<SEC-DOCUMENT>0000928816-14-001454.txt : 20140924
<SEC-HEADER>0000928816-14-001454.hdr.sgml : 20140924
<ACCEPTANCE-DATETIME>20140924132409
ACCESSION NUMBER:		0000928816-14-001454
CONFORMED SUBMISSION TYPE:	N-Q
PUBLIC DOCUMENT COUNT:		4
CONFORMED PERIOD OF REPORT:	20140731
FILED AS OF DATE:		20140924
DATE AS OF CHANGE:		20140924
EFFECTIVENESS DATE:		20140924

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND
		CENTRAL INDEX KEY:			0001260041
		IRS NUMBER:				000000000
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		N-Q
		SEC ACT:		1940 Act
		SEC FILE NUMBER:	811-21416
		FILM NUMBER:		141118068

	BUSINESS ADDRESS:	
		STREET 1:		C/O JOHN HANCOCK FUNDS
		STREET 2:		601 CONGRESS STREET
		CITY:			BOSTON
		STATE:			MA
		ZIP:			02210
		BUSINESS PHONE:		617-663-3000

	MAIL ADDRESS:	
		STREET 1:		C/O JOHN HANCOCK FUNDS
		STREET 2:		601 CONGRESS STREET
		CITY:			BOSTON
		STATE:			MA
		ZIP:			02210

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	JOHN HANCOCK PREFERRED & EQUITY INCOME FUND
		DATE OF NAME CHANGE:	20030814
</SEC-HEADER>
<DOCUMENT>
<TYPE>N-Q
<SEQUENCE>1
<FILENAME>a_taxadvdividendinc.htm
<DESCRIPTION>JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND
<TEXT>
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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>UNITED STATES</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>SECURITIES AND EXCHANGE COMMISSION</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>Washington, D.C. 20549</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><B><FONT size=3 face=serif>FORM N-Q</FONT></B>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><B><FONT size=3 face=serif>QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED</FONT></B>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><B><FONT size=3 face=serif>MANAGEMENT INVESTMENT COMPANIES</FONT></B>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><B><FONT size=3 face=serif>&nbsp;</FONT></B></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>Investment Company Act file number </FONT><FONT size=3 face=serif><U>811-21416</U></FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif><U>John Hancock Tax-Advantaged Dividend Income Fund</U></FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>(Exact name of registrant as specified in charter)</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif><U>601 Congress Street, Boston, Massachusetts 02210</U></FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>(Address of principal executive offices) (Zip code)</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>Salvatore Schiavone, Treasurer</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>601 Congress Street</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif><U>Boston, Massachusetts 02210</U></FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>(Name and address of agent for service)</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=center><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=left><FONT size=3 face=serif>Registrant's telephone number, including area code:</FONT> <FONT size=3 face=serif><U>617-663-4497</U></FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2 noWrap align=left><FONT size=3 face=serif>&nbsp;</FONT></TD></TR>

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   <TD width="25%" noWrap align=left><FONT size=3 face=serif>Date of fiscal year end:</FONT>&nbsp;</TD>

   <TD width="74%" noWrap align=left><FONT size=3 face=serif>October 31</FONT>&nbsp;</TD></TR>

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   <TD width="99%" colSpan=2>&nbsp;</TD></TR>

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   <TD width="25%" noWrap align=left><FONT size=3 face=serif>Date of reporting period:</FONT>&nbsp;</TD>

   <TD width="74%" noWrap align=left><FONT size=3 face=serif>July 31, 2014</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>ITEM 1. SCHEDULE OF INVESTMENTS</FONT></P></DIV>









































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<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

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<TR>

   <TD width="70%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD></TR>

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   <TD width="70%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Shares</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

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   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Common Stocks 69.5% (46.1% of Total Investments)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$586,464,834</FONT></B>&nbsp;</TD></TR>

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</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>(Cost $422,745,666)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Energy 12.1%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>101,962,095</FONT></B>&nbsp;</TD></TR>

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   <HR SIZE=1 noShade>

</TD></TR>

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   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Oil, Gas &amp; Consumable Fuels 12.1%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>BP PLC, ADR</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>187,500</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>9,181,875</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Chevron Corp.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>40,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,169,600</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>ConocoPhillips (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>120,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>9,900,000</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>ONEOK, Inc.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>515,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>33,181,450</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Royal Dutch Shell PLC, ADR</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>79,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>6,464,570</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Spectra Energy Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>905,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>37,032,600</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Total SA, ADR</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>16,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,032,000</FONT>&nbsp;</TD></TR>

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   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Telecommunication Services 3.7%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>31,488,147</FONT></B>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Diversified Telecommunication Services 2.9%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>AT&amp;T, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>390,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>13,880,100</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Verizon Communications, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>214,160</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>10,797,947</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Wireless Telecommunication Services 0.8%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Vodafone Group PLC</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>205,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>6,810,100</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Utilities 53.7%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>453,014,592</FONT></B>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Electric Utilities 22.4%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>American Electric Power Company, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>590,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>30,674,100</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Duke Energy Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>310,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>22,360,300</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>FirstEnergy Corp.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>630,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>19,662,300</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Northeast Utilities (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>657,500</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>28,864,250</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>OGE Energy Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>540,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>19,413,000</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Pinnacle West Capital Corp.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>70,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,744,300</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>PPL Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>500,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>16,495,000</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>The Southern Company (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>390,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>16,883,100</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>UIL Holdings Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>530,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>18,608,300</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Xcel Energy, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>405,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>12,474,000</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

