COHEN & STEERS CLOSED-END OPPORTUNITY FUND, INC.

SCHEDULE OF INVESTMENTS

March 28, 2024 (Unaudited)*

 

                                                                       
              Shares      Value  

CLOSED-END FUNDS

     88.2     

COMMODITY FUNDS

     13.0     

DIVERSIFIED COMMODITY FUNDS

     6.8     

Adams Natural Resources Fund, Inc.

 

    155,985      $ 3,597,014  

BlackRock Energy & Resources Trust

 

    69,780        924,585  

PIMCO Dynamic Income Strategy Fund

 

    804,173        17,056,509  
       

 

 

 
          21,578,108  
       

 

 

 

SINGLE COMMODITY FUNDS

     6.2     

Sprott Physical Gold Trust (Canada)(a)

 

    482,155        8,341,282  

Sprott Physical Gold & Silver Trust (Canada)(a)

 

    452,497        9,203,789  

Sprott Physical Silver Trust (Canada)(a)

 

    250,145        2,073,702  
       

 

 

 
          19,618,773  
       

 

 

 

TOTAL COMMODITY FUNDS

          41,196,881  
       

 

 

 

EQUITY FUNDS

     46.3     

GLOBAL EQUITY FUNDS

     0.7     

abrdn Total Dynamic Dividend Fund

 

    264,976        2,196,651  
       

 

 

 

GLOBAL HYBRID FUNDS

     10.4     

BlackRock Capital Allocation Trust

 

    489,567        8,156,186  

BlackRock ESG Capital Allocation Trust

 

    659,890        11,455,691  

Calamos Long/Short Equity & Dynamic Income Trust

 

    106,000        1,635,580  

Guggenheim Active Allocation Fund

 

    589,300        8,668,603  

Thornburg Income Builder Opportunities Trust

 

    171,235        2,768,870  
       

 

 

 
          32,684,930  
       

 

 

 

MLP FUNDS

     5.0     

First Trust Energy Income & Growth Fund

 

    270,358        4,417,650  

First Trust Energy Infrastructure Fund

 

    217,060        3,941,810  

First Trust MLP & Energy Income Fund

 

    442,575        4,279,700  

First Trust New Opportunities MLP & Energy Fund

 

    343,800        2,633,508  

Neuberger Berman Energy Infrastructure & Income Fund, Inc.

 

    55,000        405,350  
       

 

 

 
          15,678,018  
       

 

 

 

OPTION INCOME FUNDS

     7.1     

Eaton Vance Enhanced Equity Income Fund II

 

    194,116        3,915,320  

Eaton Vance Risk-Managed Diversified Equity Income Fund

 

    392,446        3,276,924  

Eaton Vance Tax-Managed Buy-Write Income Fund

 

    134,963        1,842,245  

Eaton Vance Tax-Managed Buy-Write Opportunities Fund

 

    182,931        2,365,298  

Eaton Vance Tax-Managed Diversified Equity Income Fund

 

    285,617        3,815,843  

Eaton Vance Tax-Managed Global Diversified Equity Income Fund

 

    869,977        7,099,012  
       

 

 

 
          22,314,642  
       

 

 

 

REAL ESTATE, INCLUDING REITS FUNDS

     0.9     

Nuveen Real Asset Income & Growth Fund

 

    180,558        2,141,418  

Nuveen Real Estate Income Fund

 

    90,300        713,370  
       

 

 

 
          2,854,788  
       

 

 

 

US GENERAL EQUITY FUNDS

     19.8     

Adams Diversified Equity Fund, Inc.

 

    1,061,068        20,712,047  

Cornerstone Strategic Value Fund, Inc.

 

    394,000        2,962,880  

Eaton Vance Tax-Advantaged Dividend Income Fund

 

    273,333        6,450,659  

Eaton Vance Tax-Advantaged Global Dividend Income Fund

 

    192,868        3,519,841  

Gabelli Equity Trust, Inc.

 

    743,640        4,104,893  

Gabelli Dividend & Income Trust

 

    194,886        4,478,480  

General American Investors Co., Inc.

 

    141,476        6,580,049  

Nuveen Core Equity Alpha Fund

 

    174,385        2,453,597  

Royce Micro-Cap Trust, Inc.

 

    50,884        480,854  

Royce Value Trust, Inc.

 

    211,821        3,213,325  

SRH Total Return Fund, Inc.

 

    486,158        7,321,539  
       

 

 

 
          62,278,164  
       

 

 

 

US HYBRID FUNDS

     0.2     

Virtus Equity & Convertible Income Fund

 

    26,127        584,983  
       

 

 

 

US SECTOR EQUITY FUNDS

     0.6     

abrdn Healthcare Investors

 

    60,573        1,021,261  

abrdn Healthcare Opportunities Fund

 

    37,845        760,684  
       

 

 

 

 

1

 

 


                                                                       
              Shares      Value  
        $ 1,781,945  
       

 

 

 

UTILITIES FUNDS

     1.6     

DNP Select Income Fund, Inc.

