FUND DISTRIBUTIONS

Distribution Schedule

Month Ex Date Record Date Pay Date Amount
June 06/22/20 06/23/20 06/25/20 $0.140
May 05/20/20 05/21/20 05/26/20 $0.140
April 04/20/20 04/21/20 04/23/20 $0.140
March 03/20/20 03/23/20 03/25/20 $0.140
February 02/20/20 02/21/20 02/24/20 $0.140
January 01/21/20 01/22/20 01/24/20 $0.140
December 12/20/19 12/23/19 12/26/19 $0.140
November 11/20/19 11/21/19 11/25/19 $0.140
October 10/21/19 10/22/19 10/25/19 $0.140
September 9/20/19 9/23/19 9/25/19 $0.140
August 8/20/19 8/21/19 8/23/19 $0.140
July 7/22/19 7/23/19 7/26/19 $0.140
June 6/20/19 6/21/19 6/24/19 $0.140
May 5/20/19 5/21/19 5/24/19 $0.140
April 4/22/19 4/23/19 4/26/19 $0.140
March 3/10/19 3/21/19 3/25/19 $0.140
February 2/10/19 2/21/19 2/23/19 $0.140
January 1/22/19 1/23/19 1/25/19 $0.140
December 12/24/18 12/26/18 12/31/18 $0.047
December 12/20/18 12/21/18 12/26/18 $0.140
November 11/20/18 11/21/18 11/23/18 $0.140
October 10/22/18 10/23/18 10/25/18 $0.140
September 9/20/18 9/21/18 9/25/18 $0.140
August 8/20/18 8/21/18 8/23/18 $0.140
July 7/20/18 7/23/18 7/25/18 $0.140
June 6/20/18 6/21/18 6/25/18 $0.140
May 5/21/18 5/22/18 5/24/18 $0.140
April 4/20/18 4/23/18 4/25/18 $0.140
March 3/20/18 3/21/18 3/23/18 $0.140
February 2/10/18 2/21/18 2/23/18 $0.140
January 1/22/18 1/23/18 1/25/18 $0.140
December 12/26/17 12/27/17 12/29/17 $0.094
December 12/20/17 12/21/17 12/26/17 $0.140
November 11/20/17 11/21/17 11/24/17 $0.140
October 10/20/17 10/23/17 10/25/17 $0.140
September 9/20/17 9/21/17 9/22/17 $0.140
August 8/21/17 8/23/17 8/24/17 $0.140
July 7/20/17 7/24/17 7/25/17 $0.140
July 7/20/17 7/24/17 7/25/17 $0.140
June 6/20/17 6/22/17 6/23/17 $0.140
May 5/22/17 5/24/17 5/25/17 $0.137
April 4/19/17 4/24/17 4/24/17 $0.134

SABA CAPITAL MANAGEMENT, L.P.

405 LEXINGTON AVENUE
58TH FLOOR
NEW YORK, NY 10174

Distributed by Foreside Fund Services, LLC

Exchange Traded Concepts, LLC serves as the investment advisor. Saba Capital Management, L.P. serves as sub advisors to the fund and is responsible for all investment decisions. Foreside Funds Services, LLC serves as the distributor.

Carefully consider the Fund’s investment objectives, risk factors, charges and expenses before investing. This and additional information can be found in the Fund's prospectus, which may be obtained by visiting www.sabaETF.com. Investors should read it carefully before investing or sending money.

Investing involves risk, including possible loss of principal. Investments in foreign securities may involve risks such as social and political instability, market illiquidity, exchange-rate fluctuations, a high level of volatility and limited regulation. Because the Fund is a “fund of funds,” its investment performance largely depends on the investment performance of the Underlying Funds in which it invests, and the Fund is subject to the risks associated with the Underlying Funds. Leverage may increase the risk of loss and cause fluctuations in the market value of the Fund's portfolio to have disproportionately large effects or cause the NAV of the Fund generally to decline faster than it would otherwise. Derivatives may be more sensitive to changes in market conditions, amplifying risks. The Fund may engage in writing covered call options, which may limit its opportunity to profit from an increase in the price of the underlying stock above the exercise price, but continues to bear the risk of a decline in the stock. A liquid market may not exist for options held by the Fund. While the Fund receives premiums for writing the call options, the price it realizes from the exercise of an option could be substantially below a stock's current market price. High-yield bonds have a higher risk of default or other adverse credit events, but have the potential to pay higher earnings over investment grade bonds. The higher risk of default, or the inability of the creditor to repay its debt, is the primary reason for the higher interest rates on high -yield bonds. Diversification may not protect against market risk.

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