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   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Gas Utilities 5.1%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>AGL Resources, Inc.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>100,550</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,192,402</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Atmos Energy Corp.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>570,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>27,542,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Northwest Natural Gas Company (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>85,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,673,700</FONT>&nbsp;</TD></TR>

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   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>ONE Gas, Inc.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>173,015</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>6,228,540</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Multi-Utilities 26.2%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Alliant Energy Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>160,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>9,040,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Ameren Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>555,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>21,339,750</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Black Hills Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>440,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>23,192,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Dominion Resources, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>400,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>27,056,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>DTE Energy Company (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>250,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>18,455,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Integrys Energy Group, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>485,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>31,796,600</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>National Grid PLC, ADR</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>230,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>16,511,700</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>NiSource, Inc.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>785,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>29,578,800</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Public Service Enterprise Group, Inc. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>170,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,978,900</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>TECO Energy, Inc.</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>500,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>8,730,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Vectren Corp. (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>775,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>29,519,750</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>1</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

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<DIV style="PADDING-LEFT: 0%; PADDING-RIGHT: 0%">

<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="70%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Shares</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Preferred Securities 78.8% (52.3% of Total Investments)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$665,188,094</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>(Cost $657,091,518)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=2 face=sans-serif>Financials 51.8%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>437,370,539</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR>

   <TD width="100%" colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Banks 19.4%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Barclays Bank PLC, Series 5, 8.125% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>505,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>13,023,950</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>BB&amp;T Corp., 5.625%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>600,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>14,136,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>BB&amp;T Corp. (Callable 11-1-17), 5.200% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>480,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>10,622,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>BB&amp;T Corp. (Callable 6-1-18), 5.200%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>263,900</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,829,551</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>HSBC Finance Corp., Depositary Shares, Series B, 6.360% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>700,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>17,591,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>HSBC Holdings PLC, 8.000% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>325,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>8,797,750</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>HSBC Holdings PLC, 8.125% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>50,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,303,500</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>HSBC USA, Inc., 6.500%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>19,500</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>492,180</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>PNC Financial Services Group, Inc. (6.125% to 5-1-22, then 3</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="70%" noWrap align=left><FONT size=2 face=sans-serif>month LIBOR + 4.067%)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>40,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,089,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Santander Finance Preferred SAU, Series 1, 6.410% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>15,500</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>392,150</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Santander Finance Preferred SAU, Series 10, 10.500% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>277,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>7,096,740</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Santander Holdings USA, Inc., Series C, 7.300%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>110,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>2,769,800</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>The PNC Financial Services Group, Inc., 5.375% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>470,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>10,894,600</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>U.S. Bancorp, 5.150% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>945,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>21,186,900</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>U.S. Bancorp (6.500% to 1-15-22, then 3 month LIBOR + 4.468%) (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>296,000&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>8,394,560&nbsp;</TD></TR>



<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Wells Fargo &amp; Company, 6.000%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>210,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,170,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Wells Fargo &amp; Company, 8.000%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,207,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>35,365,100</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Capital Markets 11.1%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Morgan Stanley, 6.625%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>957,915</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>24,225,670</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Morgan Stanley, 7.125%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>300,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>8,268,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>State Street Corp., 5.250% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,010,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>23,240,100</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>State Street Corp. (5.900% to 3-15-24, then 3 month LIBOR +</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="70%" noWrap align=left><FONT size=2 face=sans-serif>3.108%)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>25,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>644,250</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>The Bank of New York Mellon Corp., 5.200% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>475,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>11,001,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>The Goldman Sachs Group, Inc., 5.950% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>860,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>20,717,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>The Goldman Sachs Group, Inc., Series B, 6.200% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>215,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,304,050</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Consumer Finance 0.4%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>SLM Corp., Series A, 6.970% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>74,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,596,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Diversified Financial Services 15.9%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Bank of America Corp., 6.375% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>139,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,484,730</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Bank of America Corp., 6.625% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>355,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>9,027,650</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Bank of America Corp., Depositary Shares, Series D, 6.204% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>230,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,754,600</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Citigroup, Inc., Depositary Shares, Series AA, 8.125%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>270,400</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>7,874,048</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Deutsche Bank Contingent Capital Trust II, 6.550% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>310,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>8,122,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Deutsche Bank Contingent Capital Trust III, 7.600% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>797,893</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>21,926,100</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>ING Groep NV, 6.200% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>109,100</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>2,761,321</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>ING Groep NV, 7.050% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>150,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,853,500</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>JPMorgan Chase &amp; Company, 5.450%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>240,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>5,383,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>JPMorgan Chase &amp; Company, 5.500% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>980,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>22,118,600</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>JPMorgan Chase &amp; Company, 6.700%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>30,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>764,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>RBS Capital Funding Trust VII, 6.080% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>983,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>23,513,360</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Royal Bank of Scotland Group PLC, Series L, 5.750% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>855,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>19,887,300</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><B><FONT size=1 face=sans-serif>Insurance 4.7%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Aegon NV, 6.500%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>96,512</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>2,444,649</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>MetLife, Inc., Series B, 6.500% (Z)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,415,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>36,110,800</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="70%" noWrap align=left><FONT size=2 face=sans-serif>Prudential Financial, Inc., 5.750%</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>40,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>1,000,000</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>2</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

