
Guggenheim Macro Opportunities Fund Class C
GIOCX
Updated: 22/09/2026, 14:44:44
The Guggenheim Macro Opportunities Fund Class C seeks to deliver comprehensive returns, which means generating both consistent income and capital growth from its investments. To achieve this, the fund strategically allocates capital across a broad and diverse range of debt and equity instruments. Its holdings are diversified across various sectors and credit quality tiers. Primary investments include a wide array of debt instruments such as company bonds, syndicated bank loans, and other direct lending opportunities (encompassing participations and assignments in these loans), as well as securities backed by various assets. The fund also invests in U.S. government and agency-issued debt, sovereign debt from other nations, and Eurodollar bonds. Furthermore, the portfolio may encompass hybrid securities like mezzanine and preferred stock, short-term commercial paper, zero-coupon bonds, and municipal securities.
No summaries found.
- Share price
- $24.15
- Market cap
- $9.23B
- Exchange
- NASDAQ
- Currency
- USD
- CEO
- N/A
- Employees
- N/A
- IPO date
- 30/11/2011
- Beta
- 0.42
- Last dividend
- $0.00
- Day range
- $24.15 – $24.15
- 52-week range
- $24.11 – $25.07
- 1-day performance
- 0.12%
- 1-year performance
- 0.17%
- Current drawdown (1Y)
- -3.67%
- CIK
- 0000088525
- CUSIP
- 40168W590
- ISIN
- US40168W5904
- Created
- 07/12/2025, 04:14:39
- Last update
- 22/09/2026, 14:44:44
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