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Home > Gabelli Closed-End Funds > Gabelli The GDL Fund Details
Objective
Fund Details
Price & Performance
Distribution & Tax Info
The GDL Fund
Printable Factsheet |
Recent Quarterly Report |
Recent Annual Report
Fund Structure:
Asset Class:
Investment Style:
Investment Objective: |
Closed End
Equity
Merger/Arbitrage
Absolute Returns |
Key Dates |
| Inception: |
January 26, 2007 |
Distributions Paid: |
Quarterly |
| Fiscal Year End: |
December |
Fund Identifiers |
| Exchange Symbol: |
GDL |
| Cusip Number: |
361570104 |
| Fund Operating Expenses |
| Management * |
0.50 % |
| Other Expenses |
3.89 % |
| Total |
4.39 % |
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* In addition to the management fees set forth in the table, the Investment Adviser
is entitled to receive an annual performance fee as of the end of any calendar year in
which the Fund's total return exceeds the T-Bill Index total return. The performance
fee is 0.01% for each 0.04% of overperformance up to a maximum incremental fee of 1.50%,
for a total fee rate of 2.00%, if the Fund's total return equals or exceeds the T-Bill
Index total return plus 6.0% (600 basis points).
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