01/30/2026 | Press release | Distributed by Public on 01/30/2026 14:47
|
Mutual Funds
|
|
|
Fixed-Income
|
|
|
1.31.2026
|
|
Ticker Symbol
|
Fund Name
|
|||
|
Class A
|
Class C
|
Institutional
|
Class P
|
|
|
GIFAX
|
GIFCX
|
GIFIX
|
GIFPX
|
Guggenheim Floating Rate Strategies Fund
|
|
SUMFRACI-1-0126x0127
|
guggenheiminvestments.com
|
|
Class A
|
Class C
|
Institutional
Class
|
Class P
|
|
|
Maximum Sales Charge (Load) Imposed on
Purchases (as a percentage of offering price)
|
3.00
%
|
None
|
None
|
None
|
|
Maximum Deferred Sales Charge (Load) (as a
percentage of original purchase price or
redemption proceeds, whichever is lower)
|
None
*
|
1.00
%**
|
None
|
None
|
|
Class A
|
Class C
|
Institutional
Class
|
Class P
|
|
|
Management Fees
|
0.65
%
|
0.65
%
|
0.65
%
|
0.65
%
|
|
Distribution and/or Service (12b-1) Fees
|
0.25
%
|
1.00
%
|
None
|
0.25
%
|
|
Other Expenses
|
0.25
%
|
0.23
%
|
0.26
%
|
0.30
%
|
|
Interest and Other Related Expenses
|
0.04%
|
0.04%
|
0.04%
|
0.04%
|
|
Remaining Other Expenses
|
0.21%
|
0.19%
|
0.22%
|
0.26%
|
|
Acquired Fund Fees and Expenses
|
0.02
%
|
0.02
%
|
0.02
%
|
0.02
%
|
|
Total Annual Fund Operating Expenses
|
1.17
%
|
1.90
%
|
0.93
%
|
1.22
%
|
|
Fee Waiver (and/or expense reimbursement)1
|
-0.12
%
|
-0.10
%
|
-0.12
%
|
-0.17
%
|
|
Total Annual Fund Operating Expenses After Fee
Waiver (and/or expense reimbursement)
|
1.05
%
|
1.80
%
|
0.81
%
|
1.05
%
|
|
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
|
Class A
|
$404
|
$649
|
$913
|
$1,667
|
|
Class C
|
$283
|
$587
|
$1,017
|
$2,214
|
|
Institutional
|
$83
|
$284
|
$503
|
$1,132
|
|
Class P
|
$107
|
$370
|
$654
|
$1,462
|
|
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
|
Class C
|
$183
|
$587
|
$1,017
|
$2,214
|
|
During the periods shown in
the chart above:
|
Quarter Ended
|
Return
|
|
Highest Quarter
|
June 30, 2020
|
8.15%
|
|
Lowest Quarter
|
March 31, 2020
|
-13.67%
|
|
1 Year
|
5 Years
|
10 Years
|
|
|
Class A
|
|||
|
Return Before Taxes
|
0.72%
|
4.73%
|
4.22%
|
|
Return After Taxes on Distributions
|
-2.12%
|
2.10%
|
2.02%
|
|
Return After Taxes on Distributions and Sale of Fund Shares
|
0.40%
|
2.46%
|
2.25%
|
|
Class C-Before Taxes
|
2.11%
|
4.58%
|
3.76%
|
|
Institutional Class-Before Taxes
|
4.09%
|
5.61%
|
4.78%
|
|
Class P-Before Taxes
|
3.84%
|
5.36%
|
4.53%
|
|
Indexes
|
|||
|
Bloomberg U.S. Aggregate Bond Index1 (reflects no deduction for fees, expenses
or taxes)
|
7.30%
|
-0.36%
|
2.01%
|
|
S&P UBS Leveraged Loan Index2 (reflects no deduction for fees, expenses or
taxes)
|
5.94%
|
6.37%
|
5.78%
|
|
Name*
|
Experience with the Fund
|
Primary Title with Investment Manager
|
|
Anne B. Walsh
|
Since 2011
|
Managing Partner, Chief Investment Officer, and
Portfolio Manager
|
|
Steven H. Brown
|
Since 2023
|
Chief Investment Officer - Fixed Income, Senior
Managing Director, and Portfolio Manager
|
|
Thomas J. Hauser
|
Since 2014
|
Senior Managing Director and Portfolio Manager
|
|
Christopher Keywork
|
Since 2023
|
Managing Director and Portfolio Manager
|