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This document provides a quarterly schedule of the portfolio holdings of Guggenheim Strategic Opportunities Fund, including details on investments, performance, and financial disclosures as required
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How to fill out FORM N-Q

01
Obtain FORM N-Q from the appropriate regulatory authority or website.
02
Fill out the identification section with your name, address, and identification number of the fund.
03
Complete the financial information section, ensuring it reflects the correct reporting period.
04
Provide detailed descriptions of the investment objectives and strategies of the fund.
05
Review and verify all provided information for accuracy.
06
Sign and date the form to certify that the information is true and complete.
07
Submit FORM N-Q to the required regulatory body by the specified deadline.

Who needs FORM N-Q?

01
Investment companies that are required to report their holdings and provide periodic updates to the SEC.
02
Fund managers and administrators who manage the portfolios of mutual funds.
03
Investors and shareholders in mutual funds who require transparency regarding fund performance and holdings.
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Form N-Q is a combined reporting form that is to be used for reports of registered management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), under Section 30(b) of the Investment Company Act of 1940 (the “Act”) and Section 13(a) or 15(d
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FORM N-Q is a regulatory filing required by the U.S. Securities and Exchange Commission (SEC) that investment companies must submit to report their portfolio holdings on a quarterly basis.
Investment companies, including mutual funds and closed-end funds, that are registered under the Investment Company Act of 1940 are required to file FORM N-Q.
FORM N-Q must be filled out by providing detailed information about the fund's portfolio holdings, including the names of the securities, their values, and the number of shares held. This information must be reported as of the end of the fund's fiscal quarter.
The purpose of FORM N-Q is to ensure transparency in the investment company industry by providing investors with timely information about the holdings of registered investment companies.
FORM N-Q must report details such as the names of each security held, the number of shares or principal amount, the value of each security, and the percentage of the fund's net assets that each security represents.
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