<HR align=center SIZE=2 width="100%" noShade>



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<DIV style="PADDING-LEFT: 0%; PADDING-RIGHT: 0%">

<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="70%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=right><B><FONT size=1 face=sans-serif>Shares</FONT></B>&nbsp;</TD>

   <TD noWrap align=right><B><FONT size=1 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=2 face=sans-serif>Financials (continued)</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Real Estate Investment Trusts 0.2%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Ventas Realty LP, 5.450%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>63,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>$1,500,030</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Thrifts &amp; Mortgage Finance 0.1%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Federal National Mortgage Association, Series S, 8.250%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>60,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>691,800</FONT>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=2 face=sans-serif>Industrials 0.3%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=right><B><FONT size=2 face=sans-serif>3,071,250</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Machinery 0.3%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Stanley Black &amp; Decker, Inc., 5.750% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>125,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>3,071,250</FONT>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=2 face=sans-serif>Telecommunication Services 5.6%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=right><B><FONT size=2 face=sans-serif>47,022,170</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Diversified Telecommunication Services 3.8%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Qwest Corp., 6.125% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>730,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>17,155,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Qwest Corp., 7.375% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>366,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>9,592,860</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Qwest Corp., 7.500% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>120,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>3,168,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Verizon Communications, Inc., 5.900%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>73,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>1,860,040</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Wireless Telecommunication Services 1.8%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Telephone &amp; Data Systems, Inc., 5.875%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>340,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>7,711,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Telephone &amp; Data Systems, Inc., 6.625%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>30,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>735,900</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Telephone &amp; Data Systems, Inc., 6.875% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>243,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>6,048,270</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>United States Cellular Corp., 6.950% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>30,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>750,900</FONT>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=2 face=sans-serif>Utilities 21.1%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=right><B><FONT size=2 face=sans-serif>177,724,135</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=3>

   <HR SIZE=1 noShade>

</TD></TR>

<TR>

   <TD colSpan=3>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Electric Utilities 18.7%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Alabama Power Company, Class A, 5.300% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>197,550</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>5,037,525</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Duke Energy Corp., 5.125%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>240,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>5,613,600</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Duquesne Light Company, 6.500%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>427,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>21,350,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Entergy Arkansas, Inc., 4.560%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>9,388</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>876,898</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Entergy Arkansas, Inc., 6.450%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>135,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>3,412,976</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Entergy Mississippi, Inc., 4.920%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>8,190</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>822,328</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Entergy Mississippi, Inc., 6.250%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>197,500</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>4,838,750</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Gulf Power Company, 5.600%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>87,791</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>8,061,373</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Interstate Power &amp; Light Company, 5.100%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>1,460,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>36,047,400</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Mississippi Power Company, 5.250%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>267,500</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>6,759,725</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>NextEra Energy Capital Holdings, Inc., 5.000%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>110,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>2,308,900</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>NextEra Energy Capital Holdings, Inc., 5.125%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>60,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>1,300,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>NextEra Energy Capital Holdings, Inc., 5.700% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>230,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>5,563,700</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>PPL Capital Funding, Inc., 5.900%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>1,010,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>23,957,200</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>SCE Trust I, 5.625%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>140,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>3,255,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>SCE Trust II, 5.100% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>1,315,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>28,206,750</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>&nbsp;</FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><B><FONT size=1 face=sans-serif>Multi-Utilities 2.4%</FONT></B>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD>

   <TD noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>BGE Capital Trust II, 6.200% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>250,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>6,250,000</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>DTE Energy Company, 5.250%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>165,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>3,903,900</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>DTE Energy Company, 6.500% (Z)</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>175,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>4,574,500</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD noWrap align=left><FONT size=2 face=sans-serif>Integrys Energy Group, Inc., 6.000%</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>217,000</FONT>&nbsp;</TD>

   <TD noWrap align=right><FONT size=2 face=sans-serif>5,583,410</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>3</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

<HR align=center SIZE=2 width="100%" noShade>



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<DIV style="PADDING-LEFT: 0%; PADDING-RIGHT: 0%">

<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="40%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD>

   <TD width="15%"></TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Maturity</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Rate (%)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>date</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Par value</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Corporate Bonds 0.4% (0.2% of Total Investments)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$3,255,000</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><FONT size=2 face=sans-serif>(Cost $3,000,000)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Utilities 0.4%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>3,255,000</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><FONT size=2 face=sans-serif>Southern California Edison Company (6.250% to 2-1-22,</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="40%" noWrap align=left><FONT size=2 face=sans-serif>then 3 month LIBOR + 4.199%) (Q)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>6.250</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>02/01/22</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>$3,000,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>3,255,000</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Par value</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=1 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5></TD></TR>

