form430.htm -- Converted by SEC Publisher, created by BCL Technologies Inc., for SEC Filing

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT
INVESTMENT COMPANY

Dreyfus High Yield Strategies Fund
(Exact name of Registrant as specified in charter)

c/o The Dreyfus Corporation
200 Park Avenue
New York, New York 10166
(Address of principal executive offices) (Zip code)

Michael A. Rosenberg, Esq.
200 Park Avenue
New York, New York 10166
(Name and address of agent for service)

Registrant's telephone number, including area code:  (212) 922-6000 

Date of fiscal year end:  03/31 
Date of reporting period:  12/31/08 

Investment Company Act file number  811-8703 


FORM N-Q

Item 1.  Schedule of Investments. 


STATEMENT OF INVESTMENTS         
Dreyfus High Yield Strategies Fund           
December 31, 2008 (Unaudited)           
 
  Coupon  Maturity  Principal    
Bonds and Notes--136.3%  Rate (%)  Date  Amount ($)   Value ($) 
Advertising--2.1%           
Lamar Media,           
       Gtd. Notes, Ser. B  6.63  8/15/15  570,000 a  414,675 
Lamar Media,           
       Gtd. Notes  6.63  8/15/15  4,580,000 a  3,331,950 
R.H. Donnelley,           
       Sr. Unscd. Notes, Ser. A-4  8.88  10/15/17  2,375,000 a  368,125 
          4,114,750 
Aerospace & Defense--.8%           
L-3 Communications,           
       Gtd. Notes  7.63  6/15/12  1,590,000 a  1,558,200 
Automobile Manufacturers--.2%           
Ford Motor,  4.17  12/16/13  1,000,000   399,720 
Automotive, Trucks & Parts--1.2%           
Goodyear Tire & Rubber,           
       Gtd. Notes  8.63  12/1/11  488,000 a  407,480 
Goodyear Tire & Rubber,           
       Gtd. Notes  9.00  7/1/15  1,486,000 a  1,203,660 
United Components,           
       Gtd. Notes  9.38  6/15/13  1,925,000 a  818,125 
          2,429,265 
Banks--1.4%           
Chevy Chase Bank,           
       Sub. Notes  6.88  12/1/13  3,316,000 a  2,673,525 
Casinos & Gaming--.8%           
Pinnacle Entertainment,           
       Gtd. Notes  8.75  10/1/13  1,295,000 a  1,029,525 
Shingle Springs Tribal Group,           
       Sr. Notes  9.38  6/15/15  1,100,000 a,b  555,500 
          1,585,025 
Chemicals--1.4%           


Huntsman International,           
       Gtd. Notes  7.88  11/15/14  795,000 a  429,300 
Huntsman,           
       Scd. Notes  11.63  10/15/10  909,000 a  797,647 
Nalco,           
       Gtd. Notes  8.88  11/15/13  1,783,000 a  1,515,550 
          2,742,497 
Commercial & Professional Services--1.8%           
Education Management,           
       Gtd. Notes  8.75  6/1/14  1,100,000 a  841,500 
Education Management,           
       Gtd. Notes  10.25  6/1/16  2,095,000 a  1,529,350 
Ipayment,           
       Gtd. Notes  9.75  5/15/14  2,150,000 a  1,085,750 
          3,456,600 
Commercial Mortgage Pass-Through Ctfs.--.4%         
Global Signal Trust,           
       Ser. 2006-1, Cl. F  7.04  2/15/36  1,210,000 a,b  795,442 
Diversified Financial Services--15.9%           
Dow Jones CDX,           
       Pass Thrus Certificates,           
       Ser. 4-T1  8.25  6/29/10  7,337,640 a,b,c   7,062,478 
Ford Motor Credit,           
       Sr. Unscd. Notes  7.38  10/28/09  7,880,000 a  6,921,619 
Ford Motor Credit,           
       Sr. Unscd. Notes  8.00  12/15/16  950,000 a  619,587 
Ford Motor Credit,           
       Sr. Unscd. Notes  8.63  11/1/10  1,650,000 a  1,249,570 
Hawker Beechcraft Acquisition,           
       Gtd. Notes  9.75  4/1/17  3,155,000 a  867,625 
HUB International Holdings,           
       Sr. Sub. Notes  10.25  6/15/15  2,725,000 a,b  1,216,031 
Leucadia National,           
       Sr. Unscd. Notes  7.00  8/15/13  1,155,000 a  924,000 
Leucadia National,           
       Sr. Unscd. Notes  7.13  3/15/17  1,380,000 a  1,031,550 
LVB Acquisition,           


