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Guggenheim Active Allocation Fund (GUG)



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Upturn Advisory Summary
09/16/2025: GUG (1-star) has a low Upturn Star Rating. Not recommended to BUY.
Analysis of Past Performance
Type Stock | Historic Profit 23.19% | Avg. Invested days 76 | Today’s Advisory Consider higher Upturn Star rating |
Upturn Star Rating ![]() ![]() | Upturn Advisory Performance ![]() | Stock Returns Performance ![]() |
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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 |
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 |
Upturn AI SWOT
Guggenheim Active Allocation Fund
Company Overview
History and Background
Guggenheim Active Allocation Fund's history involves Guggenheim Investments' broader timeline. Guggenheim Investments, a global investment and advisory firm, has a history dating back to the early 20th century. The fund itself likely evolved from their asset management expertise, providing diversified investment solutions to clients.
Core Business Areas
- Asset Allocation: Manages investments across various asset classes, including stocks, bonds, and alternative investments to achieve targeted risk-adjusted returns.
- Portfolio Management: Constructs and oversees investment portfolios to meet specific investment objectives, such as capital appreciation, income generation, or risk mitigation.
- Investment Strategy: Employs active management strategies to identify and capitalize on market opportunities, while adapting to changing economic conditions.
Leadership and Structure
Guggenheim Investments has a well-defined leadership team, typically consisting of senior portfolio managers, investment strategists, and executive officers. The fund operates within the firm's established organizational structure, with oversight from compliance and risk management teams.
Top Products and Market Share
Key Offerings
- Guggenheim Active Allocation Fund (various share classes): A diversified fund allocating assets across multiple asset classes using active management. Market share data for specific fund share classes is difficult to pinpoint precisely without access to proprietary fund flow data, but similar actively managed allocation funds compete with offerings from BlackRock, Vanguard, and Fidelity. Estimated Assets under management are in the billions USD.
Market Dynamics
Industry Overview
The asset management industry is highly competitive, with numerous firms offering diverse investment solutions. Factors influencing the industry include market volatility, interest rate movements, and economic growth. The rise of passive investing is creating additional pressures to show alpha.
Positioning
Guggenheim Active Allocation Fund aims to deliver superior risk-adjusted returns through active management. Their competitive advantage may lie in their investment expertise, proprietary research, and ability to adapt to changing market conditions.
Total Addressable Market (TAM)
The global asset management market is valued in the trillions of USD. Guggenheim Active Allocation Fund targets a portion of this market, specifically investors seeking actively managed, multi-asset solutions. Their positioning within the TAM depends on their ability to attract and retain assets under management.
Upturn SWOT Analysis
Strengths
- Experienced portfolio management team
- Diversified investment approach
- Strong brand reputation (Guggenheim Investments)
- Access to proprietary research
Weaknesses
- Active management fees potentially higher than passive alternatives
- Performance dependent on manager skill
- Fund size may limit flexibility in certain markets
Opportunities
- Growing demand for multi-asset investment solutions
- Expansion into new markets or asset classes
- Technological advancements in investment management
Threats
- Market volatility and economic downturns
- Increased competition from passive investment strategies
- Regulatory changes
- Geopolitical Instability
Competitors and Market Share
Key Competitors
- IVV
- SPY
- VTI
Competitive Landscape
Guggenheim Active Allocation Fund faces competition from both active and passive investment strategies. Advantages may include their active management expertise and ability to adapt to market conditions. Disadvantages include higher fees compared to passive alternatives and performance dependent on manager skill.
Growth Trajectory and Initiatives
Historical Growth: Analyze asset growth and investment performance over the past several years.
Future Projections: Future growth is reliant on the fund's investment strategy, market conditions, and competitive landscape. Analyst estimates might not be available for a specific fund but can be generated by applying general industry growth estimations.
Recent Initiatives: Recent strategic initiatives undertaken by the fund may involve changes to the asset allocation strategy, new investment mandates, or enhancements to the distribution network.
Summary
Guggenheim Active Allocation Fund aims for superior returns via active management, but its higher fees and dependence on manager skill are weaknesses in the face of growing passive investment popularity. The fund benefits from Guggenheim's brand and diversified approach. Market volatility poses a major threat, while demand for multi-asset solutions presents an opportunity. Strong active performance is crucial to justify fees and attract investors.
Peer Comparison
Sources and Disclaimers
Data Sources:
- Fund prospectuses
- Shareholder reports
- Investment websites (e.g., Morningstar, Bloomberg)
- Industry research reports
- Guggenheim Investments Website
Disclaimers:
This analysis is for informational purposes only and does not constitute investment advice. Past performance is not indicative of future results. Investment decisions should be made based on individual circumstances and after consultation with a qualified financial advisor.
AI Summarization is directionally correct and might not be accurate.
Summarized information shown could be a few years old and not current.
Fundamental Rating based on AI could be based on old data.
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 |

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