Alternatives

Filter

FEE-BASED
EMBEDDED
NON-EMBEDDED

Currency

Fund Type
2 Active filters
This table presents price and performance related information for all Dynamic Funds investment products. And quick access to detailed product information and regulatory documents.
Daily Price $
Performance %
Annual Return %
Series NAV chg $ chg % 1 yr 3 yrs 5 yrs 10 yrs Incep Date 1 mo 3 mo 6 mo YTD 2024 2023 2022 2021 2020
Liquid Alternative 7
Dynamic Alpha Performance II Fund Total funds $114.97 MM
A Currency 10.2482 -0.1268 -1.22 0.36 3.25 -0.17 - 0.08 10/09/18 -1.59 -8.86 -3.11 -5.78 20.03 10.86 -16.93 0.10 0.26
F Currency 10.8563 -0.1340 -1.22 0.66 3.85 0.62 - 0.95 10/09/18 -1.50 -8.60 -2.61 -5.44 19.52 12.08 -16.05 1.19 1.45
Dynamic Credit Absolute Return Fund Total funds $2.23 B
A Currency 9.0313 -0.0016 -0.02 4.01 4.28 5.87 3.60 3.84 11/20/23 0.53 1.03 1.57 1.01 5.03 - 0.86 3.06 5.59
F Currency 8.9873 -0.0014 -0.02 4.91 5.21 6.82 4.62 4.88 11/20/23 0.63 1.30 1.97 1.38 5.94 - 1.79 3.91 6.75
Dynamic Credit Opportunities Fund Total funds $55.70 MM
A Currency 10.3728 0.0047 0.05 3.39 - - - 6.23 09/25/23 -0.96 -0.49 1.25 0.55 7.65 - - - -
F Currency 10.4368 0.0050 0.05 4.23 - - - 7.17 09/25/23 -0.87 -0.22 1.65 0.91 8.46 - - - -
Dynamic Global Growth Opportunities Fund Total funds $209.45 MM
A Currency 12.0656 -0.0694 -0.57 13.05 -2.84 2.64 8.36 8.31 03/09/15 -2.03 -20.27 -1.74 -11.92 36.87 -3.52 -41.35 21.85 52.45
A CurrencyUS 8.7890 0.0371 0.42 - - - - - 06/21/24 - - - - - - - - -
F Currency 13.0488 -0.0748 -0.57 13.83 -1.95 3.57 9.19 9.14 03/09/15 -1.95 -20.07 -1.57 -11.62 37.81 -2.54 -40.71 22.79 53.82
F CurrencyUS 9.5052 0.0403 0.43 - - - - - 06/21/24 - - - - - - - - -
Dynamic Premium Yield PLUS Fund Total funds $7.04 B
A Currency 9.9831 -0.0826 -0.82 -0.41 10.69 12.77 - 8.68 10/09/18 -1.17 -8.50 -1.98 -6.33 10.76 26.14 -0.93 20.49 6.11
F Currency 9.9440 -0.0820 -0.82 0.72 11.94 14.05 - 9.94 10/09/18 -1.06 -8.24 -1.43 -5.98 12.02 27.56 0.19 21.85 7.29
Dynamic Real Estate & Infrastructure Income II Fund Total funds $598.47 MM
A Currency 8.7784 0.0177 0.20 19.10 0.90 7.32 - 3.10 04/01/19 0.20 2.86 0.02 3.70 13.00 -1.13 -15.05 21.31 -7.78
F Currency 8.6968 0.0177 0.20 20.44 2.03 8.52 - 4.26 04/01/19 0.29 3.14 0.58 4.08 14.28 -0.02 -14.10 22.66 -6.77
Dynamic Short Term Credit PLUS Fund Total funds $872.79 MM
A Currency 10.4148 0.0053 0.05 9.16 7.92 - - 6.51 01/27/22 -0.44 -0.32 2.46 0.46 11.65 10.23 - - -
F Currency 10.4548 0.0054 0.05 9.79 8.54 - - 7.12 01/27/22 -0.38 -0.18 2.75 0.65 12.29 10.86 - - -
Specialty 15
Dynamic Alternative Yield Class Total funds $249.22 MM