       Gtd. Notes  11.63  10/15/17  10,674,000 a  9,179,640 
Smurfit Kappa Funding,           
       Sr. Sub. Notes  7.75  4/1/15  1,606,000 a  883,300 
Stena,           
       Sr. Unscd. Notes  7.50  11/1/13  1,170,000 a  779,512 
UCI Holdco,           
       Sr. Unscd. Notes  10.00  12/15/13  739,413 a,d  129,397 
          30,864,309 
Diversified Metals & Mining--2.2%           
CSN Islands IX,           
       Gtd. Notes  10.00  1/15/15  1,315,000 a,b,d   1,308,425 
Freeport-McMoRan Cooper & Gold,           
       Sr. Unscd. Notes  8.25  4/1/15  2,599,000 a  2,211,697 
Steel Dynamics,           
       Gtd. Notes  7.38  11/1/12  1,010,000 a  742,350 
          4,262,472 
Electric Utilities--21.5%           
AES,           
       Sr. Unscd. Notes  7.75  10/15/15  5,355,000 a  4,524,975 
AES,           
       Sr. Unscd. Notes  8.00  10/15/17  425,000 a  350,625 
Allegheny Energy Supply,           
       Sr. Unscd. Bonds  8.25  4/15/12  5,650,000 a,b,d   5,593,500 
Edison Mission Energy,           
       Sr. Unscd. Notes  7.00  5/15/17  505,000 a  441,875 
Edison Mission Energy,           
       Sr. Unscd. Notes  7.50  6/15/13  5,320,000 a  4,894,400 
Energy Future Holdings,           
       Gtd. Notes  10.88  11/1/17  13,495,000 a,b  9,648,925 
Mirant Americas Generation,           
       Sr. Unscd. Notes  8.30  5/1/11  2,975,000 a  2,900,625 
Mirant North America,           
       Gtd. Notes  7.38  12/31/13  2,735,000 a  2,639,275 
NRG Energy,           
       Gtd. Notes  7.25  2/1/14  1,175,000 a  1,101,563 
NRG Energy,           
       Gtd. Notes  7.38  1/15/17  1,765,000 a  1,628,213 


Orion Power Holdings,           
       Sr. Unscd. Notes  12.00  5/1/10  1,395,000 a  1,401,975 
Reliant Energy,           
       Sr. Unscd. Notes  7.63  6/15/14  2,045,000 a  1,707,575 
Sierra Pacific Resources,           
       Sr. Unscd. Notes  8.63  3/15/14  3,467,000 a  3,143,102 
Sprint Capital,           
       Gtd. Notes  6.88  11/15/28  2,275,000 a  1,356,373 
Steel Dynamics,           
       Sr. Unscd. Notes  7.75  4/15/16  755,000 b  526,613 
          41,859,614 
Environmental Control--.4%           
WCA Waste,           
       Gtd. Notes  9.25  6/15/14  1,070,000 a  797,150 
Food & Beverages--2.7%           
Constellation Brands,           
       Gtd. Notes  7.25  9/1/16  365,000 a  346,750 
Dean Foods,           
       Gtd. Notes  7.00  6/1/16  2,340,000 a  2,000,700 
Smithfield Foods,           
       Sr. Unscd. Notes, Ser. B  7.75  5/15/13  605,000 a  391,738 
Stater Brothers Holdings,           
       Gtd. Notes  8.13  6/15/12  2,793,000 a  2,541,630 
          5,280,818 
Health Care--13.4%           
Bausch & Lomb,           
       Sr. Unscd. Notes  9.88  11/1/15  5,875,000 a,b  4,420,938 
Community Health Systems,           
       Gtd. Notes  8.88  7/15/15  3,980,000 a  3,681,500 
DaVita,           
       Gtd. Notes  7.25  3/15/15  1,720,000 a  1,642,600 
Hanger Orthopedic Group,           
       Gtd. Notes  10.25  6/1/14  845,000 a  760,500 
HCA,           
       Sr. Unscd. Notes  6.30  10/1/12  4,160,000 a  2,953,600 
HCA,           
       Notes  9.00  12/15/14  4,000,000 a  2,583,380 


