Holding Performance

1%-0% 2%-1% 3%-2% 4%-3% 5%-4% 6%-5%
Top 25 Holdings Portfolio Weight % Shares Owned Shares Change   Sector Mkt Cap (Mil) Total Ret YTD (Daily)  
Comcast Corp 3.52 4,644,257 -247,903 communication services 182.47 8.51
Kinder Morgan, Inc. 3.06 4,027,098 -270,768 energy 159.01 11.29
Edison International 2.83 2,733,065 -251,825 utilities 147.04 6.32
EDP - Energias de Portugal SA 2.82 42,611,522 -937,679 utilities 146.47 --
CMS Energy Corp 2.56 4,439,378 -684,332 utilities 132.91 15.18
Time Warner Cable Inc 2.47 1,364,170 -54,109 communication services 128.08 7.33
Virgin Media Inc 2.40 2,557,665 -136,524 communication services 124.76 --
Calpine Corp 2.40 5,740,776 305,181 utilities 124.75 19.64
NRG Energy Inc 2.39 4,423,195 -190,493 utilities 123.81 17.44
AES Corp 2.26 8,442,133 -299,177 utilities 117.35 14.49
Williams Companies Inc 2.12 2,878,149 -153,631 energy 109.74 3.64
EQT Corp 1.77 1,224,014 -19,826 energy 91.95 41.95
OGE Energy Corp 1.77 1,268,530 -136,677 utilities 91.88 24.07
Verizon Communications Inc 1.75 1,664,955 -158,975 communication services 90.70 21.52
Public Service Enterprise Group Inc 1.73 2,456,315 -217,807 utilities 89.93 10.82
EDP Renovaveis SA 1.52 15,162,753 -220,860 utilities 78.90 --
American Tower Corp 1.51 934,263 73,523 real estate 78.47 0.71
Sempra Energy 1.46 915,084 113,834 utilities 75.81 16.56
Spectra Energy Corp 1.43 2,359,577 -216,393 energy 74.40 28.82
Ppl 1.39 1,242,966 184,866 --- 72.17 --
ONEOK, Inc. 1.37 1,378,688 -73,592 energy 71.31 5.94
Enagas, S.A. 1.37 2,674,221 -246,217 utilities 71.25 --
Energy Company of Minas Gerais Pfd Shs 1.37 5,436,900 5,436,900 --- 71.21 --
Williams Partners LP 1.34 1,276,776 -29,284 energy 69.78 2.00
NextEra Energy Inc 1.29 813,400 -165,210 utilities 66.72 19.83
YTD Return through 06-18-13| Portfolio Holdings as of 04-30-13