This portfolio actively allocates across a range of actively-managed equity, fixed income and alternative asset classes while providing opportunity for higher returns and lower volatility through the benefits of diversification.
|NAV (As of 3/24/17)||$11.63|
|Total Net Assets (As of 2/28/17)||$6.86M|
|Annual Expense Ratio |
(As of fiscal year end 12/31/15)
|Performance (As of 12/31/16)||@CDSC|
|Morningstar (As of 2/28/17)|
|Category||US Fund World Allocation|