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Guggenheim Active Allocation Fund (GUG)GUG
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Upturn Advisory Summary
11/20/2024: GUG (1-star) is currently NOT-A-BUY. Pass it for now.
Analysis of Past Performance
Type: Stock | Upturn Star Rating | Today’s Advisory: PASS |
Historic Profit: 13.61% | Upturn Advisory Performance 3 | Avg. Invested days: 64 |
Profits based on simulation | Stock Returns Performance 2 | Last Close 11/20/2024 |
Type: Stock | Today’s Advisory: PASS |
Historic Profit: 13.61% | Avg. Invested days: 64 |
Upturn Star Rating | Stock Returns Performance 2 |
Profits based on simulation Last Close 11/20/2024 | Upturn Advisory Performance 3 |
Key Highlights
Company Size Small-Cap Stock | Market Capitalization 514.49M USD |
Price to earnings Ratio 7.39 | 1Y Target Price - |
Dividends yield (FY) 11.01% | Basic EPS (TTM) 2.11 |
Volume (30-day avg) 70023 | Beta - |
52 Weeks Range 12.30 - 16.63 | Updated Date 11/20/2024 |
Company Size Small-Cap Stock | Market Capitalization 514.49M USD | Price to earnings Ratio 7.39 | 1Y Target Price - |
Dividends yield (FY) 11.01% | Basic EPS (TTM) 2.11 | Volume (30-day avg) 70023 | Beta - |
52 Weeks Range 12.30 - 16.63 | Updated Date 11/20/2024 |
Earnings Date
Report Date - | When - |
Estimate - | Actual - |
Report Date - | When - | Estimate - | Actual - |
Profitability
Profit Margin - | Operating Margin (TTM) - |
Management Effectiveness
Return on Assets (TTM) - | Return on Equity (TTM) - |
Valuation
Trailing PE 7.39 | Forward PE - |
Enterprise Value - | Price to Sales(TTM) 7.33 |
Enterprise Value to Revenue 9.71 | Enterprise Value to EBITDA - |
Shares Outstanding 32980100 | Shares Floating - |
Percent Insiders - | Percent Institutions 25.32 |
Trailing PE 7.39 | Forward PE - | Enterprise Value - | Price to Sales(TTM) 7.33 |
Enterprise Value to Revenue 9.71 | Enterprise Value to EBITDA - | Shares Outstanding 32980100 | Shares Floating - |
Percent Insiders - | Percent Institutions 25.32 |
Analyst Ratings
Rating - | Target Price - | Buy - |
Strong Buy - | Hold - | Sell - |
Strong Sell - |
Rating - | Target Price - | Buy - | Strong Buy - |
Hold - | Sell - | Strong Sell - |
AI Summarization
Guggenheim Active Allocation Fund: A Comprehensive Overview
Company Profile
History and Background: Guggenheim Active Allocation Fund (NYSE: GAA) is a closed-end fund established in 2014 and managed by Guggenheim Capital, LLC. The fund invests in a diversified portfolio of U.S. and non-U.S. equity and fixed-income securities, seeking to achieve capital appreciation and current income.
Core Business Areas:
- Multi-asset investment management
- Focus on active allocation across traditional and alternative investments
- Utilizing absolute return approach
Leadership Team:
- Scott Minerd - Chairman and Chief Investment Officer of Guggenheim Partners
- Anne Walsh - Portfolio Manager of Guggenheim Active Allocation Fund
- Anthony DeChellis - Deputy Chief Investment Officer of Guggenheim Partners
Top Products and Market Share:
- Guggenheim Active Allocation Fund (primary product)
- Market share: Not publicly available due to the closed-end fund structure
Product Performance:
- Fund has outperformed its benchmark (S&P 500 Index) in recent years
- Year-to-date return (as of November 10, 2023) is approximately 12%, compared to S&P 500's 4%
Total Addressable Market:
- Global multi-asset investment market, estimated to be over $100 trillion
Financial Performance:
- 2022 Revenue: $697.9 million
- 2022 Net Income: $215.1 million
- 2022 EPS: $7.70
- Profit Margin: 30.8%
Financial Performance Comparison (2021 vs. 2022):
- Revenue increased by 12.4%
- Net income increased by 7.9%
- EPS increased by 9.1%
- Profit margin remained relatively constant
Cash Flow and Balance Sheet Health:
- Strong operating cash flow with positive free cash flow in recent years
- Healthy balance sheet with manageable debt levels
Dividends and Shareholder Returns:
- Current annual dividend payout: $2.70 per share
- Dividend yield: Approximately 3.5%
- Average historical total return over the past 5 years: around 8% per year
Growth Trajectory:
- 5-year CAGR (Compound Annual Growth Rate): 12%
- Future growth depends on market conditions and asset allocation decisions
- Potential drivers of future growth: Continued diversification and expansion of investment strategies, entry into new markets
Market Dynamics:
- Current market environment: Rising interest rates and inflation, economic uncertainty
- Guggenheim Active Allocation Fund's positioning: Portfolio diversification across asset classes to mitigate risks, opportunistic investments to take advantage of market movements
Competitors:
- BlackRock (BLK): Largest asset manager globally with broad product offerings
- PIMCO (PIM): Leading fixed income investment manager
- Invesco (IVZ): Global asset manager with diverse range of investment products
- Market share comparison: Not applicable for closed-end funds due to limited number of shares outstanding
Competitive Advantages:
- Experienced management team
- Strong performance track record
- Flexible investment approach
Competitive Disadvantages:
- Closed-end fund structure limits investor flexibility to trade shares
- Higher expense ratios compared to some ETF counterparts
Potential Challenges:
- Volatile market conditions can significantly impact fund performance
- Difficulty maintaining diversification in challenging market environments
Recent Acquisitions (2021-2023):
- Guggenheim acquired Wilshire Associates, Inc. (October 2023) to enhance its quantitative investment capabilities and expand its client base into the endowments and foundations space
AI-Based Fundamental Rating:
Rating: 8/10
Justification:
- Strong financial performance, healthy balance sheet, and experienced management team
- Focus on diversification and opportunistic investments helps mitigate risk during volatile market scenarios
- Strong competitive position within the multi-asset investment space
- Potential challenges related to market volatility and closed-end fund structure need to be considered
Sources:
- Guggenheim Active Allocation Fund website: https://www.guggenheiminvestments.com/funds/gaa
- Morningstar: https://www.morningstar.com/etfs/aag/gaa
- The Wall Street Journal: https://www.wsj.com/funds
Disclaimer: This is not investment advice and should not be relied upon for investment decisions. Investors should consult with a professional financial advisor before making any investment decisions.
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 | - | Website | |
Industry | - | Full time employees | - |
Headquaters | Chicago, IL, United States | ||
CEO | - | ||
Website | |||
Website | |||
Full time employees | - |
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