CARMX Fund Portfolio Allocation
General Overview
The investment seeks capital appreciation and current income. Under normal circumstances, the fund will gain exposure to equity securities, rate assets, spread assets and inflation-hedging assets by investing in affiliated and unaffiliated funds. Under normal circumstances, the Investment Manager expects that approximately 80% of each fund's net assets will be invested in Columbia Solutions Aggressive Portfolio and Columbia Solutions Conservative Portfolio, two mutual funds managed by the Investment Manager through which the advisor expects to gain the desired amount of leverage regarding each of the asset categories.
Sector & Industry | Financial Services / Asset Management |
IPO date | October 26, 2017 |
CARMX Latest News
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Other Identifiers | |
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CIK | 0000773757 |
ISIN | None |
CUSIP | None |
Open | 7.91 |
Previous Close | 7.91 |
Volume | 0 |
Average Volume | 0 |
Day’s Range | 7.91 – 7.91 |
52 Week Range | 7.9088-8.81 |
MA (50) | 8.389176 |
MA (200) | 8.512744 |
Market Cap | 1.53 Mil. |
Shares Out. | 193.9 Thou. |
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