<TR vAlign=bottom>

   <TD width="55%" colSpan=2 noWrap align=left><B><FONT size=2 face=sans-serif>Short-Term Investments 2.1% (1.4% of Total Investments)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$17,263,000</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><FONT size=2 face=sans-serif>(Cost $17,263,000)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Repurchase Agreement 2.1%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>17,263,000</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="55%" colSpan=2 noWrap align=left><FONT size=2 face=sans-serif>Repurchase Agreement with State Street Corp. dated 7-31-14 at</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="55%" colSpan=2 noWrap align=left><FONT size=2 face=sans-serif>0.000% to be repurchased at $17,263,000 on 8-1-14, collateralized</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="55%" colSpan=2 noWrap align=left><FONT size=2 face=sans-serif>by $17,700,000 Federal Home Loan Mortgage Corp., 1.000% -</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="55%" colSpan=2 noWrap align=left><FONT size=2 face=sans-serif>1.100% due 9-27-17 - 10-5-17 (valued at $17,614,319, including</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 7.199pt" width="40%" noWrap align=left><FONT size=2 face=sans-serif>interest)</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>17,263,000</FONT>&nbsp;</TD>

   <TD width="15%" noWrap align=right><FONT size=2 face=sans-serif>17,263,000</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Total investments (Cost $1,100,100,184)&#8224; 150.8%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$1,272,170,928</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Other assets and liabilities, net (50.8%)</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>($428,440,003)</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="40%" noWrap align=left><B><FONT size=2 face=sans-serif>Total net assets 100.0%</FONT></B>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=left>&nbsp;</TD>

   <TD width="15%" noWrap align=right><B><FONT size=2 face=sans-serif>$843,730,925</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD colSpan=5>

   <HR SIZE=1 noShade>

</TD></TR></TABLE></DIV>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>The percentage shown for each investment category is the total value the category as a percentage of the net assets of the fund.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>ADR American Depositary Receipts</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>LIBOR London Interbank Offered Rate</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(Q) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(Z) A portion of this security is segregated as collateral pursuant to the Committed Facility Agreement. Total collateral value at 7-31-14 was $711,921,830.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>&#8224; At 7-31-14, the aggregate cost of investment securities for federal income tax purposes was $1,107,486,483. Net unrealized appreciation aggregated $164,684,445, of which $198,341,304 related to appreciated investment securities and $33,656,859 related to depreciated investment securities.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>4</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

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<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Notes to Portfolio of Investments</FONT></B></P>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Security valuation. </FONT></B><FONT size=2 face=sans-serif>Investments are stated at value as of the close of regular trading on the New York Stock Exchange (NYSE), normally at 4:00 </FONT><FONT size=1 face=sans-serif>P</FONT><FONT size=2 face=sans-serif>.</FONT><FONT size=1 face=sans-serif>M</FONT><FONT size=2 face=sans-serif>., Eastern Time. In order to value the securities, the fund uses the following valuation techniques: Equity securities held by the fund are valued at the last sale price or official closing price on the exchange where the security was acquired or most likely will be sold. In the event there were no sales during the day or closing prices are not available, the securities are valued using the last available bid price. Debt obligations are valued based on the evaluated prices provided by an independent pricing vendor or from broker-dealers. Independent pricing vendors utilize matrix pricing which takes into account factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data, as well as broker supplied prices. Options listed on an exchange are valued at the mean of the most recent bid and ask prices from the exchange where the option was acquired or most likely will be sold. Swaps are valued using evaluated prices obtained from an independent pricing vendor. Futures contracts are valued at settlement prices, which are the official closing prices published by the exchange on which they trade. Foreign securities and currencies are valued in U.S. dollars, based on foreign currency exchange rates supplied by an independent pricing vendor. Securities that trade only in the over-the-counter (OTC) market are valued using bid prices. Certain short-term securities with maturities of 60 days or less at the time of purchase are valued at amortized cost. Other portfolio securities and assets, for which reliable market quotations are not readily available, are valued at fair value as determined in good faith by the fund&#8217;s Pricing Committee following procedures established by the Board of Trustees. The frequency with which these fair valuation procedures are used cannot be predicted and fair value of securities may differ significantly from the value that would have been used had a ready market for such securities existed.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>The fund uses a three-tier hierarchy to prioritize the pricing assumptions, referred to as inputs, used in valuation techniques to measure fair value. Level 1 includes securities valued using quoted prices in active markets for identical securities. Level 2 includes securities valued using other significant observable inputs. Observable inputs may include quoted prices for similar securities, interest rates, prepayment speeds and credit risk. Prices for securities valued using these inputs are received from independent pricing vendors and brokers and are based on an evaluation of the inputs described. Level 3 includes securities valued using significant unobservable inputs when market prices are not readily available or reliable, including the fund&#8217;s own assumptions in determining the fair value of investments. Factors used in determining value may include market or issuer specific events or trends, changes in interest rates and credit quality. The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Changes in valuation techniques may result in transfers into or out of an assigned level within the disclosure hierarchy.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>The following is a summary of the values by input classification of the fund&#8217;s investments as of July 31, 2014</FONT><I><FONT size=2 face=sans-serif>, </FONT></I><FONT size=2 face=sans-serif>by major security category or type:</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="20%"></TD>

