iMGP Low Duration Income Fund Institutional Class MAHIX Strategy
Strategy
The investment seeks to achieve long-term returns with lower risk and lower volatility than the stock market, and with relatively low correlation to stock and bond market indexes; high level of current income is a secondary consideration. The fund invests in a mix of strategies that the advisor believes offer risk-return characteristics that are attractive individually and even more compelling collectively. Under normal market conditions, the advisor does not expect to invest more than 25% of its total assets in emerging market securities the advisor defines an emerging market country as any country that is included in the MSCI Emerging Markets Index.
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MAHIX
| iMGP Low Duration Income Fund Institutional Class | Institutional | Open | $233.22M | 0.980% | Average | $10,000 | −$148.03M |