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Aristotle Portfolio Optimization ModI-2 (POMDX)

11.07 +0.08 (+0.73%)
At close: April 26 at 8:00 PM EDT

Fund Summary

The fund is a "fund of funds" that seeks to achieve its investment goal by investing in a combination of underlying funds. The fund's exposure to debt is expected to be within 30%-50%; the fund's exposure to equity is expected to be within 50%-70%. It may invest a significant portion of its assets in any single underlying fund. The advisor expects to be as fully invested as practical, although it may maintain liquidity reserves to meet redemption requests.

Risk Overview

Morningstar Risk Rating
Best 1Y Total Return 20.68%
Worst 1Y Total Return --
Number of Years Up 8
Number of Years Down 3

Performance & Risk

YTD Return 1.67%
5y Average Return 5.66%
Rank in Category (ytd) 64
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.00
Morningstar Risk Rating

Risk Statistics

3 Years5 Years10 Years
POMDXCategory AveragePOMDXCategory AveragePOMDXCategory Average
Alpha -0.54 -0.01 0.07 -0.01 -0.3 -0
BETA 1 0.01 1.07 0.01 1.08 0.01
Mean Annual Return 0.24 0.01 0.62 0.01 0.53 0.01
R-squared 97.28 0.93 97.35 0.92 97.18 0.92
Standard Deviation 12.66 0.13 13.37 0.1 10.82 0.09
Sharpe Ratio -0.01 0.01 0.39 0.01 0.45 0.01
Treynor Ratio -0.91 0.09 4.26 0.09 4.08 0.07

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