   <TD width="20%"></TD>

   <TD width="20%"></TD>

   <TD width="20%"></TD>

   <TD width="20%"></TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Level 2</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Level 3</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Total Market</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Significant</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Significant</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Value at</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Level 1 Quoted</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Observable</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Unobservable</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>7-31-14</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Price</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Inputs</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>Inputs</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Common Stocks</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>$586,464,834</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>$586,464,834</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Preferred Securities</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 14.399pt" width="20%" noWrap align=left><FONT size=1 face=sans-serif>Financials</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>437,370,539</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>437,370,539</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 14.399pt" width="20%" noWrap align=left><FONT size=1 face=sans-serif>Industrials</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>3,071,250</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>3,071,250</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 14.399pt" width="20%" noWrap align=left><FONT size=1 face=sans-serif>Telecommunication Services</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>47,022,170</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>45,162,130</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>$1,860,040</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 14.399pt" width="20%" noWrap align=left><FONT size=1 face=sans-serif>Utilities</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>177,724,135</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>159,711,810</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>18,012,325</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Corporate Bonds</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>3,255,000</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>3,255,000</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Short-Term Investments</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>17,263,000</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>17,263,000</FONT>&nbsp;</TD>

   <TD width="20%" noWrap align=right><FONT size=1 face=sans-serif>&#8212;</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="20%">&nbsp;</TD>

   <TD width="80%" colSpan=4>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Total Investments in Securities</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>$1,272,170,928</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>$1,231,780,563</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>$40,390,365</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Other Financial Instruments:</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD>

   <TD width="20%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Futures</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>$383,173</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>$383,173</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Swaps</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>($1,100,475)</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>($1,100,475)</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="20%" noWrap align=left><B><FONT size=1 face=sans-serif>Written Options</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>($300,126)</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>($300,126)</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD>

   <TD width="20%" noWrap align=right><B><FONT size=1 face=sans-serif>&#8212;</FONT></B>&nbsp;</TD></TR></TABLE></DIV>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Repurchase agreements. </FONT></B><FONT size=2 face=sans-serif>The fund may enter into repurchase agreements. When the fund enters into a repurchase agreement, it receives collateral that is held in a segregated account by the fund&#8217;s custodian. The collateral amount is marked-to-market and monitored on a daily basis to ensure that the collateral held is in an amount not less than the principal amount of the repurchase agreement plus any accrued interest. Collateral received by the fund for repurchase agreements is disclosed in the Fund&#8217;s investments as part of the caption related to the repurchase agreement.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>Repurchase agreements are typically governed by the terms and conditions of the Master Repurchase Agreement and/or Global Master Repurchase Agreement (collectively, MRA). Upon an event of default, the non-defaulting party may close</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>5</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

<HR align=center SIZE=2 width="100%" noShade>



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<DIV style="PADDING-LEFT: 0%; PADDING-RIGHT: 0%">

<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>out all transactions traded under the MRA and net amounts owed. Absent an event of default, the MRA does not result in an offset of the net amounts owed. In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the collateral value may decline or the counterparty may have insufficient assets to pay back claims resulting from close-out of the transactions.</FONT></P>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Derivative instruments. </FONT></B><FONT size=2 face=sans-serif>The fund may invest in derivatives in order to meet its investment objectives. Derivatives include a variety of different instruments that may be traded in the over-the-counter market, on a regulated exchange or through a clearing facility. The risks in using derivatives vary depending upon the structure of the instruments, including the use of leverage, optionality, the liquidity or lack of liquidity of the contract, the creditworthiness of the counterparty or clearing organization and the volatility of the position. Some derivatives involve risks that are potentially greater than the risks associated with investing directly in the referenced securities or other referenced underlying instrument. Specifically, the fund are exposed to the risk that the counterparty to an over-the-counter (OTC) derivatives contract will be unable or unwilling to make timely settlement payments or otherwise honor its obligations. OTC derivatives transactions typically can only be closed out with the other party to the transaction.</FONT></P>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Futures. </FONT></B><FONT size=2 face=sans-serif>A futures contract is a contractual agreement to buy or sell a particular currency or financial instrument at a predetermined price in the future. Risks related to the use of futures contracts include possible illiquidity of the futures markets and contract prices that can be highly volatile and imperfectly correlated to movements in the underlying financial instrument. Use of long futures contracts subjects the funds to the risk of loss up to the notional value of the futures contracts. Use of short futures contracts subjects the funds to unlimited risk of loss.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>The fund used futures contracts to manage against anticipated interest rate changes. The following table summarizes the contracts held at July 31, 2014.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="13%"></TD>

   <TD width="13%"></TD>

   <TD width="3%"></TD>

   <TD width="13%"></TD>

   <TD width="14%"></TD>

   <TD width="13%"></TD>

   <TD width="14%"></TD>

   <TD width="13%"></TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="3%" noWrap align=left></TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Unrealized</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Number of</FONT></B>&nbsp;</TD>

   <TD width="3%" noWrap align=left></TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left><B><FONT size=2 face=sans-serif>Expiration</FONT></B>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Notional</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=right><B><FONT size=2 face=sans-serif>Notional</FONT></B>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Appreciation</FONT></B>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left><B><FONT size=2 face=sans-serif>Open Contracts</FONT></B>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Contracts</FONT></B>&nbsp;</TD>

   <TD width="3%" noWrap align=left><B><FONT size=2 face=sans-serif></FONT></B></TD>

