GUG
GUG 1-star rating from Upturn Advisory

Guggenheim Active Allocation Fund (GUG)

Guggenheim Active Allocation Fund (GUG) 1-star rating from Upturn Advisory
$15.94
Last Close (24-hour delay)
Profit since last BUY4.05%
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BUY since 32 days
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Upturn Advisory Summary

02/24/2026: GUG (1-star) has a low Upturn Star Rating. Not recommended to BUY.

Upturn Star Rating

Upturn 1 star rating for performance

Not Recommended Performance

These Stocks/ETFs, based on Upturn Advisory, consistently fall short of market performance, signaling caution before investing.

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Key Highlights

Company Size Small-Cap Stock
Market Capitalization 516.80M USD
Price to earnings Ratio 6.42
1Y Target Price -
Price to earnings Ratio 6.42
1Y Target Price -
Volume (30-day avg) -
Beta -
52 Weeks Range 13.57 - 16.37
Updated Date 06/29/2025
52 Weeks Range 13.57 - 16.37
Updated Date 06/29/2025
Dividends yield (FY) 9.09%
Basic EPS (TTM) 2.44
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Earnings Date

Report Date -
When -
Estimate -
Actual -

Profitability

Profit Margin -
Operating Margin (TTM) -

Management Effectiveness

Return on Assets (TTM) -
Return on Equity (TTM) -

Valuation

Trailing PE 6.42
Forward PE -
Enterprise Value -
Price to Sales(TTM) 6.35
Enterprise Value -
Price to Sales(TTM) 6.35
Enterprise Value to Revenue 8.98
Enterprise Value to EBITDA -
Shares Outstanding 32980100
Shares Floating -
Shares Outstanding 32980100
Shares Floating -
Percent Insiders -
Percent Institutions 29.04

Icon representing Upturn AI-generated SWOT analysis summary Upturn AI SWOT

Guggenheim Active Allocation Fund

Guggenheim Active Allocation Fund(GUG) company logo displayed in Upturn AI summary

Company Overview

Company history and background logo History and Background

The Guggenheim Active Allocation Fund (AALAX) is a mutual fund managed by Guggenheim Partners. Guggenheim Partners, founded in 2001, is a global diversified financial services firm. The Active Allocation Fund itself, while specific launch dates can vary for different share classes, operates within the broader asset management services offered by Guggenheim, which aims to provide innovative investment solutions across various asset classes.

Company business area logo Core Business Areas

  • Asset Management: Guggenheim Partners offers a wide range of investment strategies and products, including fixed income, equity, and alternative investments, to institutional and retail clients. The Active Allocation Fund is a key offering within their mutual fund suite, designed to achieve capital appreciation through a diversified, actively managed portfolio.
  • Investment Banking: While not directly related to the fund's operation, Guggenheim Securities provides investment banking and capital markets services.
  • Insurance and Retirement Services: Guggenheim also has a presence in insurance and retirement solutions, though the Active Allocation Fund is primarily an investment vehicle.

leadership logo Leadership and Structure

The Guggenheim Active Allocation Fund is managed by a team of portfolio managers at Guggenheim Partners. The specific leadership team can evolve, but typically involves experienced investment professionals responsible for strategy, research, and portfolio construction. Guggenheim Partners itself has a broad leadership structure overseeing its various business segments.

Top Products and Market Share

Product Key Offerings logo Key Offerings

  • Guggenheim Active Allocation Fund (AALAX): A diversified mutual fund aiming for long-term capital appreciation by investing in a broad range of securities, including equities, fixed income, and potentially alternative investments. Its strategy focuses on active management to identify opportunities and manage risk. Market share data for individual mutual funds is difficult to pinpoint as it's part of a larger, competitive fund industry. Competitors include a vast array of active allocation mutual funds from firms like BlackRock, Vanguard, Fidelity, and PIMCO.

Market Dynamics

industry overview logo Industry Overview

The mutual fund industry, particularly the active allocation segment, is highly competitive and dynamic. Investors seek funds that can outperform benchmarks and provide diversified exposure. Key trends include a growing demand for ESG (Environmental, Social, and Governance) integration, fee compression, and the increasing adoption of technology in portfolio management and client servicing.

Positioning

Guggenheim Active Allocation Fund is positioned as an actively managed solution within a crowded marketplace. Its competitive advantages would stem from the expertise of its portfolio managers, the firm's research capabilities, and its ability to adapt to changing market conditions. However, it faces stiff competition from established players and index funds that often have lower expense ratios.

