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The Gabelli Utility Trust
One Corporate Center
Rye, New York 10580-1422


Information as of Sep 30, 2009
unless otherwise noted.
Utility Trust - NAV Performance
Daily                
( Average Annual )    
  as of November 20, 2009
NAV/Share Change YTD 1 yr 3 yr 5 yr 10 yr Life
$ 4.86 + 0.00 +10.34% +32.84% - 4.79% + 3.68% + 6.81% + 6.87%
Monthly              
( Average Annual )    
  as of October 31, 2009
NAV/Share Change YTD 1 yr 3 yr 5 yr 10 yr Life
$ 4.70 -0.12 + 5.43% + 6.99% - 5.71% + 3.44% + 6.48% + 6.43%
 
Quarterly            
( Average Annual )   
  as of September 30, 2009
NAV/Share YTD 1 yr 3 yr 5 yr 10 yr Life
Standard             $ 5.01 +11.05% - 3.33% - 2.15% + 5.08% + 7.18% + 7.03%
 
Other                
(Average Annual NAV/Share)
  as of November 20, 2009
% By Year
2009 +10.34   
2008 -30.34   
2007 + 9.03   

% By Quarter
4Q - 2009 - 0.63   
3Q - 2009 +15.60   
2Q - 2009 +15.56   

% By Month
11 / 2009 + 4.67   
10 / 2009 - 5.06   
09 / 2009 + 3.91   

 
 
Look-up past NAVs
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Customized performance does not reflect the full effect of the front-end or back-end sales charges which for Utility Trust Fund is 0.00%. Quarterly (Standardized) performance reflects the full effect of the front-end sales charge. Other Period Performance does not reflect the full effect of the front-end or back-end sales charges. Please consult your financial advisor for prospectus and for more information on mutual fund sales charges.

(1) Maximum Sales Charge for Class A shares is a percentage of the initial investment and may be reduced based on the size of your investment. Class B and C shares have a contingent deferred sales charge when you redeem your shares depending on your holding period. Please see the Fund's Prospectus or contact your Adviser for a complete description of the applicable sales charge.
(2) Gross Expense Ratio is the expenses of the Fund reflected as a percentage of the Fund's average daily net assets and do not include any voluntary or contractual fee waivers or expense limitations as described in the Fund Prospectus.
(3) Net Expense Ratio is the expenses of the Fund including any voluntary or contractual fee waivers or expense limitations as a percentage of the Fund's average daily net assets. Where applicable, please see the Fund's Prospectus or contact your Adviser for a complete description of the fee waiver or expense limitation, the effective date and the expiration date.

Inception Date: July 09, 1999
The past performance noted does not guarantee future results. Total returns and average annual returns reflect changes in net asset value price, reinvested dividends, rights offerings, spin-offs and capital gains and are net of expenses. Investment results and the principal value of an investment will fluctuate. When shares are sold, they may be worth more or less than their original cost. Due to market volatility, current performance may be higher or lower than the figures shown.

Investors should consider the investment objectives, risks, sales charges and expense of the fund carefully before investing. The prospectus contains more complete information about this and other matters. The prospectus should be read carefully before investing.
You can obtain a prospectus by calling Gabelli & Company, Inc. at 1-800-GABELLI (1-800-422-3554), or contacting your financial representative or by visiting http://www.gabelli.com.
Distributed by Gabelli & Company, Inc. One Corporate Center, Rye, NY 10580.