 

    143,894        1,305,118  

Duff & Phelps Utility & Infrastructure Fund, Inc.

 

    201,271        1,924,151  

MainStay CBRE Global Infrastructure Megatrends Fund

 

    159,391        2,003,545  
       

 

 

 
          5,232,814  
       

 

 

 

TOTAL EQUITY FUNDS

          145,606,935  
       

 

 

 

FIXED INCOME FUNDS

     20.9     

BANK LOAN FUNDS

     3.1     

Ares Dynamic Credit Allocation Fund, Inc.

 

    91,481        1,301,775  

BlackRock Floating Rate Income Trust

 

    108,470        1,407,940  

Blackstone Long-Short Credit Income Fund

 

    164,996        2,031,101  

Eaton Vance Floating-Rate Income Trust

 

    96,240        1,280,954  

Eaton Vance Senior Floating-Rate Trust

 

    188,258        2,453,002  

Invesco Senior Income Trust

 

    275,861        1,180,685  
       

 

 

 
          9,655,457  
       

 

 

 

GLOBAL INCOME FUNDS

     10.1     

MFS Multimarket Income Trust

 

    219,209        1,014,938  

PIMCO Access Income Fund

 

    507,500        7,982,975  

PIMCO Dynamic Income Opportunities Fund

 

    747,958        9,850,607  

PIMCO Dynamic Income Fund

 

    550,281        10,614,920  

Western Asset Diversified Income Fund

 

    164,090        2,371,101  
       

 

 

 
          31,834,541  
       

 

 

 

HIGH YIELD BOND FUNDS

     1.3     

Barings Global Short Duration High Yield Fund, Class SH

 

    91,674        1,310,938  

PGIM Global High Yield Fund, Inc.

 

    149,752        1,791,034  

Western Asset High Income Fund II, Inc.

 

    235,000        1,050,450  
       

 

 

 
          4,152,422  
       

 

 

 

PREFERRED STOCK FUNDS

     2.9     

First Trust Intermediate Duration Preferred & Income Fund

 

    55,821        1,000,312  

Flaherty & Crumrine Dynamic Preferred & Income Fund, Inc.

 

    54,100        1,037,097  

Flaherty & Crumrine Preferred & Income Securities Fund, Inc.

 

    114,755        1,704,112  

John Hancock Premium Dividend Fund

 

    241,061        2,808,361  

Nuveen Preferred & Income Opportunities Fund

 

    350,490        2,520,023  
       

 

 

 
          9,069,905  
       

 

 

 

US HIGH YIELD BOND FUNDS

     1.7     

Allspring Income Opportunities Fund

 

    133,646        887,409  

BlackRock Debt Strategies Fund, Inc.

 

    60,664        670,944  

PGIM High Yield Bond Fund, Inc.

 

    130,895        1,700,326  

PGIM Short Duration High Yield Opportunities Fund, Class Y

 

    124,450        1,914,041  
       

 

 

 
          5,172,720  
       

 

 

 

US MULTI SECTOR BOND FUNDS

     1.8     

Guggenheim Strategic Opportunities Fund

 

    404,765        5,796,235  
       

 

 

 

TOTAL FIXED INCOME FUNDS

          65,681,280  
       

 

 

 

MUNICIPAL FUNDS

     8.0     

DIVERSIFIED MUNICIPAL BOND FUNDS

     6.1     

BlackRock Municipal Income Fund, Inc.

 

    20,000        241,200  

BlackRock MuniHoldings Fund, Inc.

 

    35,447        428,200  

BlackRock MuniVest Fund, Inc.

 

    213,438        1,506,872  

BlackRock MuniYield Fund, Inc.

 

    78,315        866,164  

BlackRock MuniYield Quality Fund II, Inc.

 

    17,896        188,087  

BlackRock MuniYield Quality Fund III, Inc.

 

    176,757        2,025,635  

BlackRock MuniYield Quality Fund, Inc.

 

    92,385        1,131,716  

Eaton Vance Municipal Bond Fund

 

    49,605        513,412  

Eaton Vance Municipal Income 2028 Term Trust

 

    30,008        535,343  

Neuberger Berman Municipal Fund, Inc.

 

    216,982        2,271,801  

Nuveen AMT-Free Quality Municipal Income Fund

 

    224,711        2,487,551  

Nuveen Municipal Value Fund, Inc.

