLICABLE TO COMMON    
STOCK RESULTING FROM OPERATIONS  $276,736,063 

 

The accompanying notes are an integral part of these financial statements.

12

 


DNP SELECT INCOME FUND INC.
STATEMENTS OF CHANGES IN NET ASSETS

   For the six
months ended
April 30, 2016
(Unaudited)
  For the year
ended
October 31, 2015
OPERATIONS:        
Net investment income  $42,236,300   $80,181,952 
Net realized gain  55,529,888   110,960,706 
Net change in unrealized appreciation (depreciation)  178,969,875   (389,981,327)
Net increase (decrease) in net assets applicable to        
common stock resulting from operations  276,736,063   (198,838,669)
DISTRIBUTIONS TO COMMON STOCKHOLDERS:        
Net investment income  (42,236,300)*  (99,604,911)
In excess of net investment income  (67,342,490)*   
Net realized gain  *  (95,170,055)
Return of capital  *  (22,140,960)
Decrease in net assets from distributions to common        
stockholders (Note 5)  (109,578,790)  (216,915,926)
         
CAPITAL STOCK TRANSACTIONS:        
Shares issued to common stockholders from dividend reinvestment        
of 1,995,392 and 3,603,783 shares, respectively  17,987,244   35,426,549 
Net increase in net assets derived from capital share transactions  17,987,244   35,426,549 
Total increase (decrease) in net assets  185,144,517   (380,328,046)
         
TOTAL NET ASSETS APPLICABLE TO COMMON STOCK:        
Beginning of period  2,440,249,914   2,820,577,960 
End of period (including distributions in excess of net        
investment income of $112,324,987 and $47,551,535, respectively)  $2,625,394,431   $2,440,249,914 

 

 
*Allocations to net investment income, net realized gain and/or return of capital will be determined at fiscal year end.

The accompanying notes are an integral part of these financial statements.

13

 


DNP SELECT INCOME FUND INC.
STATEMENT OF CASH FLOWS
For the six months ended
April 30, 2016
(Unaudited)

INCREASE (DECREASE) IN CASH    
Cash flows provided by (used in) operating activities:    
Interest received  $15,897,357 
Income dividends received  51,208,580 
Return of capital distributions on investments  11,166,612 
Securities lending income, net  170,615 
Interest paid on borrowings  (5,005,563)
Interest paid on floating rate mandatory redeemable preferred shares  (3,827,852)
Expenses paid  (12,965,213)
Purchase of investment securities  (318,656,564)
Proceeds from sales and maturities of investment securities  350,743,542 
Net cash provided by operating activities      $88,731,514
Cash flows provided by (used in) financing activities:    
Distributions paid  (109,449,089)
Proceeds from issuance of common stock under dividend    
reinvestment plan  17,987,244 
Net cash used in financing activities           (91,461,845)
Net decrease in cash and cash equivalents      (2,730,331)
Cash and cash equivalents—beginning of period      41,105,264
Cash and cash equivalents—end of period      $38,374,933
Reconciliation of net increase in net assets resulting from operations    
to net cash provided by operating activities:    
Net increase in net assets resulting from operations      $276,736,063
Purchase of investment securities  (318,656,564)
Proceeds from sales and maturities of investment securities  350,743,542 
Net realized gain on investments  (55,529,888)
Net change in unrealized (appreciation) depreciation on investments  (178,969,875)
Net amortization and accretion of premiums and discounts    
on debt securities  3,416,111 
Return of capital distributions on investments  11,166,612 
Amortization of deferred offering costs  338,920 
Decrease in interest receivable  336,620 
Increase in dividends receivable  (765,861)
Increase in interest payable on floating rate mandatory    
redeemable preferred shares  55,171 
Decrease in accrued expenses  (139,355)
Decrease in other receivable  18 
Total adjustments      (188,004,549)
Net cash provided by operating activities      $88,731,514

 

The accompanying notes are an integral part of these financial statements.

14

 


DNP SELECT INCOME FUND INC.
FINANCIAL HIGHLIGHTS—SELECTED PER SHARE DATA AND RATIOS

     The table below provides information about income and capital changes for a share of common stock outstanding throughout the periods indicated (excluding supplemental data provided below):

