WORKING WITH THE BEST VENDORS
NAV as of Feb. 28, 2025
Reach out to get your questions answered and any additional literature you may need.
52 WK: 6.47 - 5.72
1 Month NAV change as of Feb. 28, 20251
NAV total return as of Feb. 28, 20251
The fund has the ability to go long or short, use derivatives, and consider investments across North America, Europe, or Asia when appropriate.
The Fund’s investment objective is to provide the fund with absolute returns by investing opportunistically in single stocks globally, fixed income, ETFs, commodities and other futures, options, derivatives, and other assets classes, and may use short-selling or leverage, as well as the use of private securities for yield, hedging, and derivative investments.
NAV as of Feb. 28, 2025
52 WK: 6.47 - 5.72
1 Month NAV change as of Feb. 28, 20251
NAV total return as of Feb. 28, 20251
The fund has the ability to go long or short, use derivatives, and consider investments across North America, Europe, or Asia when appropriate.
The Fund’s investment objective is to provide the fund with absolute returns by investing opportunistically in single stocks globally, fixed income, ETFs, commodities and other futures, options, derivatives, and other assets classes, and may use short-selling or leverage, as well as the use of private securities for yield, hedging, and derivative investments.
Performance
Overview
Key facts
Exposure
Fees
Risk indicator
Reach out to get your questions answered and any additional literature you may need.
1 Based on total returns inclusive of distribution
2 Since August 2018
2 Since August 2018
1 Based on total returns inclusive of distribution.