NAV as of Apr 16, 2024
$13.81
52 WK: 11.74 - 13.84
1 Day NAV Change as of Apr 16, 2024
-0.03
(-0.22%)
NAV Total Return as of Apr 17, 2024
YTD:
11.04%
NEUTRAL
Overview
About this Fund
1. Institutional quality market neutral strategy with low correlation to broad asset classes
2. Technology-driven approach provides scale to analyze thousands of global equities
3. Targets consistent returns independent of market direction
Investment Approach
The Global Equity Market Neutral Fund is a market neutral strategy which seeks true diversification and consistent returns through innovation and a technology-driven investment process.