

Cornerstone Strategic Investment Fund vs Kayne Anderson Energy Infrastructure Fund
This page compares Cornerstone Strategic Investment Fund (Cornerstone Strategic Value Fund Inc) and Kayne Anderson Energy Infrastructure Fund (Kayne Anderson MLP/Midstream Investment Company). It covers their business models, financial performance indicators, and the market context in which they operate. Educational content, not financial advice.
This page compares Cornerstone Strategic Investment Fund (Cornerstone Strategic Value Fund Inc) and Kayne Anderson Energy Infrastructure Fund (Kayne Anderson MLP/Midstream Investment Company). It cove...
Investment Analysis
Pros
- Diversified global equity portfolio with 234 positions including top tech companies like Apple, Microsoft, NVIDIA, Amazon, and Alphabet.
- Long track record since 1987, managed by experienced investment managers with a focus on companies demonstrating fundamental value and growth prospects.
- Investment objective seeks long-term capital appreciation through value and growth equity securities across multiple sectors.
Considerations
- Closed-end fund structure may lead to shares trading at a discount or premium to net asset value, adding valuation risk.
- Limited transparency on cash holdings and exact asset allocation outside disclosed top positions.
- Relatively high portfolio concentration in large-cap technology stocks may expose the fund to sector-specific volatility.
Pros
- Specialized focus on North American energy infrastructure delivering exposure to midstream, natural gas, LNG, and power infrastructure companies.
- Strong cash flow profiles underpinned by long-term contracts and favorable demand trends in energy and power sectors.
- Attractive monthly cash distributions with simplified tax reporting (single Form 1099) and no UBTI complications.
Considerations
- Highly concentrated sector exposure to energy infrastructure increases vulnerability to commodity price fluctuations and regulatory risks.
- Relatively high expense ratio above 5%, which can impact net returns over time.
- Share price volatility linked to energy market cycles with a beta close to 1, reflecting sensitivity to market movements.
Buy CLM or KYN in Nemo
Zero Commission
Trade stocks, ETFs, and more with zero commission. Keep more of your returns.
Trusted & Regulated
Part of Exinity Group 2015, serving over a million customers globally.
6% Interest on Cash
Earn 6% AER on uninvested cash with daily interest payments.
Discover More Comparisons


Cornerstone Strategic Investment Fund vs Banner
Cornerstone Strategic Investment Fund vs Banner


Cornerstone Strategic Investment Fund vs Hilltop Holdings
Cornerstone Strategic Investment Fund vs Hilltop Holdings


Cornerstone Strategic Investment Fund vs Stock Yards Bancorp
Cornerstone Strategic Investment Fund vs Stock Yards Bancorp