The current investor indifference towards the small price fluctuations of Russell Multi Asset may raise some interest from investors. The Fund closed today at a share price of 0.0 on 0 in trading volume. The fund managers did not add any value to Russell Multi investors in April. However, most investors can still diversify their portfolios with Russell Multi Asset to hedge your portfolio against high-volatility market scenarios. The fund standard deviation of daily returns for 30 days (very short) investing horizon is currently 0.0. The very small Fund volatility is a good signal to investors with longer term investment horizons. This diagnostics interface makes it easy to digest most current publicly released information about Russell Multi as well as get updates on important government artifacts including earning estimates, SEC corporate filings and announcements. This module also helps to analysis Russell Multi price relationship with some important fundamental indicators such as market cap and management efficiency. Please also check Risk vs Return Analysis.
Russell Multi Note
The fund retains about 22.89% of assets under management (AUM) in cash. The Fund will seek to achieve this objective by investing predominantly in other Regulated Collective Investment Schemes that invest in equities, fixed income securities and alterative asset classes. Approximately 70 percent of the Fund?s Net Assets Value will be invested in Regulated Collective Investment Schemes that invest in growth assets. In addition, the Fund may keep surplus assets on deposit and/or may invest up to 10 percent of its Net Asset Value in transferable securities which may or may not be listed or traded on any Regulated Market worldwide.
Russell Multi Asset Alerts
|Russell Multi Asset is not yet fully synchronised with the market data|
|Russell Multi Asset has some characteristics of a very speculative penny stock|
|The fund retains about 22.89% of its assets under management (AUM) in cash|
Russell Multi Technical and Predictive Indicators
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Please also check Risk vs Return Analysis. Please also try Performance Analysis module to check effects of mean-variance optimization against your current asset allocation.