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Diversified Income & Growth, 4

Back to All Secondary Trusts
  • Overview
  • Historical Pricing
  • Performance
  • Portfolio Holdings
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  • Strategy Performance

Strategy Performance

  • Trust Name
    Status
    Deposit Date
    Maturity Date
    Term
    LIQ Price
    Performance**
    Historical 12-Month Dist.*
    Docs
  • Diversified Income & Growth, 2
    Closed
    01-24-2012
    01-28-2014
    2 Year
    $9.6177
    -3.82%
    0.8093
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
    • Distributions
  • Diversified Income & Growth, 3
    Closed
    08-28-2012
    08-28-2014
    2 Year
    $9.9459
    24.46%
    0.7237
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
    • Distributions
  • Diversified Income & Growth, 4
    Closed
    01-28-2014
    01-28-2016
    2 Year
    $8.1726
    -4.67%
    0.7868
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Diversified Income & Growth, 5
    Closed
    08-28-2014
    08-30-2016
    2 Year
    $8.9233
    4.42%
    0.7501
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Diversified Income & Growth, 6
    Closed
    12-19-2014
    12-21-2016
    2 Year
    $8.7048
    1.28%
    0.7492
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 7
    Closed
    04-23-2015
    04-25-2017
    2 Year
    $8.6833
    2.93%
    0.7661
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 8
    Closed
    08-27-2015
    08-29-2017
    2 Year
    $9.9783
    18.58%
    0.9901
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 9
    Closed
    01-28-2016
    01-31-2018
    2 Year
    $10.7486
    24.66%
    0.9307
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 10
    Closed
    08-30-2016
    08-30-2018
    2 Year
    $9.6284
    10.27%
    0.7581
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 11
    Closed
    12-21-2016
    12-20-2018
    2 Year
    $8.5311
    -2.44%
    0.7981
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 12
    Closed
    04-25-2017
    04-25-2019
    2 Year
    $8.9017
    2.93%
    0.7625
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 13
    Closed
    08-29-2017
    08-29-2019
    2 Year
    $9.0056
    6.55%
    0.7326
    • Fact Card
    • CUSIPS
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 14
    Closed
    12-20-2017
    12-20-2019
    2 Year
    $9.2906
    8.2%
    0.7133
    • Fact Card
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 15
    Closed
    04-24-2018
    04-28-2020
    2 Year
    $7.5192
    -14.03%
    0.7496
    • Fact Card
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 16
    Closed
    08-15-2018
    08-25-2020
    2 Year
    $8.4054
    -2.1%
    0.7076
    • Fact Card
    • Prospectus
    • Blue Sky
  • Portfolio of Closed-End Fund Opportunities, 17
    Closed
    12-19-2018
    12-22-2020
    2 Year
    $10.7545
    23.1%
    0.7621
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 18
    Closed
    04-16-2019
    04-16-2021
    2 Year
    $10.1886
    16.67%
    0.6596
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 19
    Closed
    08-15-2019
    08-17-2021
    2 Year
    $9.8905
    13.15%
    0.6202
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 20
    Closed
    12-20-2019
    12-21-2021
    2 Year
    $9.6314
    11.58%
    0.6818
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 21
    Closed
    04-28-2020
    04-29-2022
    2 Year
    $9.7142
    9.14%
    0.6244
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 22
    Closed
    08-25-2020
    08-26-2022
    2 Year
    $8.278
    -6.23%
    0.7001
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 23
    Closed
    12-22-2020
    12-21-2022
    2 Year
    $7.4157
    -16.3%
    0.7273
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 24
    Closed
    04-16-2021
    04-13-2023
    2 Year
    $7.0477
    -18.02%
    0.4932
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 25
    Open
    08-17-2021
    08-17-2023
    2 Year
    $6.8601
    -21.98%
    0.6269
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 26
    Open
    12-21-2021
    12-21-2023
    2 Year
    $6.9464
    -22.01%
    0.7768
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 27
    Open
    01-19-2022
    01-19-2024
    2 Year
    $7.1013
    -21.01%
    0.6677
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 28
    Open
    04-29-2022
    04-30-2024
    2 Year
    $8.6958
    -5.28%
    0.7061
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 29
    Open
    08-26-2022
    08-27-2024
    2 Year
    $8.554
    -9.29%
    0.6601
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 30
    Open
    12-21-2022
    12-20-2024
    2 Year
    $9.422
    -3.03%
    0.8164
    • Fact Card
    • Prospectus
  • Portfolio of Closed-End Fund Opportunities, 31
    Open
    04-13-2023
    04-09-2025
    2 Year
    $9.5095
    -4.59%
    0.8383
    • Fact Card
    • Prospectus

Performance for certain Trust series is not available online, please contact the SmartTrust support desk for more information.

*The Historical 12-Month Distribution of Trust Holdings is as of 01/01/2023. If the Trust deposited after, or 90 days prior to, 01/01/2023, the distribution is as of deposit date. The Historical 12-Month Distribution is calculated by taking the weighted average of the regular income distributions paid by the securities included in the trust’s portfolio over the 12 months preceding the trust’s date of deposit reduced to account for the effects of trust fees and expenses. This historical distribution is for illustrative purposes only and is not indicative of amounts that will actually be distributed by the trust. The distributions paid by the trust may be higher or lower than the amount shown above due to factors including, but not limited to, changes in the price of trust units, changes (including reductions) in distributions paid by issuers, changes in actual trust expenses and sales of securities in the portfolio. There is no guarantee that the issuers of the securities included in the trust will pay any distributions in the future.



**Calculated With Transactional Sales Charge (Distributions Reinvested) Since Inception
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