Company Overview
The Adviser delegates the management of a portion of fund assets to a group of experienced investment managers that utilize a variety of investment strategies and styles. The fund may invest up to 85% of its net assets in derivatives including structured products, options, futures, forward currency contracts and swaps, including credit-default swaps.
Investment Analysis & Insights
Key Investment Highlights
- Market Position: Financial Services leader with 41.67M market capitalization
- Trading Volume: 0 shares traded today
- Price Range: 52-week range of $23.88 - $24.12
- Exchange: Listed on NASDAQ
Financial Metrics
Market Analysis for Vivaldi Multi-Strategy Fund Class I
Vivaldi Multi-Strategy Fund Class I (OMOIX) operates in the Asset Management industry within the Financial Services sector. With a current market capitalization of 41.67M, the company represents a significant player in its market. The stock is currently trading at $24.08 with a positivedaily change of 0.00%.
The company's substantial employee base and presence on the NASDAQexchange position it as a Financial Services sector leader. Investors should consider the stock's P/E ratio of 0.00, beta of 0.20, and 52-week price range from $23.88 to $24.12when evaluating investment opportunities.
Why Invest in Vivaldi Multi-Strategy Fund Class I?
Strengths
- • Established market presence in Financial Services
- • Strong financial metrics and market position
- • Listed on major exchange (NASDAQ)
- • Experienced leadership under
Investment Considerations
- • Monitor sector-specific market trends
- • Track quarterly earnings performance
- • Consider market volatility and beta
- • Evaluate long-term growth potential
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About Financial Services Sector
The Financial Services sector includes companies that provide banking, insurance, investment, and other financial services to consumers and businesses.