 

    437,880        3,813,935  

Nuveen Quality Municipal Income Fund

 

    213,123        2,442,389  

PIMCO Municipal Income Fund III

 

    50,000        373,500  

 

2

 

 


                                                                       
              Shares      Value  

Putnam Municipal Opportunities Trust

 

    27,923      $ 283,698  
       

 

 

 
          19,109,503  
       

 

 

 

HIGH YIELD MUNICIPAL BOND FUNDS

     1.9     

Nuveen AMT-Free Municipal Credit Income Fund

 

    222,778        2,706,753  

Nuveen Municipal Credit Income Fund

 

    283,060        3,464,654  
       

 

 

 
          6,171,407  
       

 

 

 

TOTAL MUNICIPAL FUNDS

 

       25,280,910  
       

 

 

 

TOTAL CLOSED-END FUNDS
(Identified cost—$265,551,970)

          277,766,006  
       

 

 

 

EXCHANGE-TRADED FUNDS

     9.3     

COMMODITY FUNDS

     1.6     

SPDR Gold Shares(a)

 

    23,675        4,870,421  
       

 

 

 

EQUITY FUNDS

     7.7     

REAL ESTATE INCLUDING REITS FUNDS

     0.4     

Vanguard Real Estate ETF

 

    14,303        1,236,923  
       

 

 

 

US GENERAL EQUITY FUNDS

     7.2     

Invesco S&P 500 Equal Weight Consumer Discretionary ETF

 

    59,926        3,057,425  

Invesco S&P 500 Equal Weight ETF

 

    31,223        5,288,240  

iShares Russell 1000 Value ETF

 

    7,719        1,382,550  

Pacer U.S. Cash Cows 100 ETF

 

    56,609        3,289,549  

SPDR S&P 500 ETF Trust

 

    8,047        4,209,144  

Vanguard S&P 500 ETF

 

    11,132        5,351,152  
       

 

 

 
          22,578,060  
       

 

 

 

US SECTOR EQUITY FUNDS

     0.1     

VanEck Pharmaceutical ETF

 

    4,248        385,294  
       

 

 

 

TOTAL EQUITY FUNDS

          24,200,277  
       

 

 

 

TOTAL EXCHANGE-TRADED FUNDS
(Identified cost—$22,849,035)

 

       29,070,698  
       

 

 

 

COMMON STOCK

     1.4     

Astera Labs, Inc.(a)

 

    500        37,095  

Berkshire Hathaway, Inc., Class B(a)

 

    10,507        4,418,404  

Reddit, Inc., Class A(a)

 

    1,000        49,320  
       

 

 

 

TOTAL COMMON STOCK
(Identified cost—$2,896,238)

 

       4,504,819  
       

 

 

 

INTERVAL FUNDS

     0.3     

FIXED INCOME FUNDS

     0.3     

BANK LOAN FUNDS

       

Invesco Dynamic Credit Opportunity Fund, Class AX(b)

       86,725        961,779  
       

 

 

 

TOTAL INTERVAL FUNDS
(Identified cost—$975,170)

          961,779  
       

 

 

 

SHORT-TERM INVESTMENTS

     0.5     

MONEY MARKET FUNDS

       

State Street Institutional Treasury Plus Money Market Fund, Premier Class, 5.25%(c)

 

    453,521        453,521  

State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.26%(c)

 

    1,111,764        1,111,764  
       

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Identified cost—$1,565,285)

          1,565,285  
       

 

 

 

TOTAL INVESTMENTS IN SECURITIES (Identified cost—$293,837,698)

     99.7        313,868,587  

OTHER ASSETS IN EXCESS OF LIABILITIES

     0.3          840,219  
  

 

 

      

 

 

 

NET ASSETS (Equivalent to $11.42 per share based on 27,567,224 shares of common stock outstanding)

     100.0      $ 314,708,806  
  

 

 

      

 

 

 

 

3

 

 


Glossary of Portfolio Abbreviations

 

ETF    Exchange-Traded Fund
MLP    Master Limited Partnership
SPDR    Standard & Poor’s Depositary Receipt

 

Note: Percentages indicated are based on the net assets of the Fund.

*

March 28, 2024 represents the last business day of the Fund’s quarterly period. See Note 1 of the accompanying notes to the Schedule of Investments.

(a)

Non-income producing security.

(b)

Investment valued using NAV as the practical expedient and has been excluded from the fair value hierarchy. The investment fund provides liquidity through quarterly repurchase offers.

(c)

Rate quoted represents the annualized seven-day yield.

 

4

 

 


COHEN & STEERS CLOSED-END OPPORTUNITY FUND, INC.

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

Note 1. Quarterly Period

Since March 28, 2024 represents the last day during the Fund’s quarterly period on which the New York Stock Exchange was open for trading, the Fund’s schedule of investments have been presented through that date.

Note 2. Portfolio Valuation

Investments in securities that are listed on the New York Stock Exchange (NYSE) are valued, except as indicated below, at the last sale price reflected at the close of the NYSE on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the closing bid and ask prices on such day or, if no ask price is available, at the bid price.

