Aristotle Portfolio Optimization Conservative Fund Class C POACX:NASDAQ
- 52 Week High9.57
- 52 Week High Date12/27/23
- 52 Week Low8.79
- 52 Week Low Date10/25/23
- Dividend Yield3.27
- Net Assets15.2
- Deferred Load %1
- Port Turnover %28
Key Stats
- Min Initial Invest1,000
- Min Sub Invest50
- Expense Ratio %1.89
- Front End Load %-
- YTD % Change-0.65
- 1 Year % Change3.92
KEY STATS
- 52 Week High9.57
- 52 Week High Date12/27/23
- 52 Week Low8.79
- 52 Week Low Date10/25/23
- Dividend Yield3.27
- Net Assets15.2
- Deferred Load %1
- Port Turnover %28
- Min Initial Invest1,000
- Min Sub Invest50
- Expense Ratio %1.89
- Front End Load %-
- YTD % Change-0.65
- 1 Year % Change3.92
Latest On Aristotle Portfolio Optimization Conservative Fund Class C
Content From Our Affiliates
There is no recent news for this security.