   <TD width="13%" noWrap align=left><B><FONT size=2 face=sans-serif>Position</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=left><B><FONT size=2 face=sans-serif>Date</FONT></B>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>Basis</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=right><B><FONT size=2 face=sans-serif>Value</FONT></B>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>(Depreciation)</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="96%" colSpan=8>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left><FONT size=2 face=sans-serif>10-Year U.S.</FONT>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="3%" noWrap align=left></TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left><FONT size=2 face=sans-serif>Treasury Note</FONT>&nbsp;</TD>

   <TD width="13%" noWrap align=right><FONT size=2 face=sans-serif>980</FONT>&nbsp;</TD>

   <TD width="3%" noWrap align=left><FONT size=2 face=sans-serif></FONT></TD>

   <TD style="TEXT-INDENT: 0.002pt" width="13%" noWrap align=left><FONT size=2 face=sans-serif>Short</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0.002pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Sep 2014</FONT>&nbsp;</TD>

   <TD width="13%" noWrap align=right><FONT size=2 face=sans-serif>($122,500,361)</FONT>&nbsp;</TD>

   <TD width="14%" noWrap align=right><FONT size=2 face=sans-serif>($122,117,188)</FONT>&nbsp;</TD>

   <TD width="13%" noWrap align=right><FONT size=2 face=sans-serif>$383,173</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left><FONT size=2 face=sans-serif>Futures</FONT>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="3%" noWrap align=left></TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD></TR>

<TR>

   <TD width="96%" colSpan=8>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="3%" noWrap align=left></TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="13%" noWrap align=right><B><FONT size=2 face=sans-serif>$383,173</FONT></B>&nbsp;</TD></TR></TABLE></DIV>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Options. </FONT></B><FONT size=2 face=sans-serif>There are two types of options, put options and call options. Options are traded either over-the-counter or on an exchange. A call option gives the purchaser of the option the right to buy (and the seller the obligation to sell) the underlying instrument at the exercise price. A put option gives the purchaser of the option the right to sell (and the writer the obligation to buy) the underlying instrument at the exercise price. Writing puts and buying calls may increase the fund&#8217;s exposure to changes in the value of the underlying instrument. Buying puts and writing calls may decrease the fund&#8217;s exposure to such changes. Risks related to the use of options include the loss of premiums, possible illiquidity of the options markets, trading restrictions imposed by an exchange and movements in underlying security values. In addition, over-the-counter options are subject to the risks of all over-the-counter derivatives contracts.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>When the fund purchases an option, the premium paid by the fund is included in the portfolio of investments and subsequently &#8220;marked-to-market&#8221; to reflect current market value. When the fund writes an option, the premium received is included as a liability and subsequently &#8220;marked-to-market&#8221; to reflect current market value of the option written.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>During the period ended July 31, 2014, the fund wrote option contracts to hedge against anticipated changes in securities markets and to generate potential income. The following tables summarize the fund&#8217;s written options activities during the period ended July 31, 2014 and the contracts held at July 31, 2014.</FONT></P>

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<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="25%"></TD>

   <TD width="25%"></TD>

   <TD width="25%"></TD>

   <TD width="25%"></TD></TR>

<TR vAlign=bottom>

   <TD width="25%" noWrap align=left>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif>Number of</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=left>&nbsp;</TD>

   <TD width="25%" noWrap align=left></TD></TR>

<TR vAlign=bottom>

   <TD width="25%" noWrap align=left>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif>Contracts</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif>Premium Received</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif></FONT></B></TD></TR>

<TR vAlign=bottom>

   <TD width="25%" noWrap align=left><FONT size=2 face=sans-serif>Outstanding, beginning of period</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>1,030</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>$2,043,513</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 5.039pt" width="25%" noWrap align=left><FONT size=2 face=sans-serif>Options written</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>9,310</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>16,429,578</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 5.039pt" width="25%" noWrap align=left><FONT size=2 face=sans-serif>Option closed</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>(7,560)</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>(15,882,404)</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 5.039pt" width="25%" noWrap align=left><FONT size=2 face=sans-serif>Options expired</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>(1,655)</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif>(1,538,398)</FONT>&nbsp;</TD>

   <TD width="25%" noWrap align=right><FONT size=2 face=sans-serif></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="25%" noWrap align=left><B><FONT size=2 face=sans-serif>Outstanding, end of period</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif>1,125</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif>$1,052,289</FONT></B>&nbsp;</TD>

   <TD width="25%" noWrap align=right><B><FONT size=2 face=sans-serif></FONT></B></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>6</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

<HR align=center SIZE=2 width="100%" noShade>



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<DIV style="PADDING-LEFT: 0%; PADDING-RIGHT: 0%">

<P style="TEXT-ALIGN: left"><B><FONT size=5 face=serif>Tax-Advantaged Dividend Income Fund</FONT></B><BR><B><FONT size=3 face=serif>As of 7-31-14 (Unaudited)</FONT></B></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="16%"></TD>