A Currency 16.3186 -0.0394 -0.24 8.79 5.06 8.68 4.96 6.29 09/18/12 -2.17 -3.13 1.45 -0.91 15.65 5.61 -12.29 31.74 -8.99
F Currency 18.7538 -0.0448 -0.24 9.88 6.19 9.86 6.11 7.45 09/18/12 -2.09 -2.88 1.90 -0.59 16.86 6.77 -11.31 33.19 -7.95
Dynamic Alternative Yield Fund Total funds $1.78 B
A Currency 8.9223 -0.0214 -0.24 9.32 5.30 8.86 5.04 6.75 09/30/11 -2.15 -3.09 1.91 -0.74 16.09 5.67 -12.22 31.86 -8.98
F Currency 9.0110 -0.0213 -0.24 10.56 6.48 10.08 6.20 7.95 09/30/11 -2.06 -2.82 2.48 -0.37 17.41 6.85 -11.25 33.34 -8.02
Dynamic Diversified Inflation Focused Fund Total funds $61.72 MM
A Currency 12.6054 0.0441 0.35 13.81 4.83 6.60 4.86 5.34 03/31/05 -1.46 1.25 2.45 4.50 10.28 3.25 -6.17 8.53 5.92
F Currency 14.8874 0.0525 0.35 15.08 6.01 7.85 6.12 6.53 04/04/05 -1.36 1.53 3.03 4.89 11.51 4.41 -5.06 9.89 7.22
Dynamic Energy Income Fund Total funds $178.62 MM
A Currency 14.0798 0.0748 0.53 -0.26 7.07 16.47 0.94 5.21 08/26/03 -9.21 -5.45 -4.44 -5.58 20.79 -0.40 35.47 23.71 -19.74
F Currency 12.9519 0.0692 0.54 0.92 8.36 17.86 2.13 5.76 05/03/04 -9.12 -5.18 -3.88 -5.22 22.25 0.78 37.10 25.17 -18.95
Dynamic Financial Services Fund Total funds $367.30 MM
A Currency 33.9591 -0.0882 -0.26 26.18 12.61 13.43 11.00 8.98 10/11/72 0.77 -0.38 8.83 2.50 30.15 13.27 -15.27 25.02 4.88
F Currency 18.9461 -0.0487 -0.26 27.59 13.88 14.70 12.26 9.15 03/04/02 0.86 -0.11 9.43 2.87 31.61 14.53 -14.31 26.42 6.11
Dynamic Global Infrastructure Class Total funds $122.26 MM
A Currency 16.4424 0.0231 0.14 17.91 4.67 7.08 - 6.46 09/14/15 1.05 1.37 4.63 4.70 13.09 -1.40 -2.96 7.75 -1.36
F Currency 18.0067 0.0256 0.14 18.94 5.73 8.19 - 7.59 09/14/15 1.12 1.61 4.96 4.97 14.16 -0.34 -1.89 8.91 -0.27
Dynamic Global Infrastructure Fund Total funds $1.30 B
A Currency 22.9039 0.0324 0.14 18.20 4.80 7.22 5.91 6.61 07/19/07 1.07 1.40 4.81 4.78 13.28 -1.34 -2.83 7.85 -1.26
A CurrencyUS 16.6841 0.1888 1.14 18.03 2.25 7.41 4.55 5.00 07/19/07 5.50 6.89 5.86 9.25 4.05 1.12 -9.13 8.69 0.36
F Currency 23.7194 0.0342 0.14 19.49 5.95 8.39 7.08 7.78 07/19/07 1.16 1.67 5.38 5.16 14.52 -0.27 -1.76 9.02 -0.19
F CurrencyUS 17.2781 0.1960 1.15 19.32 3.37 8.58 5.71 6.15 09/10/07 5.60 7.18 6.43 9.65 5.20 2.21 -8.13 9.87 1.44
Dynamic Global Real Estate Fund Total funds $320.77 MM
A Currency 34.4976 -0.0866 -0.25 8.93 -2.07 4.34 4.03 6.47 11/04/96 -2.43 -2.20 -5.99 -0.79 3.82 5.96 -21.40 30.61 -3.39
F Currency 14.1255 -0.0350 -0.25 10.13 -0.99 5.50 5.20 5.44 01/15/07 -2.34 -1.92 -5.47 -0.42 4.96 7.12 -20.53 32.06 -2.29
Dynamic Precious Metals Fund Total funds $857.97 MM
