The Fund seeks high appreciation on an annual basis consistent with a high tolerance for risk.
Active asset allocation strategy designed to overweight portfolio investments into the top-performing asset classes while eliminating exposure to under-performing assets.
|TOTAL RETURNS||QTR||YTD||1 YEAR||3 YEARS||5 YEARS||SINCE
|Inception Date||August 09, 2013|
|Net Assets||$259.08 Million|
|Expense Ratio||1.50% Investor Class • 2.10% Advisor Class|