An area of strength for the firm is its relatively high portfolio manager retention since the firm's inception, as long-term stability tends to support positive results. The firm's risk-adjusted performance is poor. Across all open-end and exchange-traded products, the firm’s average three-year Morningstar Rating is 2.0 stars.
How to Find Funds That Address Systemic Racism and the Wealth Gap
Consider what tools you can use to create change.