Investors should consider the Fund’s investment objective, risks, charges and expenses carefully before investing. The final prospectus contains this and other information about the Fund. The final prospectus should be read carefully before investing. Copies of the final prospectus may be obtained by contacting your financial advisor or by calling 1.833.845.7513.
Risks: For information regarding the risks associated with an investment in the Fund, including, Limited Term Risk, Investment and Market Risk, Market Price Discount from NAV Risk, Management Risk, Asset Allocation Risk, Issuer Risk, Interest Rate Risk, Equity Securities Risk, Preferred Securities Risk, Deferral, Subordination, Liquidity, Limited Voting Rights, Special Redemption Rights, New Types of Securities, Convertible Securities Risk, ETFs Risk, Master Limited Partnerships (“MLPs”) Risk, Regulatory Risk, Tax Risk of MLPs, Catastrophe Risk, Pipelines Risk, Gathering and Processing Risk, Midstream Market Risk, Exploration and Production Risk, Propane Risk, Commodity Pricing Risk, Supply and Demand Risk, Depletion and Exploration Risk, REITs Risk, Credit Risk, Corporate Bonds Risk, Zero-Coupon and PIK Bonds Risk, Prepayment Risk, High-Yield Risk, Senior Loans Risk, Second Lien or Other Subordinated Debt Risk, Mezzanine Securities Risk, Distressed Debt, Litigation, Bankruptcy and Other Proceedings, Distressed Investments Risk, Dividend Risk, Value Investing Risk, Small-Cap and Mid-Cap Risk, Foreign Securities and Emerging Markets Risk, Foreign Currency Risk, Inflation Risk, Deflation Risk, Tax Risk, Derivative Transactions Risks, General Risks Associated with Derivatives Transactions, Correlation Risk, Duration Mismatch Risk, Volatility Risk, Contingent Liabilities Risk, Counterparty Risk, Currency Risk, Liquidity Risk, Index Risk, Risks Related To the Fund’s Clearing Broker and Central Clearing Counterparty, Risks Related to Futures Contracts and Options Thereon, Risks Related to Interest Rate Transactions, Risks Related to Credit Default Swaps, Risks Related to Forward Contracts, Legislation and Regulatory Risks, Illiquid Investment Risk, Leverage Risk, Reverse Repurchase Agreement Risk, Securities Lending Risk, Short Sales Risk, Valuation Risk, Non-Diversification Risk, Changes in United States Law, Distribution Risk, Market Disruption Risk, Natural Disasters and Adverse Weather Conditions, Geopolitical Risk, Portfolio Turnover, Potential Conflicts of Interest Risk, Temporary Defensive Positions, Anti-Takeover Provisions, Tax Risk, please see the “Risk Factors” section of the Fund’s final prospectus.
Past performance is no guarantee of future results. Both the market price for Fund shares and their NAV will fluctuate with market conditions. Current performance may be higher or lower than the performance shown.