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Elkhorn High Yield Dividend Aristocrats Select Portfolio, 3
Portfolio Summary
Inception Date
7/19/2016
Ending Date
7/19/2018
Term
2 yrs
Status
Secondary
Initial Offer Price
$10.00
Ticker
ELKDCX
CUSIPs
28777V103 (c)
28777V129 (r)
Fee Cusips
28777V111 (c)
28777V137 (r)
Number of Holdings
30
Distribution Frequency
Monthly
Est. Net Annual Distribution³
$0.2978
 
Pricing Details
NAV
$9.228
Offer
$9.607
Liquidation
$9.228
As of 8/22/2017
 
The Elkhorn High Yield Dividend Aristocrats Select Portfolio invests in a select set of high yielding companies found in the S&P High Yield Dividend Aristocrats® Index. The Index invests in companies that have followed a managed dividends policy of consistently increasing dividends every year for at least 20 years. Elkhorn believes investing in companies that combine a long term track record of increasing dividends with above average yields may offer investors high current income, long term dividend stability and capital appreciation potential.
Top 10 Holdings
As of 8/22/2017
Caterpillar Inc5.73%   Chevron Corp4.15%
Lancaster Colony Corp.5.19%   AT&T Inc4.10%
Mercury General Corp4.95%   AbbVie Inc4.07%
HCP Inc4.94%   Vectren Corporation4.05%
People's United Financial Inc4.92%   McDonald's Corp3.73%
Subject to change
Pricing Summary
As of 8/22/2017
Sector Allocation
As of 8/22/2017
Sector
Weight
Financials
18.12%
Consumer Staples
17.26%
Utilities
14.07%
Consumer Discretionary
10.98%
Industrials
9.39%
Materials
8.10%
Health Care
6.83%
Energy
6.73%
Telecommunication Services
4.10%
Information Technology
3.94%
Real Estate
0.48%
Subject to change
Volume Breakpoints¹
Less than $50,000
3.95%
$50,000 - $99,999
3.70%
$100,000 - $249,999
3.45%
$250,000 - $499,999
3.10%
$500,000 - $999,999
2.95%
$1,000,000 or more
2.45%
 
Sales Charges
Up-Front
1.00%
Deferred²
2.45%
Creation & Development Fee
0.50%
Total
3.95%
Sales charge is based on a $10 per unit offering
Holdings
As of 8/22/2017 Export Holdings
TickerNameSectorWeight
CAT Caterpillar IncIndustrials5.73%
LANC Lancaster Colony Corp.Consumer Staples5.19%
MCY Mercury General CorpFinancials4.95%
HCP HCP IncFinancials4.94%
PBCT People's United Financial IncFinancials4.92%
CVX Chevron CorpEnergy4.15%
T AT&T IncTelecommunication Services4.10%
ABBV AbbVie IncHealth Care4.07%
VVC Vectren CorporationUtilities4.05%
MCD McDonald's CorpConsumer Discretionary3.73%
EMR Emerson Electric CoIndustrials3.65%
ED Consolidated Edison IncUtilities3.63%
MDU MDU Resources Group IncUtilities3.44%
PG Procter & Gamble CoConsumer Staples3.41%
RLI RLI Corp.Financials3.31%
KO Coca-Cola CompanyConsumer Staples3.07%
WMT Wal-Mart Stores IncConsumer Staples2.99%
IBM International Business Machines CorpInformation Technology2.96%
NFG National Fuel GasUtilities2.95%
PX Praxair IncMaterials2.80%
JNJ Johnson & JohnsonHealth Care2.76%
NUE Nucor CorpMaterials2.66%
SON Sonoco Products CoMaterials2.64%
PII Polaris Industries IncConsumer Discretionary2.62%
ADM Archer-Daniels-Midland CoConsumer Staples2.59%
XOM Exxon Mobil CorpEnergy2.58%
TGT Target CorpConsumer Discretionary2.40%
LEG Leggett & Platt IncorporatedConsumer Discretionary2.22%
ADI Analog Devices IncInformation Technology0.98%
QCP Quality Care Properties IncReal Estate0.48%
Subject to change
Ex-Dividend Date Record Date Payable Date Principal Distribution Income/Interest Distribution Total Distribution
4/6/2017 4/10/2017 4/25/2017 $0.2308 $0.0214 $0.2522
3/8/2017 3/10/2017 3/25/2017 $0.0000 $0.0213 $0.0213
12/7/2016 12/10/2016 12/25/2016 $0.0000 $0.0310 $0.0310
10/5/2016 10/10/2016 10/25/2016 $0.3252 $0.0294 $0.3546
9/7/2016 9/10/2016 9/25/2016 $0.0000 $0.0176 $0.0176
Subject to change
Fund Materials
Fact Sheet
Fund Documents
Propectus
¹ As a % of the Public Offering Price
² The deferred sales charge (DSC) will be deducted in monthly installments on the last business day commencing Feb. 25, 2017 and ending Apr. 25, 2017. If units are redeemed prior to the DSC period, the entire DSC will be collected. For unit prices other than $10, percentages of initial sales charge, the creation and development fee and DSCs will vary. Early redemption of units will still cause payment of the DSC.
³ Estimated Net Annual Distribution is based on the Portfolio's first year of operation and is subject to change. The Rate is calculated by dividing the Estimated Net Annual Distribution by the initial $10.00 unit price. The amount of distributions paid by the Portfolio’s securities may be lower or greater than the above stated amount due to certain factors that may include, but are not limited to, a change in the dividends paid by issuers, a change in Portfolio expenses or the sale or maturity of securities in the portfolio. Fees and expenses of the Portfolio may vary as a result of a variety of factors including the Portfolio's size, redemption activity, brokerage and other transaction costs and extraordinary expenses.
IMPORTANT RISK INFORMATION
The Portfolio invests in domestic common stocks and U.S.-listed foreign securities. The value of the Portfolio's units will fluctuate with changes in the value of these common stocks. Common stock prices fluctuate for several reasons including changes in investors' perceptions of the financial condition of an issuer or the general condition of the relevant stock market, such as the current market volatility, or when political or economic events affecting the issuers occur.
The Portfolio will generally hold, and may continue to buy, the same securities even though a security's outlook, rating, market value or yield may have changed. As with all investments, you may lose some or all of your investment in the Portfolio.
The Portfolio invests in securities issued by small- and mid-cap companies. These securities customarily involve more investment risk than securities of large-cap companies. Small- and mid-cap companies may have limited product lines, markets or financial resources and may be more vulnerable to adverse general market or economic developments.
Read the Portfolio's prospectus carefully before investing. It contains the Portfolio's investment objectives, risks, charges, expenses and other information, which should be considered carefully before investing.