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To achieve its main financial goal, this fund typically allocates a substantial portion—at least 80%—of its total capital (including any funds borrowed for investment) into a diverse portfolio. This portfolio primarily consists of debt instruments with adjustable interest rates, traditional fixed-income securities, and various derivative products. These derivative instruments are strategically utilized to gain economic exposure to relevant credit market sectors.
Is XSIAX's expense ratio expensive, average, or a steal for its category?
Pro reveals the verdict on a 5-tier spectrum calibrated against ICI 2025 industry averages, with strategy-aware bands so the comparison is meaningful.
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