   For the six
months ended
April 30,
2016
  For the
year ended
October 31,
  For the
year ended
October 31,
  For the ten
months ended
October 31,
  For the year ended December 31,
PER SHARE DATA:   (Unaudited)   2015   2014   2013  2012  2011  2010
Net asset value:             
Beginning of period  $8.72   $10.21   $8.98   $8.23   $8.33   $7.50   $7.23 
Net investment income  0.15   0.29   0.35   0.27   0.48   0.45   0.54 
Net realized and unrealized                            
gain (loss)  0.84   (1.00)  1.66   1.13   0.21   1.17   0.52 
Dividends on auction preferred                            
stock from net investment                            
income(1)              (0.02)  (0.01)  (0.01)
Benefit to common stockholders                            
from tender offer for                            
preferred stock              0.01       
Net increase (decrease) from                            
investment operations                            
applicable to common stock  0.99   (0.71)  2.01   1.40   0.68   1.61   1.05 
Distributions on common stock:                            
Net investment income  (0.15)  (0.35)  (0.39)  (0.30)  (0.44)  (0.66)  (0.67)
In excess of net investment                            
income  (0.24)                  
Net realized gain     (0.34)  (0.30)  (0.33)  (0.28)  (0.09)   
Return of capital     (0.09)  (0.09)  (0.02)  (0.06)  (0.03)  (0.11)
Total distributions  (0.39)  (0.78)  (0.78)  (0.65)  (0.78)  (0.78)  (0.78)
Net asset value:                            
End of period  $9.32   $8.72   $10.21   $8.98   $8.23   $8.33   $7.50 
Per share market value:                            
End of period  $10.05   $9.77   $10.47   $9.70   $9.47   $10.92   $9.14 
RATIOS TO AVERAGE NET                            
ASSETS APPLICABLE                            
TO COMMON STOCK:                            
Operating expenses  1.82%*  1.60%  1.60%  1.55%*  1.77%  1.95%  2.20%
Operating expenses, without                            
leverage  1.05%*  1.05%  1.05%  1.07%*  1.18%  1.21%  1.34%
Net investment income  3.48%*  3.67%  3.67%  3.58%*  5.03%  5.24%  6.25%
SUPPLEMENTAL DATA:                            
Total return on market value(2)  7.34%  1.09%  17.05%  9.69%  (6.17)%  29.60%  11.35%
Total return on net asset value(2)  11.75%  (7.17)%  23.37%  17.35%  8.53%  22.54%  15.65%
Portfolio turnover rate  10%  15%  16%  10%  14%  13%  20%
Asset coverage ratio on                            
borrowings, end of period  518%  492%  546%  400%  374%  502%  465%
Asset coverage ratio on                            
preferred stock, end of period  975%  913%  1,040%  1,872%  1,706%  604%  548%
Net assets applicable to                            
common stock, end of                            
period (000’s omitted)  $2,625,394   $2,440,250   $2,820,578   $2,448,236   $2,219,458   $2,013,929   $1,791,273 

 

 
*Annualized
(1)The auction preferred stock was fully redeemed in 2012.
(2)Total return on market value assumes a purchase of common stock at the opening market price on the first day and a sale at the closing market price on the last day of each period shown in the table and assumes reinvestment of dividends at the actual reinvestment prices obtained under the terms of the Fund’s dividend reinvestment plan. Total return on net asset value uses the same methodology, but with use of net asset value for beginning, ending and reinvestment values.

The accompanying notes are an integral part of these financial statements.

15

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS
April 30, 2016
(Unaudited)

Note 1. Organization:

DNP Select Income Fund Inc. (the “Fund”) was incorporated under the laws of the State of Maryland on November 26, 1986. The Fund commenced operations on January 21, 1987, as a closed-end diversified management investment company registered under the Investment Company Act of 1940 (the “1940 Act”). The primary investment objectives of the Fund are current income and long-term growth of income. Capital appreciation is a secondary objective. In 2013, the Fund changed its fiscal year end to October 31 from December 31.

Note 2. Significant Accounting Policies:

The following are the significant accounting policies of the Fund:

A. Investment Valuation: Equity securities traded on a national or foreign securities exchange or traded over-the counter and quoted on the NASDAQ Stock Market are valued at the last reported sale price or, if there was no sale on the valuation date, then the security is valued at the mean of the bid and ask prices, in each case using valuation data provided by an independent pricing service, and are generally classified as Level 1. Equity securities traded on more than one securities exchange shall be valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities and are classified as Level 1. If there was no sale on the valuation date, then the security is valued at the mean of the closing bid and ask prices of the exchange representing the principal market for such securities. Debt securities are valued at the mean of the bid and ask prices provided by an independent pricing service when such prices are believed to reflect the fair value of such securities and are generally classified as Level 2. Any securities for which it is determined that market prices are unavailable or inappropriate are valued at a fair value using a procedure determined in good faith by the Board of Directors and are classified as Level 2 or 3 based on the valuation inputs.

B. Investment Transactions and Investment Income: Security transactions are recorded on the trade date. Realized gains or losses from sales of securities are determined on the identified cost basis. Dividend income is recognized on the ex-dividend date. Interest income and expense are recognized on the accrual basis. Discounts and premiums on securities are amortized or accreted over the lives of the respective securities for financial reporting purposes. Discounts and premiums are not amortized or accreted for tax purposes.

The Fund invests in master limited partnerships (“MLPs”) which make distributions that are primarily attributable to return of capital. Dividend income is recorded using management’s estimate of the percentage of income included in the distributions received from the MLP investments based on their historical dividend results. Distributions received in excess of this estimated amount are recorded as a reduction of cost of investments (i.e., a return of capital). The actual amounts of income and return of capital are only determined by each MLP after its fiscal year-end and may differ from the estimated amounts. For the six months ended April 30, 2016, the Fund estimated that 100% of the MLP distributions would be treated as a return of capital.

16

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS—(Continued)
April 30, 2016
(Unaudited)

C. Federal Income Taxes: It is the Fund’s intention to comply with requirements of Subchapter M of the Internal Revenue Code applicable to regulated investment companies and to distribute substantially all of its taxable income and capital gains to its shareholders. Therefore, no provision for Federal income or excise taxes is required. Management of the Fund has concluded that there are no significant uncertain tax positions that would require recognition in the financial statements. Since tax authorities can examine previously filed tax returns, the Fund’s tax returns filed for the tax years 2012 to 2015 are subject to review.

D. Foreign Currency Translation: Investment securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollar amounts at the date of valuation at the mean of the quoted bid and asked prices of such currencies. Purchases and sales of investment securities and income and expense items denominated in foreign currencies are translated into U.S. dollar amounts at the rate of exchange prevailing on the respective dates of such transactions. The Fund does not isolate that portion of the results of operations resulting from changes in foreign exchange rates on investments from the fluctuations arising from changes in market prices of securities held. Such fluctuations are included with the net realized and unrealized gain or loss on investments.

