Guggenheim Series Trust Managed Futures Strategy Fund Class A RYMTX Strategy
Strategy
The investment seeks to achieve absolute returns. The advisor intends to invest in multiple proprietary and third-party investment strategies that seek to identify and profit from upcoming movements in any combination of global fixed income, currency, commodity, or equity markets. It will invest at least 80% of its net assets, plus any borrowings for investment purposes, in "managed futures." It also may invest up to 25% of its assets in municipal securities. The fund may invest up to 25% of its total assets in a wholly-owned and controlled Cayman Islands subsidiary as measured at the end of every quarter of its taxable year.
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Ticker
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Name
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Share Class Type
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Investment Status
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Morningstar Rating for Funds
Overall
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Medalist Rating
Overall
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Inception Date
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Total Net Assets for Share Class
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Adjusted Expense Ratio
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Fee Level
Distribution
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Minimum Initial Investment
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1-Year Net Flow
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RYMFX
| Guggenheim Managed Futures Strategy Fund Class P | No Load | Open | — | $11.94M | 1.990% | High | $0 | $6.17M | ||
RYIFX
| Guggenheim Series Trust Managed Futures Strategy Fund Class I | Institutional | Open | — | $15.12M | 1.720% | Above Average | $2M | $1.01M | ||
RYMTX
| Guggenheim Series Trust Managed Futures Strategy Fund Class A | Front Load | Open | — | $4.28M | 2.000% | Above Average | $2,500 | −$720,123.91 | ||
RYMZX
| Guggenheim Series Trust Managed Futures Strategy Fund Class C | Level Load | Open | — | $617,323.00 | 2.740% | Above Average | $2,500 | −$370,112.59 |