   <TD width="16%"></TD>

   <TD width="16%"></TD>

   <TD width="16%"></TD>

   <TD width="16%"></TD>

   <TD width="16%"></TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Exercise</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Expiration</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Number of</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><B><FONT size=2 face=sans-serif>OPTIONS</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Price</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Date</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Contracts</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Premium</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>Value</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="96%" colSpan=6>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><B><FONT size=2 face=sans-serif>Calls</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><FONT size=2 face=sans-serif>NASDAQ 100 Stock Index</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>$3,925.00</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>Aug 2014</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>40</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>$ 167,023</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>($117,200)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><FONT size=2 face=sans-serif>Philadelphia Semiconductor Index</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>640.00</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>Aug 2014</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>115</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>103,150</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>(4,600)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><FONT size=2 face=sans-serif>PHLX Housing Sector Index</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>200.00</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>Aug 2014</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>375</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>118,860</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>(6,563)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><FONT size=2 face=sans-serif>S&amp;P 500 Index</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>1,970.00</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>Aug 2014</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>350</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>656,161</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>(166,250)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left><FONT size=2 face=sans-serif>S&amp;P 500 Index</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>2,045.00</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>Aug 2014</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>245</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>7,095</FONT>&nbsp;</TD>

   <TD width="16%" noWrap align=right><FONT size=2 face=sans-serif>(5,513)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=left>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>1,125</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>$1,052,289</FONT></B>&nbsp;</TD>

   <TD width="16%" noWrap align=right><B><FONT size=2 face=sans-serif>($300,126)</FONT></B>&nbsp;</TD></TR></TABLE></DIV>

<P style="TEXT-ALIGN: left"><B><FONT size=2 face=sans-serif>Interest rate swaps. </FONT></B><FONT size=2 face=sans-serif>Interest rate swaps represent an agreement between the fund and a counterparty to exchange cash flows based on the difference between two interest rates applied to a notional amount. The payment flows are usually netted against each other, with the difference being paid by one party to the other. The fund settles accrued net interest receivable or payable under the swap contracts at specified, future intervals. Swap agreements are privately negotiated in the OTC market or may be executed on a registered commodities exchange (centrally cleared swaps). Swaps are marked-to-market daily and the change in value is recorded as unrealized appreciation/depreciation of swap contracts. A termination payment by the counterparty or the fund is recorded as realized gain or loss, as well as the net periodic payments received or paid by the fund. The value of the swap will typically impose collateral posting obligations on the party that is considered out-of-the-money on the swap.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>During the period ended July 31, 2014, the fund used interest rate swaps to manage against anticpated interest rate changes. The following table summarizes the interest rate swap contracts held as of July 31, 2014.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="14%"></TD>

   <TD width="14%" align=center></TD>

   <TD width="14%" align=center></TD>

   <TD width="14%" align=center></TD>

   <TD width="14%" align=center></TD>

   <TD width="14%" align=center></TD>

   <TD width="14%" align=center></TD></TR>

<TR vAlign=bottom>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Unamortized</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>US</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Payments</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Payments</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Upfront</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Notional</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Made by</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Received</FONT></B>&nbsp;</TD>

   <TD style="TEXT-INDENT: 3.119pt" width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Maturity</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Payment Paid</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="14%" noWrap align=left><B><FONT size=2 face=sans-serif>Counterparty</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Amount</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Fund</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>by Fund</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>Date</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>(Received)</FONT></B>&nbsp;</TD>

   <TD width="14%" noWrap align=right><B><FONT size=2 face=sans-serif>Market Value</FONT></B>&nbsp;</TD></TR>

<TR>

   <TD width="98%" colSpan=7>

   <HR SIZE=1 noShade>

</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Morgan</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Stanley</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Capital</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>Fixed</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>3-Month</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Services</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>86,000,000</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>1.4625%</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>LIBOR(a)</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>Aug 2016</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>-</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=right><FONT size=2 face=sans-serif>($1,810,010)</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Morgan</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Stanley</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Capital</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>Fixed</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>3-Month</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=left>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD style="TEXT-INDENT: 4.679pt" width="14%" noWrap align=left><FONT size=2 face=sans-serif>Services</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>86,000,000</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>0.8750%</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>LIBOR(a)</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>Jul 2017</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><FONT size=2 face=sans-serif>-</FONT>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=right><FONT size=2 face=sans-serif>709,535</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="14%" noWrap align=left>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>172,000,000</FONT></B>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=center><B><FONT size=2 face=sans-serif>-</FONT></B>&nbsp;</TD>

   <TD style="TEXT-INDENT: 0pt" width="14%" noWrap align=right><B><FONT size=2 face=sans-serif>($1,100,475)</FONT></B>&nbsp;</TD></TR></TABLE></DIV>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(a) At 7-31-14, the 3-month LIBOR rate was 0.2391%.</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>For additional information on the fund&#8217;s significant accounting policies, please refer to the fund&#8217;s most recent semiannual or annual shareholder report.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="31%"></TD>

   <TD width="68%"></TD></TR>

<TR vAlign=bottom>

   <TD colSpan=2 align=center><FONT size=2 face=serif>7</FONT></TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

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<P style="text-align: left;">
<FONT size=2 face="sans-serif">ITEM 2. CONTROLS AND PROCEDURES.</FONT></P>
<P style="text-align: left;">
<FONT size=2 face="sans-serif">(a) Based upon their evaluation of the registrant's disclosure controls and procedures as conducted within 90 days of the filing date of this Form N-Q, the registrant's principal executive officer and principal accounting officer have concluded that those disclosure controls and procedures provide reasonable assurance that the material information required to be disclosed by the registrant on this report is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms.</FONT></P>
<P style="text-align: left;">
<FONT size=2 face="sans-serif">(b) There were no changes in the registrant's internal control over financial reporting that occurred during the registrant's last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting.</FONT></P>
<P style="text-align: left;">
<FONT size=2 face="sans-serif">ITEM 3. EXHIBITS.</FONT></P>
<P style="text-align: left;">
<FONT size=2 face="sans-serif">Separate certifications for the registrant's principal executive officer and principal accounting officer, as required by Rule 30a-2(a) under the Investment Company Act of 1940, are attached.</FONT></P>
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   <TD width="100%"></TD></TR>