E. Use of Estimates: The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.

Note 3. Agreements and Management Arrangements:

A. Adviser and Administrator: The Fund has an Advisory Agreement with Duff & Phelps Investment Management Co. (the “Adviser”) an indirect, wholly owned subsidiary of Virtus Investment Partners, Inc. (“Virtus”), to provide professional investment management services for the Fund and has an Administration Agreement with J. J. B. Hilliard, W. L. Lyons, LLC (the “Administrator”) to provide administrative and management services for the Fund. The Adviser receives a quarterly fee at an annual rate of 0.60% of the Average Weekly Managed Assets of the Fund up to $1.5 billion and 0.50% of Average Weekly Managed Assets in excess thereof. The Administrator receives a quarterly fee at annual rates of 0.20% of Average Weekly Managed Assets up to $1 billion, and 0.10% of Average Weekly Managed Assets over $1 billion. For purposes of the foregoing calculations, “Average Weekly Managed Assets” is defined as the average weekly value of the total assets of the Fund minus the sum of all accrued liabilities of the Fund (other than the aggregate amount of any outstanding borrowings or other indebtedness constituting financial leverage).

B. Directors: The Fund pays each director not affiliated with the Adviser an annual fee plus a fee for certain meetings of the board or committees of the board attended. Total fees paid to directors for the six months ended April 30, 2016 were $199,299.

C. Affiliated Shareholder: At April 30, 2016, Virtus Partners, Inc. (a wholly owned subsidiary of Virtus) held 201,870 shares of the Fund, which represent 0.07% of the shares of common stock outstanding. These shares may be sold at any time.

17

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS—(Continued)
April 30, 2016
(Unaudited)

Note 4. Investment Transactions:

Purchases and sales of investment securities (excluding short-term investments) for the six months ended April 30, 2016 were $332,034,888 and $362,192,186, respectively.

Note 5. Distributions and Tax Information:

At October 31, 2015, the federal tax cost and aggregate gross unrealized appreciation (depreciation) were as follows:

Federal Tax Cost  Unrealized
Appreciation
  Unrealized
Depreciation
  Net Unrealized
Appreciation
$2,871,071,571  $720,435,867  $(191,845,288)  $528,590,579

 

The difference between the book basis and tax basis of unrealized appreciation (depreciation) and cost of investments is primarily attributable to MLP earnings and basis adjustments, the tax deferral of wash sales losses, the accretion of market discount and amortization of premiums and alternative tax treatment of certain securities.

The Fund declares and pays monthly dividends on its common shares of a stated amount per share. Subject to approval and oversight by the Fund’s Board of Directors, the Fund seeks to maintain a stable distribution level (a Managed Distribution Plan) consistent with the Fund’s primary investment objective of current income. If and when sufficient investment income is not available on a monthly basis, the Fund will distribute long-term capital gains and/or return capital in order to maintain the $0.065 per common share distribution level. The amount and timing of distributions are determined in accordance with federal tax regulations, which may differ from U.S. generally accepted accounting principles.

The tax character of distributions to common shareholders during the years ended October 31, 2015 and 2014 was as follows:

Distributions paid from:  10/31/15  10/31/14
Ordinary income  $99,370,666   $109,816,279 
Long-term capital gains  95,170,055   79,463,829 
Return of capital  22,140,960   24,619,257 
Total distributions  $216,681,681   $213,899,365 

 

The tax character of distributions paid in 2016 will be determined at the Fund’s fiscal year end, October 31, 2016.

18

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS—(Continued)
April 30, 2016
(Unaudited)

Note 6. Floating Rate Mandatory Redeemable Preferred Shares:

In 2014, the Fund issued 3,000 Floating Rate Mandatory Redeemable Preferred Shares (“MRP Shares”) in four series each with a liquidation preference of $100,000 per share. Proceeds from the issuances were used to redeem all of the remaining outstanding RP shares and to reduce the size of the Fund’s credit facility.

Key terms of each series of MRP Shares at April 30, 2016 are as follows:

Series  Shares
Outstanding
  Liquidation
Preference
  Quarterly
Rate Reset
  Rate  Mandatory
Redemption
Date
A  1,320  $132,000,000  3M LIBOR +2.00%  2.63%  4/1/2019
B     600  60,000,000  3M LIBOR +2.05%  2.68%  4/1/2021
C     750  75,000,000  3M LIBOR +2.15%  2.78%  4/1/2024
D     330  33,000,000  3M LIBOR +1.95%  2.58%  4/1/2021
   3,000  $300,000,000         

 

The Fund incurred costs in connection with the issuance of the MRP Shares. These cost were recorded as a deferred charge and are being amortized over the respective life of each series of MRP Shares. Amortization of these deferred offering costs of $338,920 is included under the caption “Interest expense and amortization of deferred offering costs on preferred shares” on the Statement of Operations and the unamortized balance is deducted from the carrying amount of the MRP Shares under the caption “Floating rate mandatory redeemable preferred shares” on the Statement of Assets and Liabilities.

Holders of the MRP Shares are entitled to receive quarterly cumulative cash dividend payments on the first business day following each quarterly dividend date which is the last day of each of March, June, September and December.

MRP Shares are subject to optional and mandatory redemption in certain circumstances. The redemption price per share is equal to the sum of the liquidation preference per share plus any accumulated but unpaid dividends plus, in some cases, an early redemption premium (which varies based on the date of redemption). The fair value of the MRP Shares is estimated to be their liquidation preference. The Fund is subject to certain restrictions relating to the MRP Shares such as maintaining certain asset coverage, effective leverage ratio and overcollateralization ratio requirements. Failure to comply with these restrictions could preclude the Fund from declaring any distributions to common shareholders and could trigger the mandatory redemption of the MRP Shares at liquidation value.

