GPANX Fund Portfolio Allocation
General Overview
The fund seeks to achieve its investment objectives by allocating its assets among four independent, underlying strategies. Each strategy seeks to identify profitable opportunities across multiple, liquid foreign and domestic markets. The fund seeks to achieve its investment objective by implementing aggressive diversification across these markets, coupled with risk management and position hedging strategies, which allows the fund to seek positive returns while seeking to protect it from unnecessary market risk exposure.
Sector & Industry | Financial Services / Asset Management |
IPO date | January 3, 2014 |
GPANX Latest News
|
|
|
|
|
Other Identifiers | |
---|---|
CIK | 0001314414 |
ISIN | None |
CUSIP | None |
Open | 10.79 |
Previous Close | 10.8 |
Volume | 0 |
Average Volume | 0 |
Day’s Range | 10.79 – 10.79 |
52 Week Range | 10.1-11.02 |
MA (50) | 10.6074 |
MA (200) | 10.55405 |
Market Cap | 315.9 Mil. |
Shares Out. | 29.28 Mil. |
Earnings Date | |
Beta | |
Last Dividend | |
EPS | |
PE | |