BCSAX Fund Portfolio Allocation
General Overview
The adviser utilizes two strategies and under normal circumstances expects to invest approximately 50% of its total assets in each strategy. One strategy focuses on investments in commodity-linked derivatives. To meet coverage and collateral requirements associated with these derivative investments, and to invest excess cash, the fund holds a portion of its portfolio in investment-grade short-term fixed-income securities. The other strategy focuses on equity investments in commodity-related companies, including, but not limited to, companies operating in the mining, energy and agricultural sectors.
Sector & Industry | / |
IPO date | October 4, 2011 |
BCSAX Latest News
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Other Identifiers | |
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CIK | 0000844779 |
ISIN | None |
CUSIP | None |
Open | 9.34 |
Previous Close | 9.34 |
Volume | 0 |
Average Volume | 0 |
Day’s Range | 9.34 – 9.34 |
52 Week Range | 8.08-9.41 |
MA (50) | 9.0412 |
MA (200) | 8.7573 |
Market Cap | 635.5 Mil. |
Shares Out. | 68.04 Mil. |
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