NAV as of Mar 27, 2024
$19.41
52 WK: 16.57 - 19.42
1 Day NAV Change as of Mar 27, 2024
0.06
(0.31%)
NAV Total Return as of Mar 27, 2024
YTD:
5.26%
Morningstar Rating
4 stars
GOLD
Overview
About this Fund
1. Unconstrained in search of opportunity 2. One of the most well-resourced multi-asset teams 3. Seeks returns competitive with global stocks with less volatility
Investment Approach
The Fund seeks to provide high total investment return through a fully managed investment policy utilizing U.S. and foreign equity, debt and money market securities, the combination of which will be varied from time to time both with respect to types of securities and markets in response to changing market and economic trends.