HCA,           
       Sr. Scd. Notes  9.13  11/15/14  1,695,000 a  1,576,350 
HCA,           
       Sr. Scd. Notes  9.25  11/15/16  7,320,000 a  6,734,400 
Tenet Healthcare,           
       Sr. Unscd. Notes  9.88  7/1/14  2,000,000 a  1,620,000 
          25,973,268 
Lodging & Entertainment--5.8%           
Boyd Gaming,           
       Sr. Sub. Notes  7.75  12/15/12  1,180,000 a  1,067,900 
Cinemark,           
       Sr. Discount Notes  9.75  3/15/14  3,300,000 a,e  2,685,375 
Gaylord Entertainment,           
       Gtd. Notes  8.00  11/15/13  1,100,000 a  764,500 
Isle of Capri Casinos,           
       Gtd. Notes  7.00  3/1/14  2,790,000 a  1,199,700 
Mandalay Resort Group,           
       Gtd. Notes  9.38  2/15/10  4,000,000 a  2,940,000 
Marquee Holdings,           
       Sr. Discount Notes  12.00  8/15/14  923,000 a,d  475,345 
MGM Mirage,           
       Gtd. Notes  8.38  2/1/11  896,000 a  537,600 
Pokagon Gaming Authority,           
       Sr. Notes  10.38  6/15/14  1,856,000 a,b  1,605,440 
Scientific Games,           
       Gtd. Notes  6.25  12/15/12  91,000 a  73,710 
          11,349,570 
Machinery--3.0%           
Case New Holland,           
       Gtd. Notes  7.13  3/1/14  1,825,000 a  1,304,875 
Case,           
       Sr. Unscd. Notes  7.25  1/15/16  1,005,000 a  703,500 
Columbus McKinnon,           
       Gtd. Notes  8.88  11/1/13  481,000 a  406,445 
Douglas Dynamics,           
       Gtd. Notes  7.75  1/15/12  1,285,000 a,b  674,625 
Terex,           


       Gtd. Notes  7.38  1/15/14  3,170,000 a  2,773,750 
          5,863,195 
Manufacturing--3.0%           
Bombardier,           
       Sr. Unscd. Notes  6.30  5/1/14  2,200,000 a,b  1,820,500 
Bombardier,           
       Sr. Unscd. Notes  8.00  11/15/14  675,000 a,b  597,375 
Mueller Water Products,           
       Gtd. Notes  7.38  6/1/17  1,300,000 a  890,500 
RBS Global & Rexnord,           
       Gtd. Notes  9.50  8/1/14  2,165,000 a  1,623,750 
RBS Global & Rexnord,           
       Gtd. Notes  11.75  8/1/16  1,440,000 a  824,400 
          5,756,525 
Media--17.3%           
Cablevision Systems,           
       Sr. Unscd. Notes, Ser. B  8.00  4/15/12  4,837,000 a,d  4,329,115 
CCH I,           
       Gtd. Notes  11.75  5/15/14  1,970,000 d  110,812 
CCH II,           
       Sr. Unscd. Notes  10.25  9/15/10  8,800,000 a  4,092,000 
CCH II,           
       Gtd. Notes  10.25  10/1/13  1,730,000 a  631,450 
Clear Channel Communication,           
       Sr. Unscd. Notes  10.75  8/1/16  1,075,000 a,b  225,750 
CSC Holdings,           
       Sr. Unscd. Notes  7.63  7/15/18  890,000   698,650 
CSC Holdings,           
       Sr. Unscd. Notes, Ser. B  8.13  7/15/09  4,650,000 a  4,638,375 
Dex Media West/Finance,           
       Sr. Unscd. Notes, Ser. B  8.50  8/15/10  720,000 a  439,200 
Dex Media West/Finance,           
       Sr. Sub. Notes, Ser. B  9.88  8/15/13  5,720,000 a  1,372,800 
DirecTV Holdings Financing,           
       Gtd. Notes  7.63  5/15/16  1,865,000   1,818,375 
Echostar DBS,           
       Gtd. Notes  6.63  10/1/14  1,175,000 a  984,062 


