Guggenheim Sector Rotation Etf (AMEX:XRO)
Historical Stock Chart
From Jul 2019 to Jul 2024
![Click Here for more Guggenheim Sector Rotation Etf Charts. Click Here for more Guggenheim Sector Rotation Etf Charts.](/p.php?pid=staticchart&s=A%5EXRO&p=8&t=15)
The exchange-traded funds advised by Claymore Advisors, LLC and certain
closed-end funds advised by Claymore Advisors, LLC or serviced by
Claymore Securities, Inc. (the “Funds”)
announce the appointment by the boards of trustees of such Funds of J.
Thomas Futrell as the Chief Executive Officer of each Fund and Kevin M.
Robinson as the Chief Legal Officer of each Fund. Mr. Futrell and Mr.
Robinson succeed Mr. Nicholas Dalmaso, who previously served as Chief
Executive Officer and Chief Legal Officer of each Fund.
Mr. Futrell is Senior Managing Director and Chief Investment Officer of
Claymore Group Inc. (“Claymore”),
the parent company of Claymore Advisors, LLC and Claymore Securities,
Inc., and is responsible for leading Claymore’s
portfolio management, research and trading teams, as well as formalizing
overall investment strategy and management approaches. Before joining
Claymore, Mr. Futrell was most recently Managing Director in charge of
Research for Nuveen Asset Management. Mr. Futrell received a B.A. in
Economics from Wheaton College, an M.B.A. from Northern Illinois
University, is a CFA charterholder and is Series 7, 24 and 66 registered.
Mr. Robinson is Senior Managing Director, General Counsel and Corporate
Secretary of Claymore and oversees the firm’s
legal, compliance and governance efforts. He was most recently at NYSE
Euronext, Inc., where he served as Associate General Counsel for its
Corporate Practice Group. He previously worked at ABN Amro Inc., where
he was responsible for corporate and regulatory matters, and he served
as Senior Counsel in the Enforcement Division of the U.S. Securities and
Exchange Commission. Mr. Robinson earned a J.D. from the University of
Iowa College of Law, and a B.A. from Coe College. He is a member of the
American Bar Association, the American Corporate Counsel Association and
the Society of Corporate Secretaries and Governance Professionals.
The Funds include all exchange-traded funds advised by Claymore
Advisors, LLC and the following closed-end funds advised by Claymore
Advisors, LLC or serviced by Claymore Securities, Inc.:
Claymore/Guggenheim Strategic Opportunities Fund, Claymore/Raymond James
SB-1 Equity Fund, Dreman/Claymore Dividend & Income Fund,
Fiduciary/Claymore MLP Opportunity Fund, Fiduciary/Claymore Dynamic
Equity Fund, Madison/Claymore Covered Call & Equity Strategy Fund, MBIA
Capital/Claymore Managed Duration Investment Grade Municipal Fund, Old
Mutual/Claymore Long-Short Fund and TS&W/Claymore Tax-Advantaged
Balanced Fund.
Claymore Advisors, LLC is an affiliate of Claymore Securities, Inc.
Claymore Securities, Inc. is a privately-held financial services company
offering unique investment solutions for financial advisors and their
valued clients. Claymore entities have provided supervision, management,
servicing and/or distribution on approximately $18.2 billion in assets,
as of April 30, 2008. Claymore currently offers closed-end funds, unit
investment trusts and exchange-traded funds. Registered investment
products are sold by prospectus only and investors should read the
prospectus carefully before investing.
Investors should consider the investment objectives and policies,
risk considerations, charges and expenses of any investment before they
invest. For this and more information, please contact a securities
representative or Claymore Securities, Inc., 2455 Corporate West Drive,
Lisle, Illinois 60532, 800-345-7999.
Member FINRA/SIPC (06/08)
(NYSE: DCS, FMO, GOF, HCE, MCN, MZF, OLA, RYJ, TYW)
(NYSE Arca: MZG, MZN, MZO, ROB, TAO, TAN)
(AMEX: CGW, CRO, CSD, CUT, CVY, CZA, DEF, EEB, EEN, ENY, EXB, HAO,
HGI, IRO, LVL, NFO, OTP, OTR, STH, UBD, UEM, ULQ, XGC, XRO)
NOT FDIC-INSURED | NOT
BANK-GUARANTEED | MAY LOSE VALUE