In general, the holders of the MRP Shares and of the Common Stock have equal voting rights of one vote per share. The holders of the MRP Shares are entitled to elect two members of the Board of Directors, and separate class votes are required on certain matters that affect the respective interests of the MRP Shares and the Common Stock.

19

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS—(Continued)

April 30, 2016
(Unaudited)

Note 7. Borrowings:

The Fund has a Committed Facility Agreement (the “Facility”) with a commercial bank (the “Bank”) that allows the Fund to borrow cash up to a limit of $700,000,000. Borrowings under the Facility are collateralized by certain assets of the Fund (the “Hypothecated Securities”). The Fund expressly grants the Bank the right to re-register the Hypothecated Securities in its own name or in another name other than the Fund’s and to pledge, repledge, hypothecate, rehypothecate, sell, lend or otherwise transfer or use the Hypothecated Securities. Interest is charged at 3 month LIBOR (London Inter-bank Offered Rate) plus an additional percentage rate of 0.85% on the amount borrowed. A commitment fee of 0.60% on any undrawn balance is also paid and is included in interest expense and fees on the Statement of Operations. The Bank has the ability to require repayment of the Facility upon six months notice or following an event of default. In addition, the Bank has the ability to require repayment upon 29 days’ notice conditioned on a three-notch or greater decline in the Bank’s long-term credit rating. For the six months ended April 30, 2016, the average daily borrowings under the Facility and the weighted daily average interest rate were $700,000,000 and 1.42%, respectively. As of April 30, 2016, the amount of such outstanding borrowings was $700,000,000 and the applicable interest rate was 1.49%.

Effective June 15, 2016, certain terms of the Facility have been amended. From and after that date, the commitment fee on any undrawn balance is 0.90%, interest is charged at 3 month LIBOR plus an additional percentage rate of 1.15% and the time period for notice to require repayment of the Facility is 179 days. In addition, the Bank will no longer have the ability to require repayment of the Facility upon 29 days’ notice following a three-notch decline in the Bank’s credit rating.

The Bank has the ability to borrow the Hypothecated Securities (“Rehypothecated Securities”). The Fund is entitled to receive a fee from the Bank in connection with any borrowing of Rehypothecated Securities. The fee is computed daily based on a percentage of the difference between the fair market rate as determined by the Bank and the Fed Funds Open and is paid monthly. The Fund can designate any Hypothecated Security as ineligible for rehypothecation and can recall any Rehypothecated Security at any time and if the Bank fails to return it (or an equivalent security) in a timely fashion, the Bank will be liable to the Fund for the ultimate delivery of such security and certain costs associated with delayed delivery. In the event the Bank does not return the security or an equivalent security, the Fund will have the right to, among other things, apply and set off an amount equal to 100% of the then-current fair market value of such Rehypothecated Securities against any amounts owed to the Bank under the Facility. The Fund is entitled to receive an amount equal to any and all interest, dividends or distributions paid or distributed with respect to any Hypothecated Security on the payment date. At April 30, 2016, Hypothecated Securities under the Facility had a market value of $1,841,383,106 and Rehypothecated Securities had a market value of $575,553,119. If at the close of any business day, the value of all outstanding Rehypothecated Securities exceeds the value of the Fund’s borrowings, the Bank shall promptly, at its option, either reduce the amount of the outstanding Rehypothecated Securities or deliver an amount of cash at least equal to the excess amount.

20

 


DNP SELECT INCOME FUND INC.
NOTES TO FINANCIAL STATEMENTS—(Continued)
April 30, 2016
(Unaudited)

Note 8. Indemnifications:

Under the Fund’s organizational documents, its Officers and Directors are indemnified against certain liabilities arising out of the performance of their duties to the Fund. In addition, in the normal course of business, the Fund enters into contracts that provide general indemnifications to other parties. The Fund’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Fund that have not occurred. However, the Fund has not had prior claims or losses pursuant to these arrangements and expects the risk of loss to be remote.

Note 9. Subsequent Events:

On June 14, 2016, the executive committee of the board of directors authorized the issuance of $300 million fixed rate senior secured notes with maturities of seven and ten years. The final terms and settlement of these issuances is expected to take place within the next month. These senior secured notes rank pari passu with the Facility of the Fund. Proceeds from the issuance of these senior secured notes will be used to reduce the borrowings under the Facility.

21

 


RENEWAL OF INVESTMENT ADVISORY AGREEMENT (Unaudited)

 

Under Section 15(c) of the Investment Company Act of 1940 (the “1940 Act”), the terms of the Fund’s investment advisory agreement must be reviewed and approved at least annually by the Board of Directors of the Fund (the “Board”), including a majority of the directors who are not “interested persons” of the Fund, as defined in section 2(a)(19) of the 1940 Act (the “Independent Directors”). Section 15(c) of the 1940 Act also requires the Fund’s directors to request and evaluate, and the Fund’s investment adviser to furnish, such information as may reasonably be necessary to evaluate the terms of the investment advisory agreement. To assist the Board with this responsibility, the Board has appointed a Contracts Committee, which is composed of three Independent Directors (since expanded to include all of the Independent Directors) and acts under a written charter that was most recently amended on May 11, 2011. A copy of the charter is available on the Fund’s website at www.dnpselectincome.com and in print to any shareholder, upon request.

The Contracts Committee, assisted by the advice of independent legal counsel, conducted an annual review of the terms of the Fund’s contractual arrangements, including the investment advisory agreement with Duff & Phelps Investment Management Co. (the “Adviser”). Set forth below is a description of the Contracts Committee’s annual review of the Fund’s investment advisory agreement, which provided the material basis for the Board’s decision to continue the investment advisory agreement.