Echostar DBS,           
       Gtd. Notes  7.13  2/1/16  6,245,000 a  5,245,800 
General Cable,           
       Gtd. Notes  7.13  4/1/17  1,990,000 a  1,323,350 
ION Media Networks,           
       Sr. Sub. Notes, Ser. A  11.00  7/31/13  31,028 a  217 
ION Media Networks,           
       Sr. Sub. Notes  11.00  7/31/13  33,232 a,b  233 
Kabel Deutschland,           
       Sr. Scd. Notes  10.63  7/1/14  2,093,000 a  1,873,235 
LBI Media,           
       Sr. Sub. Notes  8.50  8/1/17  1,930,000 a,b  685,150 
Mediacom,           
       Sr. Unscd. Notes  9.50  1/15/13  5,865,000 a  4,457,400 
Nexstar Broadcasting,           
       Gtd. Notes  7.00  1/15/14  180,000 a  78,525 
Nexstar Finance Holdings,           
       Sr. Discount Notes  11.38  4/1/13  1,434,961 a,d  626,002 
          33,630,501 
Oil & Gas--8.4%           
ANR Pipeline,           
       Sr. Unscd. Notes  7.00  6/1/25  110,000 a  110,502 
Chesapeake Energy,           
       Gtd. Notes  7.00  8/15/14  2,490,000 a  2,079,150 
Chesapeake Energy,           
       Gtd. Notes  7.25  12/15/18  725,000 a  569,125 
Chesapeake Energy,           
       Gtd. Notes  7.50  9/15/13  920,000 a  795,800 
Chesapeake Energy,           
       Gtd. Notes  7.50  6/15/14  385,000 a  327,250 
Cimarex Energy,           
       Gtd. Notes  7.13  5/1/17  2,375,000 a  1,864,375 
Dynegy Holdings,           
       Sr. Unscd. Notes  8.38  5/1/16  3,845,000 a  2,749,175 
Dynegy Holdings,           
       Sr. Unscd. Notes  8.75  2/15/12  280,000 a  247,800 
El Paso,           


       Sr. Unscd. Notes  7.00  6/15/17  1,295,000   1,019,948 
El Paso,           
       Sr. Unscd. Notes  12.00  12/12/13  1,935,000   1,905,975 
Newfield Exploration,           
       Sr. Sub. Notes  6.63  4/15/16  1,105,000 a  884,000 
PetroHawk Energy,           
       Gtd. Notes  9.13  7/15/13  2,005,000 a  1,634,075 
Range Resources,           
       Gtd. Notes  7.25  5/1/18  890,000 a  747,600 
Range Resources,           
       Gtd. Notes  7.50  10/1/17  800,000 a  684,000 
SouthWestern Energy,           
       Sr. Notes  7.50  2/1/18  370,000 b  325,600 
Williams Cos.,           
       Sr. Unscd. Notes  7.63  7/15/19  500,000 a  391,270 
          16,335,645 
Packaging & Containers--4.5%           
Crown Americas,           
       Gtd. Notes  7.75  11/15/15  3,925,000 a  3,925,000 
Norampac,           
       Gtd. Notes  6.75  6/1/13  3,554,000 a  1,617,070 
Owens Brockway Glass Container,           
       Gtd. Notes  8.25  5/15/13  450,000 a  445,500 
Plastipak Holdings,           
       Sr. Notes  8.50  12/15/15  2,590,000 a,b  1,748,250 
Smurfit-Stone Container,           
       Sr. Unscd. Notes  8.00  3/15/17  3,265,000 a  636,675 
Smurfit-Stone Container,           
       Sr. Unscd. Notes  8.38  7/1/12  2,100,000 a  357,000 
          8,729,495 
Paper & Forest Products--3.8%           
Georgia-Pacific,           
       Gtd. Notes  7.00  1/15/15  3,600,000 a,b  3,078,000 
NewPage,           
       Gtd. Notes  12.00  5/1/13  4,900,000 a  1,421,000 
Rock-Tenn,           
       Gtd. Notes  9.25  3/15/16  1,350,000 a,b  1,262,250 


