Back to top

Image: Bigstock

FAGIX

Read MoreHide Full Article

FAGIX focuses on high-yield, lower-quality debt and equity securities, including those from issuers facing uncertain financial conditions. The fund's strategy involves fundamental analysis of issuers and market trends, with a shift towards at least 80% in combined debt and income-producing equity by December 2025. They invest in both domestic and international markets and may include derivatives in their strategy to meet investment goals.