     In the course of the Contracts Committee’s review, the members of the Contracts Committee considered all of the information they deemed appropriate, including informational materials furnished by the Adviser in response to a request made by the Contracts Committee. In arriving at its recommendation that continuation of the investment advisory agreement was in the best interests of the Fund and its shareholders, the Contracts Committee took into account all factors that it deemed relevant, without identifying any single factor or group of factors as all-important or controlling. Among the factors considered by the Contracts Committee, and the conclusion reached with respect to each, were the following:

Nature, extent, and quality of services. The Contracts Committee considered the nature, extent and quality of the services provided to the Fund by the Adviser. Among other materials, the Adviser furnished the Contracts Committee with a copy of its most recent investment adviser registration form (Form ADV). In evaluating the quality of the Adviser’s services, the Contracts Committee noted the various complexities involved in the operations of the Fund, such as the use of multiple forms of leverage (preferred stock and borrowings under a credit facility) and the rehypothecation of portfolio securities pledged under the credit facility, and concluded that the Adviser is consistently providing high-quality services to the Fund in an increasingly complex environment. The Contracts Committee also considered the length of service of the individual professional employees of the Adviser who provide services to the Fund. In the Contracts Committee’s view, the long-term service of capable and conscientious professionals provides a significant benefit to the Fund and its shareholders. The Contracts Committee also considered the Fund’s investment performance as discussed below. The Contracts Committee also took into account its evaluation of the quality of the Adviser’s code of ethics and compliance program. In light of the foregoing, the Contracts Committee concluded that it was generally satisfied with the nature, extent and quality of the services provided to the Fund by the Adviser.

Investment performance of the Fund and the Adviser. The Contracts Committee reviewed the Fund’s investment performance over time and compared that performance to other funds in its peer group. In making its comparisons, the Contracts Committee utilized a report from Broadridge Financial Services Inc. (“Broadridge”), an independent provider of investment company data. As reported by Broadridge, the Fund’s net asset value (“NAV”)

22

 


total return ranked in the first quintile among all leveraged closed-end equity funds categorized by Broadridge as utility funds for the 10-year period ended June 30, 2015 and performed above median for the 3- and 5-year periods ended June 30, 2015, while noting that it performed below the median for the 1-year period ended June 30, 2015. According to data provided by the Adviser, the Fund’s NAV total return also outperformed a composite of the Dow Jones Utility Index and the Barclays U.S. Utility Bond Index, and a composite of the S&P 500 Utilities Index and the Barclays U.S. Utility Bond Index, each calculated to reflect the relative weights of the Fund’s equity and bond portfolios, for the 3- and 5-year periods ended June 30, 2015, while trailing those same composite indexes over the 1-year period ended June 30, 2015. The Contracts Committee also considered that since current income is one of the Fund’s primary objectives, one of the best measures of the Adviser’s performance is the fact that the Fund has been paying a regular 6.5 cent per share monthly distribution on its common stock since July 1997, and that the Fund’s annualized distribution rate of 7.72% as of June 30, 2015 compares favorably with the 3.75% dividend yield of the S&P Utilities Index, while considering that the Fund’s distribution rate contains a component of return of capital. The Contracts Committee noted that the Fund’s managed distribution plan provides for the Fund to distribute all available investment income to shareholders and, if sufficient investment income is not available on a monthly basis, to distribute long-term capital gains and/or return capital to its shareholders in order to maintain the 6.5 cent per share monthly distribution level. Additionally, the Contracts Committee considered the fact that over a 10-year period ended June 30, 2015, the Fund’s common stock has traded at a premium to NAV over 96% of the time (even though most closed-end funds trade at a discount to NAV) as further evidence of the Adviser’s successful management of the Fund’s investment portfolio.

Costs of services and profits realized. The Contracts Committee considered the reasonableness of the compensation paid to the Adviser, in both absolute and comparative terms, and also the profits realized by the Adviser and its affiliates from its relationship with the Fund. To facilitate this analysis, the Contracts Committee retained Broadridge to furnish a report comparing the Fund’s management fee (defined as the sum of the advisory fee and administration fee) and other expenses to the similar expenses of other comparable funds selected by Broadridge (the “Broadridge expense group”). The Contracts Committee reviewed, among other things, information provided by Broadridge comparing the Fund’s contractual management fee rate (at common asset levels) and actual management fee rate (reflecting fee waivers, if any) as a percentage of total assets and as a percentage of assets attributable to common stock to other funds in its Broadridge expense group. Based on the data provided on management fee rates, the Contracts Committee noted that: (i) the Fund’s contractual management fee rate at a common asset level was lower than the median of its Broadridge expense group; (ii) the actual total expense rate was equal to the median of its Broadridge expense group on a total asset basis, but was above the median on the basis of assets attributable to common stock; and (iii) the actual management fee rate was lower than the median of its Broadridge expense group on a total asset basis and on the basis of assets attributable to common stock.

The Adviser also furnished the Contracts Committee with copies of its financial statements, and the financial statements of its parent company, Virtus Investment Partners, Inc. The Adviser also provided information regarding the revenue and expenses related to its management of the Fund. In reviewing those financial statements and other materials, the Contracts Committee examined the profitability of the investment advisory agreement to the Adviser and determined that the profitability of that contract was within the range that courts had found reasonable. The Contracts Committee considered that the Adviser must be able to compensate its employees at competitive levels in order to attract and retain high-quality personnel to provide high-quality service to the Fund. The Contracts Committee concluded that the investment advisory fee was the product of arm’s length bargaining and that it was fair and reasonable to the Fund.