Verso Paper Holdings,           
       Gtd. Notes, Ser. B  11.38  8/1/16  5,355,000 a  1,633,275 
          7,394,525 
Real Estate Investment Trusts--.6%           
Host Hotels & Resorts,           
       Sr. Scd. Notes, Ser. M  7.00  8/15/12  550,000 a  468,875 
Host Hotels & Resorts,           
       Sr. Scd. Notes  7.13  11/1/13  900,000 a  729,000 
          1,197,875 
Retail--1.4%           
Amerigas Partners,           
       Sr. Unscd. Notes  7.25  5/20/15  1,600,000 a  1,312,000 
Neiman Marcus Group,           
       Gtd. Notes  10.38  10/15/15  1,208,000 a  525,480 
Rite Aid,           
       Sr. Scd. Notes  10.38  7/15/16  1,080,000 a  799,200 
          2,636,680 
Technology--5.6%           
Amkor Technologies,           
       Sr. Notes  9.25  6/1/16  1,455,000 a  851,175 
Ceridian,           
       Sr. Unscd. Notes  11.50  11/15/15  10,320,000 a,b  5,508,300 
First Data,           
       Gtd. Notes  9.88  9/24/15  2,205,000 a  1,345,050 
Sungard Data Systems,           
       Gtd. Notes  9.13  8/15/13  1,000 a  870 
Sungard Data Systems,           
       Gtd. Notes  10.25  8/15/15  4,724,000 a  3,141,460 
          10,846,855 
Telecommunications--14.1%           
Belden,           
       Gtd. Notes  7.00  3/15/17  700,000 a  528,500 
Centennial Cellular Operating,           
       Gtd. Notes  10.13  6/15/13  3,145,000 a  3,192,175 
Centennial Communications,           
       Sr. Unscd. Notes  8.13  2/1/14  940,000 a,d  958,800 
Centennial Communications,           


       Sr. Unscd. Notes    10.00  1/1/13  3,754,000 a  3,904,160 
Digicel Group,             
       Sr. Unscd. Notes    8.88  1/15/15  2,265,000 a,b  1,483,575 
Digicel Group,             
       Sr. Unscd. Notes    9.13  1/15/15  2,439,000 a,b  1,548,765 
Inmarsat Finance II,             
       Gtd. Notes    10.38  11/15/12  275,000 d  245,094 
Inmarsat Finance,             
       Sr. Scd. Notes    7.63  6/30/12  632,000   553,790 
Intelsat Jackson Holdings,             
       Gtd. Notes    11.25  6/15/16  7,255,000   6,638,325 
Intelsat,             
       Sr. Unscd. Notes    6.50  11/1/13  6,365,000   3,596,225 
Intelsat,             
       Sr. Unscd. Notes    7.63  4/15/12  3,395,000 a  2,291,625 
Nordic Telephone Holdings,             
       Sr. Scd. Notes  EUR  8.25  5/1/16  1,450,000 b,f  1,350,431 
Nordic Telephone Holdings,             
       Sr. Scd. Bonds    8.88  5/1/16  415,000 a,b  292,575 
Nortel Networks,             
       Gtd. Notes    10.75  7/15/16  900,000 a  243,000 
Wind Acquisition Finance,             
       Sr. Scd. Bonds    10.75  12/1/15  575,000 a,b  497,375 
            27,324,415 
Textiles & Apparel--2.2%             
Invista,             
       Sr. Unscd. Notes    9.25  5/1/12  4,405,000 a,b  3,105,525 
Levi Strauss & Co.,             
       Sr. Unscd. Notes    9.75  1/15/15  1,580,000 a  1,177,100 
            4,282,625 
Utilities - Gas--.4%             
Ferrellgas,             
       Sr. Unscd. Notes    6.75  5/1/14  1,170,000   813,150 
Total Bonds and Notes             
       (cost $354,317,039)            264,953,711 
 