Securities not listed on the NYSE but listed on other domestic or foreign securities exchanges (including NASDAQ) are valued in a similar manner. Securities traded on more than one securities exchange are valued at the last sale price reflected at the close of the exchange representing the principal market for such securities on the business day as of which such value is being determined. If after the close of a foreign market, but prior to the close of business on the day the securities are being valued, market conditions change significantly, certain non-U.S. equity holdings may be fair valued pursuant to procedures established by the Board of Directors.

Readily marketable securities traded in the over-the-counter (OTC) market, including listed securities whose primary market is believed by Cohen & Steers Capital Management, Inc. (the investment manager) to be OTC, are valued on the basis of prices provided by a third-party pricing service or third-party broker-dealers when such prices are believed by the investment manager, pursuant to delegation by the Board of Directors, to reflect the fair value of such securities.

Short-term debt securities with a maturity date of 60 days or less are valued at amortized cost, which approximates fair value. Investments in open-end mutual funds and closed-end interval funds are valued at net asset value (NAV).

The Board of Directors has designated the investment manager as the Fund’s “Valuation Designee” under Rule 2a-5 under the 1940 Act. As Valuation Designee, the investment manager is authorized to make fair valuation determinations, subject to the oversight of the Board of Directors. The investment manager has established a valuation committee (Valuation Committee) to administer, implement and oversee the fair valuation process according to the policies and procedures approved annually by the Board of Directors. Among other things, these procedures allow the Fund to utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.

Securities for which market prices are unavailable, or securities for which the investment manager determines that the bid and/or ask price or a counterparty valuation does not reflect market value, will be valued at fair value, as determined in good faith by the Valuation Committee, pursuant to procedures approved by the Fund’s Board of Directors. Circumstances in which market prices may be unavailable include, but are not limited to, when trading in a security is suspended, the exchange on which the security is traded is subject to an unscheduled close or disruption or material events occur after the close of the exchange on which the security is principally traded. In these circumstances, the Fund determines fair value in a manner that fairly reflects the market value of the security on the valuation date based on consideration of any information or factors it deems appropriate. These may include, but are not limited to, recent transactions in comparable securities, information relating to the specific security and developments in the markets.

Foreign equity fair value pricing procedures utilized by the Fund may cause certain non-U.S. equity holdings to be fair valued on the basis of fair value factors provided by a pricing service to reflect any significant market movements between the time the Fund values such securities and the earlier closing of foreign markets.

The Fund’s use of fair value pricing may cause the NAV of Fund shares to differ from the NAV that would be calculated using market quotations. Fair value pricing involves subjective judgments and it is possible that the fair value determined for a security may be materially different than the value that could be realized upon the sale of that security.

Fair value is defined as the price that the Fund would expect to receive upon the sale of an investment or expect to pay to transfer a liability in an orderly transaction with an independent buyer in the principal market or, in the absence of a principal market, the most advantageous market for the investment or liability. The hierarchy of inputs that are used in determining the fair value of the Fund’s investments is summarized below.

 

   

Level 1 — quoted prices in active markets for identical investments

   

Level 2 — other significant observable inputs (including quoted prices for similar investments, interest rates, credit risk, etc.)

   

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

The inputs or methodology used for valuing investments may or may not be an indication of the risk associated with those investments. Changes in valuation techniques may result in transfers into or out of an assigned level within the disclosure hierarchy.

The following is a summary of the inputs used as of March 28, 2024 in valuing the Fund’s investments carried at value:

 

 

 


COHEN & STEERS CLOSED-END OPPORTUNITY FUND, INC.

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited) (Continued)

 

                                                                                   
     Quoted Prices in
Active Markets
for Identical
Investments
(Level 1)
     Other
Significant
Observable
Inputs
(Level 2)
     Significant
Unobservable
Inputs
(Level 3)
     Total  

Closed-End Funds

   $  277,766,006      $      $    —      $  277,766,006  

Exchange-Traded Funds

     29,070,698                      29,070,698  

Common Stock

     4,504,819                      4,504,819  

Short-Term Investments

            1,565,285               1,565,285  
  

 

 

    

 

 

    

 

 

    

 

 

 

Subtotal(a)

     311,341,523        1,565,285               312,906,808  
  

 

 

    

 

 

    

 

 

    

 

 

 

Investments Valued at NAV(b)

                          961,779  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments in Securities(a)

   $ 311,341,523      $ 1,565,285      $      $ 313,868,587  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

(a)

Portfolio holdings are disclosed individually on the Schedule of Investments.

(b)

As of March 28, 2024, one of the Fund’s investments was valued using NAV per unit as a practical expedient and has been excluded from the fair value hierarchy. The fair value amount presented in this table is intended to permit reconciliation of the fair value hierarchy to the amounts presented within the Schedule of Investments.

 

 

 


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