23

 


Economies of scale. The Contracts Committee considered whether the Fund has appropriately benefited from any economies of scale. The Contracts Committee noted the breakpoints whereby the advisory fee is reduced at higher asset levels and concluded that any economies of scale are being shared between Fund shareholders and the Adviser in an appropriate manner.

Comparison with other advisory contracts. The Contracts Committee also received comparative information from the Adviser with respect to its standard fee schedule for investment advisory clients other than the Fund. The Contracts Committee noted that, among all accounts managed by the Adviser, the Fund’s advisory fee rate is comparable to the Adviser’s standard fee schedule at certain asset levels. However, the Contracts Committee noted that the services provided by the Adviser to the Fund are significantly more extensive and demanding than the services provided by the Adviser to its non-investment company, institutional accounts. Specifically, in providing services to the Fund, the Contracts Committee considered that the Adviser needs to: (1) comply with the 1940 Act, the Sarbanes-Oxley Act and other federal securities laws and New York Stock Exchange requirements, (2) provide for external reporting (including quarterly and semi-annual reports to shareholders, annual audited financial statements and disclosure of proxy voting), tax compliance and reporting (which are particularly complex for investment companies), requirements of Section 19 of the 1940 Act relating to the source of distributions, (3) prepare for and attend meetings of the Board and its committees, (4) communicate with Board and committee members between meetings, (5) communicate with a retail shareholder base consisting of thousands of investors, (6) manage the use of different forms of financial leverage and respond to changes in the financial markets and regulatory environment that could affect the amount and type of the Fund’s leverage and (7) respond to unanticipated issues in the financial markets or regulatory environment that can impact the Fund. Based on the fact that the Adviser only provides the foregoing services to its investment company clients and not to its institutional account clients, the Contracts Committee concluded that the management fees charged to the Fund are reasonable compared to those charged to other clients of the Adviser, when the nature and scope of the services provided to the Funds are taken into account. Furthermore, the Contracts Committee noted that many of the Adviser’s other clients would not be considered “like accounts” of the Fund because these accounts are not of similar size and do not have the same investment objectives as, or possess other characteristics similar to, the Fund.

Indirect benefits. The Contracts Committee considered possible sources of indirect benefits to the Adviser from its relationship to the Fund, including brokerage and soft dollar arrangements. In this regard, the Contracts Committee noted that the Fund does not utilize affiliates of the Adviser for brokerage purposes, that the Adviser does not use third-party soft dollar arrangements and that the Adviser has continued to seek opportunities to reduce brokerage costs borne by the Fund.

Conclusion. Based upon its evaluation of all material factors, including the foregoing, and assisted by the advice of independent legal counsel, the Contracts Committee concluded that the continued retention of the Adviser as investment adviser to the Fund was in the best interests of the Fund and its shareholders. Accordingly, the Contracts Committee recommended to the full Board that the investment advisory agreement with the Adviser be continued for a one-year term ending March 1, 2017. On December 18, 2015, the Contracts Committee presented its recommendations, and the criteria on which they were based, to the full Board, whereupon the Board, including all of the Independent Directors voting separately, accepted the Contracts Committee’s recommendations and unanimously approved the continuation of the current investment advisory agreement with the Adviser for a one-year term ending March 1, 2017.

24

 


INFORMATION ABOUT PROXY VOTING BY THE FUND (Unaudited)

 

A description of the policies and procedures that the Fund uses to determine how to vote proxies relating to portfolio securities is available without charge, upon request, by calling the Administrator toll-free at (888) 878-7845 or is available on the Fund’s website www.dnpselectincome.com or on the SEC’s website www.sec.gov.

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12 month period ended June 30 is available without charge, upon request, by calling the Administrator toll-free at (888) 878-7845 or is available on the Fund’s website at www.dnpselectincome.com or on the SEC’s website at www.sec.gov.

INFORMATION ABOUT THE FUND’S PORTFOLIO HOLDINGS (Unaudited)

 

The Fund files its complete schedule of portfolio holdings with the SEC for the first and third fiscal quarters of each fiscal year (quarters ended January 31 and July 31) on Form N-Q. The Fund’s Form N-Q is available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington D.C. Information on the operation of the SEC’s Public Reference Room may be obtained by calling (800) 732-0330. In addition, the Fund’s Form N-Q is available without charge, upon request, by calling the Administrator toll-free at (888) 878-7845 or is available on the Fund’s website at www.dnpselectincome.com.

REPORT ON ANNUAL MEETING OF SHAREHOLDERS (Unaudited)

 

The Annual Meeting of Shareholders of the Fund was held on March 15, 2016. The following is a description of each matter voted upon at the meeting and the number of votes cast on each matter:

  Shares
Voted For
  Shares
Withheld
 
1. Election of directors*        
  Directors elected by the holders of the Fund’s common stock to serve until the Annual Meeting in the year 2019 or until their successors are duly elected and qualified:        
Philip R. McLoughlin 219,732,373   4,852,797  
Nathan I. Partain 219,883,811   4,701,359  
   
  Director elected by the holders of the Fund’s preferred stock to serve until the Annual Meeting in the year 2019 or until his successor is duly elected and qualified:        
Robert J. Genetski 2,800    

 

 
*Directors whose term of office continued beyond this meeting are as follows: Donald C. Burke, Geraldine M. McNamara, Eileen A. Moran, Christian H. Poindexter, Carl F. Pollard and David J. Vitale.

