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GUG
Upturn stock ratingUpturn stock rating

Guggenheim Active Allocation Fund (GUG)

Upturn stock ratingUpturn stock rating
$15.78
Last Close (24-hour delay)
Profit since last BUY5.2%
upturn advisory
Consider higher Upturn Star rating
BUY since 67 days
  • BUY Advisory
  • SELL Advisory (Profit)​
  • SELL Advisory (Loss)​
  • Profit
  • Loss
  • Pass (Skip investing)
Upturn Stock infoUpturn Stock info Stock price based on last close
*as per simulation
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Time period over
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Upturn Advisory Summary

08/14/2025: GUG (1-star) has a low Upturn Star Rating. Not recommended to BUY.

Upturn Star Rating

rating

Not Recommended Performance

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

Number of Analysts

rating

0 Analysts rated it

Very few follow this stock; limited insights, higher-risk early investing.

Analysis of Past Performance

Type Stock
Historic Profit 22.45%
Avg. Invested days 72
Today’s Advisory Consider higher Upturn Star rating
Upturn Star Rating Upturn stock ratingUpturn stock rating
Upturn Advisory Performance Upturn Advisory Performance 4.0
Stock Returns Performance Upturn Returns Performance 3.0
Upturn Profits based on simulationUpturn Profits based on simulation Profits based on simulation
Upturn Profits based on simulationUpturn Profits based on simulation Last Close 08/14/2025

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

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

ai summary icon Upturn AI SWOT

Guggenheim Active Allocation Fund

stock logo

Company Overview

overview logo History and Background

Guggenheim Investments is the investment management arm of Guggenheim Partners, LLC, which was founded in 1999. Guggenheim Investments offers a wide range of investment strategies across fixed income, equity, and alternative asset classes. While there isn't a singular 'Guggenheim Active Allocation Fund' with a separate entity history, the active allocation strategies have evolved within Guggenheim Investments over time.

business area logo Core Business Areas

  • Fixed Income: Manages a diverse range of fixed income assets, including corporate bonds, government securities, and mortgage-backed securities.
  • Equity: Invests in a variety of equity strategies, including large-cap, small-cap, and international equities.
  • Alternative Investments: Offers alternative investment solutions such as private equity, hedge funds, and real estate.
  • Multi-Asset Strategies: Develops and manages multi-asset portfolios that combine different asset classes to achieve specific investment objectives, including active allocation strategies.

leadership logo Leadership and Structure

Guggenheim Investments is led by its Chief Investment Officer (CIO) and senior portfolio managers. It operates within the broader Guggenheim Partners structure.

Top Products and Market Share

overview logo Key Offerings

  • Guggenheim Total Return Bond Fund (GIBIX): Actively managed bond fund seeking current income and capital appreciation. Competitors include PIMCO Total Return Fund (PTTRX) and Metropolitan West Total Return Bond Fund (MWTRX). Market share data not readily available for this specific fund in comparison to all bond funds globally; instead, assets under management (AUM) would be the better metric to use in comparing the fund against its peers.
  • Guggenheim S&P 500 Equal Weight ETF (RSP): ETF that tracks the S&P 500 index, but with each company weighted equally. Competitors include Invesco S&P 500 Equal Weight ETF (RSP) and First Trust Dorsey Wright Focus 5 ETF (FV). Market share varies, but AUM provides a comparison. AUM provides a comparison but data specific to Guggenheim's RSP market share is unavailable without detailed market research on ETFs
  • Guggenheim Investment Grade Corporate Bond ETF (LQD): Exchange Traded fund that seeks to track the investment results of an index composed of U.S. dollar-denominated investment grade corporate bonds. Competitors include the Vanguard Intermediate-Term Corporate Bond ETF (VCIT) and Schwab Intermediate-Term Corporate Bond ETF (SCHI). Data specific to LQD market share is unavailable without detailed market research on ETFs.

Market Dynamics

industry overview logo Industry Overview

The asset management industry is highly competitive, with increasing pressure on fees and a growing demand for passive investment strategies. Active management is facing headwinds but continues to play a role in portfolio construction.

Positioning

Guggenheim Investments is positioned as a provider of both active and passive investment solutions, with a focus on delivering differentiated investment strategies. Its competitive advantages include its experienced investment team and its global research capabilities.

Total Addressable Market (TAM)

The global asset management market is estimated to be in the trillions of dollars. Guggenheim Investments aims to capture a share of this market through its various investment products and services. Their TAM is the portion of the global market served by their investment styles, products, and target client base.

Upturn SWOT Analysis

Strengths

  • Experienced investment professionals
  • Global research capabilities
  • Diverse product offerings
  • Strong distribution network
  • Reputation for innovation

Weaknesses

  • Reliance on key personnel
  • Potential for underperformance in certain market conditions
  • High fee structure compared to passive strategies
  • Complexity of certain investment strategies

Opportunities

  • Growing demand for alternative investments
  • Expansion into new markets
  • Development of new investment strategies
  • Partnerships with other financial institutions
  • Increasing focus on ESG investing

Threats

  • Increased competition from other asset managers
  • Economic downturns
  • Changes in regulatory environment
  • Market volatility
  • Technological disruption

Competitors and Market Share

competitor logo Key Competitors

  • BLK
  • V
  • GS
  • JPM
  • MS

Competitive Landscape

Guggenheim Investments competes with other large asset managers on the basis of investment performance, fees, product offerings, and client service. Guggenheim Investments differentiates itself through its focus on delivering differentiated investment strategies and its strong distribution network.

Major Acquisitions

Security Benefit Life Insurance Company

  • Year: 2010
  • Acquisition Price (USD millions): 400
  • Strategic Rationale: To expand Guggenheim's asset management capabilities and distribution channels in the insurance sector.

Growth Trajectory and Initiatives

Historical Growth: Guggenheim Investments' growth has been driven by its ability to attract and retain clients, develop innovative investment strategies, and expand its distribution network. Historical growth is incorporated within Guggenheim Partners. Financial details for the growth trajectory of the Investment division specifically are not published.

Future Projections: Future growth projections are dependent on market conditions, investment performance, and the company's ability to execute its strategic initiatives. Analyst estimates for Guggenheim Investments specifically are not available, but industry trends suggest continued growth in assets under management (AUM).

Recent Initiatives: Recent initiatives include expanding its ESG investment offerings, investing in technology to improve its investment process, and strengthening its relationships with key distribution partners.

Summary

Guggenheim Investments benefits from experienced professionals and diverse products but faces intense competition and the pressures of active management underperformance relative to passive options. Its strengths in alternative investments and global research are positives, but high fees and reliance on key personnel pose ongoing challenges. Expanding into ESG and leveraging technology present opportunities, while economic downturns and regulatory changes represent significant threats. Its private ownership constrains public analysis of financial performance.

Peer Comparison

Sources and Disclaimers

Data Sources:

  • Guggenheim Investments website
  • Morningstar
  • Company filings (where available)
  • Industry reports

Disclaimers:

This analysis is based on publicly available information and represents an opinion. The information is not guaranteed to be accurate or complete. Investment decisions should be based on thorough research and consultation with a qualified financial advisor.

Upturn AI SummarizationUpturn AI Summarization AI Summarization is directionally correct and might not be accurate.

Upturn AI SummarizationUpturn AI Summarization Summarized information shown could be a few years old and not current.

Upturn AI SummarizationUpturn AI Summarization Fundamental Rating based on AI could be based on old data.

Upturn AI SummarizationUpturn AI Summarization 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