CMG Mauldin Profile

11.06
USD 0.02  0.18%
20%

CMG Mauldin Summary

CMG Mauldin Solutions Core A [GEFAX] is traded in USA and was established September 19, 2018. The fund is listed under World Large Stock category and is part of CMG family. CMG Mauldin Solutions Core A currently has accumulated 76.06 M in assets under management (AUM) with minimum initial investment of 5 K. , while the total return for the last 3 years was -0.18%.
Check CMG Mauldin Probability Of Bankruptcy

Instrument Allocation

Sector Allocation (%)

Top Fund Constituents

CMG Mauldin Target Price Odds Analysis

Odds Below 11.06HorizonTargetOdds Above 11.06
15.71%30 days 11.06 81.82%
Based on normal probability distribution, the odds of CMG Mauldin to move above current price in 30 days from now is about 81.82% (This CMG Mauldin Solutions Core A probability density function shows the probability of CMG Mauldin Fund to fall within a particular range of prices over 30 days) .

CMG Mauldin Solutions Risk Profiles

CMG Mauldin Key Fundamentals

CMG Mauldin Against Markets

CMG Mauldin Current Ratings

CMG Mauldin Solutions Core A 30 Days Performance Scores

Risk Adjusted
Performance Score (0 to 100)
0 
Chance of
Financial Distress (0 to 100%)
1 
Equity ratings for CMG Mauldin Solutions Core A are calculated dynamically based on Macroaxis scoring framework. Click here to learn more
The fund invests across various asset classes and sectors of the U.S., foreign and emerging markets equity and fixed income markets. CMG Mauldin is traded on NASDAQ Stock Exchange in USA. more
NameCMG Mauldin Solutions Core A
Macroaxis Advice
InstrumentUSA Fund View All
Business AddressCMG Capital Management Group, Inc.
ExchangeNASDAQ Stock Exchange
Fund FamilyCMG
Fund CategoryWorld Large Stock
BenchmarkDOW
Phone866 264 9456
CurrencyUSD - US Dollar
Beta In Three Year0.36
StartdateMarch 10, 2017
Please also check Risk vs Return Analysis. Please also try Instant Ratings module to determine any equity ratings based on digital recommendations. macroaxis instant equity ratings are based on combination of fundamental analysis and risk-adjusted market performance.
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