* As of 30-Apr-15
Quotes delayed, except where indicated otherwise. Currency in USD.
|Symbol||% Assets||YTD Return %|
|Guggenheim Strategy I||6.75||17.02|
|Morningstar Overall Rating:|
|Annual Report Expense Ratio (net):||1.78%|
Performance & Risk
|5y Avg Return:||19.35%|
|Rank in Category (ytd):|
|% Rank in Category (ytd):||N/A|
|Morningstar Risk Rating:||5|
The investment seeks to provide investment results that match, before fees and expenses, 150% of the performance of the S&P 500® Index on a daily basis.
The fund employs as its investment strategy a program of investing in the common stock of companies that are generally within the capitalization range of the underlying index and leveraged derivative instruments, which primarily consist of equity index swap agreements, futures contracts, and options on securities, futures contracts, and stock indices. It may hold U.S. government securities or cash equivalents to collateralize its derivative positions. The fund is non-diversified. View More