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   <TD noWrap align=center><FONT size=2 face=sans-serif>SIGNATURES</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="5%"></TD>

   <TD width="95%"></TD></TR>

<TR vAlign=bottom>

   <TD width="100%" colSpan=2 noWrap align=left><FONT size=2 face=sans-serif>John Hancock Tax-Advantaged Dividend Income Fund</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>By:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>/s/ Andrew Arnott</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>________________</FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>Andrew Arnott</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>President</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>Date:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>September 23, 2014</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.</FONT></P>

<DIV align=left>

<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



<TR>

   <TD width="5%"></TD>

   <TD width="95%"></TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>By:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>/s/ Andrew Arnott</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif><FONT size=2 face=sans-serif>________________</FONT></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="5%" align=center><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="95%" align=left><FONT size=2 face=sans-serif>Andrew Arnott</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>President</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>Date:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>September 23, 2014</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>By:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>/s/ Charles A. Rizzo</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif><FONT size=2 face=sans-serif>________________</FONT></FONT></TD></TR>

<TR vAlign=bottom>

   <TD width="5%" align=center><FONT size=2 face=sans-serif></FONT></TD>

   <TD width="95%" align=left><FONT size=2 face=sans-serif>Charles A. Rizzo</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>Chief Financial Officer</FONT>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR>

   <TD width="100%" colSpan=2>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="5%" noWrap align=left><FONT size=2 face=sans-serif>Date:</FONT>&nbsp;</TD>

   <TD width="95%" noWrap align=left><FONT size=2 face=sans-serif>September 23, 2014</FONT>&nbsp;</TD></TR></TABLE></DIV>

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<TYPE>EX-99.CERT
<SEQUENCE>2
<FILENAME>b_tadividendincomecerts.htm
<DESCRIPTION>CERTIFICATION
<TEXT>

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<P style="TEXT-ALIGN: left"><B><U><FONT size=2 face=sans-serif>CERTIFICATION</FONT></U></B></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>I, Andrew Arnott, certify that:</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>1. I have reviewed this report on Form N-Q of John Hancock Tax-Advantaged Dividend Income Fund (the &#8220;registrant&#8221;);</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>4. The registrant&#8217;s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(c) Evaluated the effectiveness of the registrant&#8217;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(d) Disclosed in this report any change in the registrant&#8217;s internal control over financial reporting that occurred during the registrant&#8217;s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant&#8217;s internal control over financial reporting; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>5. The registrant&#8217;s other certifying officer and I have disclosed to the registrant&#8217;s auditors and the audit committee of the registrant&#8217;s board of directors (or persons performing the equivalent functions):</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant&#8217;s ability to record, process, summarize, and report financial information; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#8217;s internal control over financial reporting.</FONT></P>

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<TR vAlign=bottom>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>Date: </FONT><FONT size=2 face=sans-serif><U>September 23, 2014</U></FONT>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif><U>/s/ Andrew Arnott</U></FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="50%" noWrap align=left>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>Andrew Arnott</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="50%" noWrap align=left>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>President</FONT>&nbsp;</TD></TR></TABLE></DIV>

<P style="MARGIN: 0px">&nbsp;</P></DIV>

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<P style="TEXT-ALIGN: left"><B><U><FONT size=2 face=sans-serif>CERTIFICATION</FONT></U></B></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>I, Charles A. Rizzo, certify that:</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>1. I have reviewed this report on Form N-Q of John Hancock Tax-Advantaged Dividend Income Fund (the &#8220;registrant&#8221;);</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>4. The registrant&#8217;s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(c) Evaluated the effectiveness of the registrant&#8217;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(d) Disclosed in this report any change in the registrant&#8217;s internal control over financial reporting that occurred during the registrant&#8217;s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant&#8217;s internal control over financial reporting; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>5. The registrant&#8217;s other certifying officer and I have disclosed to the registrant&#8217;s auditors and the audit committee of the registrant&#8217;s board of directors (or persons performing the equivalent functions):</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant&#8217;s ability to record, process, summarize, and report financial information; and</FONT></P>

<P style="TEXT-ALIGN: left"><FONT size=2 face=sans-serif>(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#8217;s internal control over financial reporting.</FONT></P>

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<TABLE style="WIDTH: 80%" border=0 cellSpacing=0>



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   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>Date: </FONT><FONT size=2 face=sans-serif><U>September 23, 2014</U></FONT>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif><U>/s/ Charles A. Rizzo</U></FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="50%" noWrap align=left>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>Charles A. Rizzo</FONT>&nbsp;</TD></TR>

<TR vAlign=bottom>

   <TD width="50%" noWrap align=left>&nbsp;</TD>

   <TD width="50%" noWrap align=left><FONT size=2 face=sans-serif>Chief Financial Officer</FONT>&nbsp;</TD></TR></TABLE></DIV>

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end
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