Preferred Stocks--.1%             


Media         
Spanish Broadcasting System,         
       Ser. B, Cum. $107.5         
       (cost $2,256,546)  2,182 a  152,763  
 
Common Stocks--.0%         
Cable & Media--.0%         
Time Warner Cable, Cl. A  6 a,g  129  
Electric Utilities--.0%         
Mirant  1,912 a,g  36,079  
Total Common Stocks         
       (cost $79,123)      36,208  
 
Other Investment--.9%         
Registered Investment Company;         
Dreyfus Institutional Preferred         
       Plus Money Market Fund         
       (cost $1,744,000)  1,744,000 h  1,744,000  
Total Investments (cost $358,396,708)  137.3 %  266,886,682  
Liabilities, Less Cash and Receivables  (37.3 %)  (72,501,803 ) 
Net Assets  100.0 %  194,384,879  

a     

Collateral for Revolving Credit and Security Agreement.

b     

Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2008, these securities amounted to $56,937,571 or 29.3% of net assets.

c     

Security linked to a portfolio of debt securities.

d     

Variable rate security--interest rate subject to periodic change.

e     

Zero coupon until a specified date at which time the stated coupon rate becomes effective until maturity.

f     

Principal amount stated in U.S. Dollars unless otherwise noted. EUR--Euro

g     

Non-income producing security.

h     

Investment in affiliated money market mutual fund.

At December 31, 2008, the aggregate cost of investment securities for income tax purposes was $358,396,708. Net unrealized depreciation on investments was $91,510,026 of which $1,430,041 related to appreciated investment securities and $92,940,067 related to depreciated investment securities.


Securities valuation policies and other investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the Securities and Exchange Commission on Form N-CSR.


At December 31, 2008, the fund held the following foreign currency exchange contracts:

        Unrealized  
  Foreign      Appreciation/  
Foreign Currency  Currency      (Depreciation)  
Exchange Contracts  Amount  Proceeds ($)  Value ($)  at 12/31/2008 ($) 
Sell           
Euro, expiring 1/16/2009  1,570,000  2,022,239  2,180,672  (158,433 ) 


Various inputs are used in determining the value of the fund's investments relating to Financial Accounting Standard No. 157 (FAS 157), Fair Value Measurements.

These inputs are summarized in the three broad levels listed below. Level 1 - quoted prices in active markets for identical securities.

Level 2 - other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.) Level 3 - significant unobservable inputs (including fund's own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

The following is a summary of the inputs used as of December 31, 2008 in valuing the fund's investments carried at fair value:

                                                       Valuation Inputs  Investments in Securities ($)  Other Financial Instruments* ($)     
Level 1 - Quoted Prices  1,780,208       
Level 2 - Other Significant Observable Inputs  265,106,474    (158,433 ) 
Level 3 - Significant Unobservable Inputs  0    0  
Total  266,886,682    (158,433 ) 

*Other financial instruments include derivative instruments, such as futures, forward currency exchange contracts and swap contracts, which are valued at the unrealized appreciation (depreciation) on the instrument.


Item 2.  Controls and Procedures. 

(a) The Registrant's principal executive and principal financial officers have concluded, based on their evaluation of the Registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrant's disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-Q is accumulated and communicated to the Registrant's management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure.

(b) There were no changes to the Registrant's internal control over financial reporting that occurred during the Registrant's most recently ended fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting.

Item 3.  Exhibits. 

(a) Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940.


SIGNATURES

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.

Dreyfus High Yield Strategies Fund

By:  /s/ J. David Officer 
  J. David Officer 
President
 
Date:  February 23, 2009 

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.

By:  /s/ J. David Officer 
  J. David Officer 
President
 
Date:  February 23, 2009 
 
By:  /s/ James Windels 
  James Windels 
Treasurer
 
Date:  February 23, 2009 

EXHIBIT INDEX

(a) Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940. (EX-99.CERT)