25

 


Board of Directors
 
DAVID J. VITALE,
Chairman
 
DONALD C. BURKE
 
ROBERT J. GENETSKI
 
CLIFFORD W. HOFFMAN
 
PHILIP R. MCLOUGHLIN
 
GERALDINE M. MCNAMARA
 
EILEEN A. MORAN
 
NATHAN I. PARTAIN, CFA
 
CHRISTIAN H. POINDEXTER
 
CARL F. POLLARD
 
 
 
 
Officers
NATHAN I. PARTAIN, CFA
President, Chief Executive Officer and
Chief Investment Officer
 
WILLIAM J. RENAHAN
Vice President and Secretary
 
DANIEL J. PETRISKO, CFA
Vice President and Assistant Secretary
 
DIANNA P. WENGLER
Vice President and Assistant Secretary
 
ALAN M. MEDER, CFA, CPA
Treasurer and Assistant Secretary
 
JOYCE B. RIEGEL
Chief Compliance Officer

 

DNP Select
Income Fund Inc.
 
Common stock listed on the New York
Stock Exchange under the symbol DNP
 
200 South Wacker Drive, Suite 500
Chicago, IL 60606
(312) 368-5510
 
Shareholder inquiries please contact:
 
Transfer Agent and
Dividend Disbursing
Agent
 
Computershare
P.O. Box 43078
Providence, RI 02940
(877) 381-2537
 
Investment Adviser
 
Duff & Phelps Investment
Management Co.
200 South Wacker Drive, Suite 500
Chicago, IL 60606
(312) 368-5510
 
Administrator
 
J.J.B. Hilliard, W.L. Lyons, LLC
500 West Jefferson Street
Louisville, KY 40202
(888) 878-7845
 
Custodian
 
The Bank of New York Mellon
 
Legal Counsel
 
Mayer Brown LLP
 
Independent Registered Public Accounting Firm
 
Ernst & Young LLP

 


 

 

ITEM 2. CODE OF ETHICS.
   
Not applicable.                                                          
   
ITEM 3. AUDIT COMMITTEE FINANCIAL EXPERT.
   
Not applicable.
   
ITEM 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES.
   
Not applicable.
   
ITEM 5. AUDIT COMMITTEE OF LISTED REGISTRANTS.
   
Not applicable.
   
ITEM 6. INVESTMENTS.
   
Included as part of the report to stockholders filed under Item 1 of this report.                  
   
ITEM 7. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.
   
Not applicable.
   
ITEM 8. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.
   
Not applicable.
   
ITEM 9. PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANY AND AFFILIATED PURCHASERS.

 

During the period covered by this report, no purchases were made by or on behalf of the registrant or any “affiliated purchaser” (as defined in Rule 10b-18(a)(3) under the Securities Exchange Act of 1934 (the “Exchange Act”)) of shares or other units of any class of the registrant’s equity securities that is registered by the registrant pursuant to Section 12 of the Exchange Act.

 

ITEM 10. SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS.

 

No changes to the procedures by which shareholders may recommend nominees to the registrant’s board of directors have been implemented after the registrant last provided disclosure in response to the requirements of Item 22(b)(15) of Schedule 14A (i.e., in the registrant’s Proxy Statement dated February 4, 2016) or this Item.

 

ITEM 11. CONTROLS AND PROCEDURES.

 

(a)        The registrant’s principal executive officer and principal financial officer have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “1940 Act”)) are effective, based on an evaluation of those controls and procedures made as of a date within 90 days of the filing date of this report as required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Exchange Act.

 

(b)        There has been no change in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

 

ITEM 12. EXHIBITS.

 

(a) Exhibit 99.CERTCertifications pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

(b) Exhibit 99.906CERTCertifications pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

(c) Exhibit 99(c)Copies of the Registrant’s notices to shareholders pursuant to Rule 19a-1 under the 1940 Act which accompanied distributions paid during the period ended April 30, 2016 pursuant to the Registrant’s Managed Distribution Plan are filed herewith as required by the terms of the Registrant’s exemptive order issued on August 26, 2008.

 

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) DNP SELECT INCOME FUND INC.
   
By (Signature and Title)  /s/ Nathan I. Partain                                                      
   
  Nathan I. Partain
  President and Chief Executive Officer
  (Principal Executive Officer)

Date: June 29, 2016

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title) /s/ Nathan I. Partain                                                      
   
  Nathan I. Partain
  President and Chief Executive Officer
  (Principal Executive Officer)

Date: June 29, 2016

 

By (Signature and Title) /s/ Alan M. Meder                                                          
   
  Alan M. Meder
  Treasurer and Assistant Secretary
  (Principal Financial and Accounting Officer)

Date: June 29, 2016

 

 

 

 

EX-99.CERT 2 e00352ex99cert.htm CERTIFICATION

EXHIBIT 99.CERT

CERTIFICATIONS

I, Nathan I. Partain, certify that:

 

1. I have reviewed this report on Form N-CSR of DNP Select Income Fund Inc.;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

 

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

Date: June 29, 2016  
   
   /s/ Nathan I. Partain
 

Nathan I. Partain

President and Chief Executive Officer
(Principal Executive Officer)

 

 

CERTIFICATIONS

I, Alan M. Meder, certify that:

 

1. I have reviewed this report on Form N-CSR of DNP Select Income Fund Inc.;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

 

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

Date:  June 29, 2016  
   
 

 /s/ ALAN M. MEDER

 

Alan M. Meder

Treasurer and Assistant Secretary
(Principal Financial and Accounting Officer)

 

EX-99.906 CERT 3 e00352ex99-906cert.htm CERTIFICATION

EXHIBIT 99.906CERT

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Semi-Annual Report of DNP Select Income Fund Inc. (the “Company”) on Form N-CSR for the period ending April 30, 2016 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Nathan I. Partain, President and Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. ss. 1350, as adopted pursuant to ss. 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.        The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.        The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

Date: June 29, 2016

 

 /s/ Nathan I. Partain

 

Nathan I. Partain

President and Chief Executive Officer
(Principal Executive Officer)

 

This Section 906 certification is being furnished to the SEC, rather than filed with the SEC, as permitted under applicable SEC rules.