Total Addressable Market (TAM)

The TAM for actively managed multi-asset mutual funds is in the trillions of dollars globally. Guggenheim Active Allocation Fund, as one fund among many, aims to capture a portion of this market by offering a distinct investment approach and performance to its target investors. Its specific position is within the broad universe of actively managed allocation funds.

Upturn SWOT Analysis

Strengths

  • Experienced management team with a long-term investment philosophy.
  • Diversified investment strategy across multiple asset classes.
  • Brand recognition and resources of Guggenheim Partners.
  • Ability to adapt to market changes through active management.

Weaknesses

  • Higher expense ratios compared to passive index funds.
  • Performance is dependent on manager skill, which can be inconsistent.
  • Limited brand dominance compared to some larger asset managers.
  • Relatively niche product within the broader fund landscape.

Opportunities

  • Growing investor demand for diversified and actively managed solutions.
  • Potential to leverage Guggenheim's broader expertise in various asset classes.
  • Expansion into new geographic or investor segments.
  • Developing specialized ESG-integrated allocation strategies.

Threats

  • Intense competition from passive funds and other active managers.
  • Market volatility and economic downturns impacting fund performance.
  • Regulatory changes affecting the asset management industry.
  • Erosion of investor confidence due to underperformance relative to benchmarks or peers.

Competitors and Market Share

Key competitor logo Key Competitors

  • Vanguard Total Stock Market Index Fund ETF (VTI)
  • iShares Core S&P 500 ETF (IVV)
  • Fidelity Contrafund (FCNTX)
  • PIMCO Income Fund (PONAX)

Competitive Landscape

Guggenheim Active Allocation Fund competes in a highly fragmented market dominated by large asset managers and increasingly by low-cost passive ETFs. Its advantage lies in its active management approach, aiming to outperform benchmarks, while its disadvantage is the potential for higher fees and the inherent risk of underperformance compared to passive options. The competitive landscape is defined by fees, performance, asset allocation expertise, and brand reputation.

Growth Trajectory and Initiatives

Historical Growth: The growth of the Guggenheim Active Allocation Fund is tied to its asset growth (inflows from investors) and the performance of its underlying investments. Historical asset growth data would require fund-specific AUM (Assets Under Management) information over time.

Future Projections: Future projections for the fund are inherently speculative and depend on market conditions, investor sentiment, and the fund's ongoing performance. Analyst estimates for individual mutual funds are not as commonly published as for publicly traded companies. Projections would be based on historical trends and the fund's stated investment objectives.

Recent Initiatives: Guggenheim Partners regularly reviews and refines its investment strategies. Recent initiatives might include adjustments to portfolio allocation, the introduction of new share classes, or enhanced ESG integration within its funds.

Summary

The Guggenheim Active Allocation Fund is an actively managed mutual fund operating within a highly competitive asset management industry. Its strengths lie in its diversified strategy and experienced management, while weaknesses include higher fees and the inherent risks of active management. The fund has opportunities to capitalize on investor demand for tailored solutions but faces threats from passive investing and market volatility. Its success hinges on consistent performance and effective risk management.

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Sources and Disclaimers

Data Sources:

  • Guggenheim Partners Official Website
  • Financial data aggregators (e.g., Morningstar, Yahoo Finance - for general industry context and competitor identification)
  • Industry reports on asset management and mutual funds.

Disclaimers:

This information is intended for general informational purposes only and does not constitute investment advice. Specific performance data, fund holdings, and fee structures can vary and should be obtained from the fund's official prospectus and fact sheet. Market share data for individual mutual funds is an estimation within the broader competitive landscape. This analysis is based on publicly available information and general industry knowledge.

Information icon for Upturn AI Summarization accuracy disclaimer AI Summarization is directionally correct and might not be accurate.

Information icon for Upturn AI Summarization data freshness disclaimer Summarized information shown could be a few years old and not current.

Information icon warning about Upturn AI Fundamental Rating based on potentially old data Fundamental Rating based on AI could be based on old data.

Information icon warning about potential inaccuracies or hallucinations in Upturn AI-generated summaries AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.

About Guggenheim Active Allocation Fund

Exchange NYSE
Headquaters Chicago, IL, United States
IPO Launch date 2021-11-24
CEO -
Sector Financial Services
Industry Asset Management
Full time employees -
Website
Full time employees -
Website