Mr. Cacciapaglia is also President and CEO of Guggenheim Funds Distributors, LLC, a FINRA registered broker-dealer, and President and CEO of Guggenheim Funds Investment Advisors, LLC, an SEC registered investment adviser.

Mr. Cacciapaglia is also an Independent Board Member and Audit Committee for Equitrust Life Insurance Company, Guggenheim Life and Annuity Company, and Paragon Life Insurance Company of Indiana.

Interim Chief Compliance Officer

The Funds also announce the election, by the Funds’ Boards of Trustees, of Ms. Ann Edgeworth as Interim Chief Compliance Officer. Ms. Edgeworth currently serves as a Director with Foreside Compliance Services, LLC. In addition to her service to the Guggenheim Funds, Ms. Edgeworth serves as the Chief Compliance Officer for one other investment company that offers exchange traded products. Prior to joining Foreside in 2011, Ms. Edgeworth was a Vice President at State Street from 2007-2011 where she performed a comparable role in the firm’s Compliance Advisory Services group. Prior to State Street, Ms. Edgeworth was a Director at Investors Bank & Trust from 2004-2007.

The Funds for which these changes are applicable include all exchange traded funds in the Claymore Exchange-Traded Fund Trust and Claymore Exchange-Traded Fund Trust 2 and the following closed-end funds advised by Guggenheim Funds Investment Advisors, LLC:
FMO     Fiduciary/Claymore MLP Opportunity Fund
GBAB Guggenheim Build America Bonds Managed Duration Trust
GEQ Guggenheim Equal Weight Enhanced Equity Income Fund
GGE Guggenheim Enhanced Equity Strategy Fund
GOF Guggenheim Strategic Opportunities Fund
GPM Guggenheim Enhanced Equity Income Fund

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