 

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Semi-Annual Report of DNP Select Income Fund Inc. (the “Company”) on Form N-CSR for the period ending April 30, 2016 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Alan M. Meder, Treasurer and Assistant Secretary of the Company, certify, pursuant to 18 U.S.C. ss. 1350, as adopted pursuant to ss. 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.        The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.        The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

Date: June 29, 2016

 

 /s/ ALAN M. MEDER

 

Alan M. Meder

Treasurer and Assistant Secretary
(Principal Financial and Accounting Officer)

 

This Section 906 certification is being furnished to the SEC, rather than filed with the SEC, as permitted under applicable SEC rules.

 

EX-99.(C) 4 e00352ex99c.htm COPIES OF THE REGISTRANT'S NOTICES TO SHAREHOLDERS

EXHIBIT 99(c)

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    November 2015  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable December 10, 2015, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates November 30, 2015 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.036 55%                   $0.036 55%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                           -                           -                     - -
Return of Capital (or Other Capital Source)                    0.029 45%                     0.029 45%
Total (per common share)                  $0.065 100%                   $0.065 100%
         
October 31, 2015  
Average annual total return* on NAV for the 5 years     12.91%
Annualized current distribution rate as a percentage of NAV     8.94%
Cumulative total return on NAV for the fiscal year     -7.09%
Cumulative fiscal year distributions as a percentage of NAV     8.94%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    December 2015  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable January 11, 2016, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates December 31, 2015 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.027 42%                   $0.062 48%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                           -                           -                     - -
Return of Capital (or Other Capital Source)                    0.038 58%                     0.068 52%
Total (per common share)                  $0.065 100%                   $0.130 100%
         
November 30, 2015  
Average annual total return* on NAV for the 5 years     12.91%
Annualized current distribution rate as a percentage of NAV     9.37%
Cumulative total return on NAV for the fiscal year     -3.82%
Cumulative fiscal year distributions as a percentage of NAV     0.78%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    January 2016  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable February 10, 2016, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates January 31, 2016 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.012 18%                   $0.074 38%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                           -                           -                     - -
Return of Capital (or Other Capital Source)                    0.053 82%                     0.121 62%
Total (per common share)                  $0.065 100%                   $0.195 100%
         
December 31, 2015  
Average annual total return* on NAV for the 5 years     12.24%
Annualized current distribution rate as a percentage of NAV     9.52%
Cumulative total return on NAV for the fiscal year     -4.50%
Cumulative fiscal year distributions as a percentage of NAV     1.59%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    February 2016  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable March 10, 2016, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates February 29, 2016 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.032 49%                   $0.107 41%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                           -                           -                     - -
Return of Capital (or Other Capital Source)                    0.033 51%                     0.153 59%
Total (per common share)                  $0.065 100%                   $0.260 100%
         
January 31, 2016  
Average annual total return* on NAV for the 5 years     12.31%
Annualized current distribution rate as a percentage of NAV     9.34%
Cumulative total return on NAV for the fiscal year     -1.89%
Cumulative fiscal year distributions as a percentage of NAV     2.33%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    March 2016  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable April 11, 2016, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates March 31, 2016 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.033 51%                   $0.143 44%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                    0.032 49%                     0.150 46%
Return of Capital (or Other Capital Source) - -                     0.032 10%
Total (per common share)                  $0.065 100%                   $0.325 100%
         
February 29, 2016  
Average annual total return* on NAV for the 5 years     11.96%
Annualized current distribution rate as a percentage of NAV     9.12%
Cumulative total return on NAV for the fiscal year     1.15%
Cumulative fiscal year distributions as a percentage of NAV     3.04%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

DNP SELECT INCOME FUND INC.

Section 19(a) Notice

Notification of Sources of Distribution

Distribution Period

    April 2016  
Distribution Amount Per Share of Common Stock $0.065  

 

The following table sets forth the estimated amounts of the current distribution, payable May 10, 2016, together with the cumulative distributions paid this fiscal year to date from the following sources. All amounts are expressed per share of common stock based on U.S. generally accepted accounting principles, which may differ from federal income tax regulations.

 

Distribution Estimates April 30, 2016 Year-to-date (YTD)
Sources Per Share Amount % of Current Distribution Per Share Amount % of Cumulative Distributions
Net Investment Income $0.020 31%                   $0.164 42%
Net Realized Short-Term Capital Gains                           -                           -                           -                            -
Net Realized Long-Term Capital Gains                    0.040 61%                     0.187 48%
Return of Capital (or Other Capital Source)                    0.005 8%                     0.039 10%
Total (per common share)                  $0.065 100%                   $0.390 100%
         
March 31, 2016  
Average annual total return* on NAV for the 5 years     13.46%
Annualized current distribution rate as a percentage of NAV     8.34%
Cumulative total return on NAV for the fiscal year     11.38%
Cumulative fiscal year distributions as a percentage of NAV     3.48%

 

The Fund will issue a separate 19(a) notice at the time of each monthly distribution using the most current financial information available. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution plan.

 

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

 

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

 

* Simple arithmetic average of each of the past five annual returns.

 

 

 

 

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