A Currency 23.1606 0.3992 1.75 71.05 18.55 17.90 18.50 8.27 01/20/84 0.38 23.56 23.87 40.41 34.33 5.21 -16.89 -1.84 53.96
F Currency 49.1395 0.8489 1.76 73.52 20.24 19.57 20.19 8.92 01/15/07 0.49 24.00 24.75 41.07 36.30 6.69 -15.74 -0.47 56.16
Dynamic Premium Yield Class Total funds $749.98 MM
A Currency 16.1681 -0.1037 -0.64 0.40 8.69 9.46 - 5.84 03/10/16 -0.62 -5.70 -1.19 -4.26 9.42 20.34 -1.42 12.67 2.81
F Currency 17.4594 -0.1114 -0.63 1.39 9.86 10.65 - 7.03 03/10/16 -0.54 -5.45 -0.79 -3.96 10.56 21.70 -0.31 13.94 3.93
Dynamic Premium Yield Fund Total funds $5.16 B
A Currency 11.4082 -0.0730 -0.64 0.69 8.90 9.64 5.63 6.68 10/28/13 -0.61 -5.68 -0.98 -4.19 9.73 20.59 -1.38 12.89 2.94
F Currency 11.4392 -0.0729 -0.63 1.82 10.12 10.86 6.80 7.87 10/28/13 -0.51 -5.42 -0.43 -3.85 10.97 21.93 -0.28 14.13 4.01
Dynamic Real Estate & Infrastructure Income Fund Total funds $124.76 MM
A Currency 13.1350 0.0253 0.19 18.27 0.74 6.99 5.46 9.07 11/02/09 0.04 2.60 -0.31 3.44 12.27 -1.45 -14.39 21.00 -8.79
F Currency 13.4979 0.0265 0.20 19.59 1.87 8.19 6.63 10.26 11/02/09 0.14 2.88 0.26 3.83 13.52 -0.35 -13.43 22.36 -7.75
Dynamic Strategic Energy Class Total funds $13.76 MM
A Currency 6.3713 0.0297 0.47 2.15 6.88 16.00 -1.91 -0.35 07/19/07 -10.02 -5.65 -1.82 -4.79 22.78 3.12 25.75 9.22 -22.77
A CurrencyUS 4.6411 0.0674 1.47 1.99 4.28 16.21 -3.17 -1.94 07/19/07 -6.08 -0.53 -0.84 -0.73 12.78 5.69 17.60 10.08 -21.54
F Currency 8.0494 0.0377 0.47 3.24 8.04 17.24 -0.82 0.74 07/19/07 -9.94 -5.40 -1.29 -4.46 24.11 4.25 27.10 10.42 -21.84
F CurrencyUS 5.8635 0.0853 1.48 3.09 5.41 - - 10.14 01/27/22 -6.00 -0.27 -0.31 -0.39 14.01 6.84 - - -
Dynamic Strategic Gold Class Total funds $337.22 MM
A Currency 32.2896 0.5551 1.75 63.54 21.27 18.58 15.95 8.22 08/24/09 1.22 17.77 22.20 32.75 36.92 7.15 -5.72 -0.08 40.69
A CurrencyUS 23.5210 0.6336 2.77 63.30 18.32 18.79 14.46 6.55 08/24/09 5.65 24.15 23.41 38.41 25.78 9.82 -11.84 0.70 42.98
F Currency 36.8983 0.6354 1.75 65.37 22.61 19.88 17.26 9.43 08/24/09 1.32 18.15 22.87 33.32 38.37 8.32 -4.72 1.01 42.28
F CurrencyUS 26.8781 0.7248 2.77 65.13 19.63 - - 19.68 01/27/22 5.76 24.56 24.09 39.01 27.10 11.02 - - -
Dynamic Strategic Resource Class Total funds $77.70 MM
A Currency 15.2702 0.3047 2.04 -6.90 0.93 12.63 5.89 4.65 11/24/11 -8.38 -4.76 -6.18 0.04 2.72 -0.36 15.28 19.00 3.30
A CurrencyUS 11.1234 0.3301 3.06 -7.03 -1.53 12.83 4.53 2.54 11/24/11 -4.37 0.40 -5.25 4.31 -5.65 2.12 7.80 19.93 5.00
F Currency 17.3282 0.3463 2.04 -5.87 2.07 13.94 7.00 5.80 11/24/11 -8.30 -4.50 -5.67 0.39 3.87 0.79 16.61 20.46 4.55
F CurrencyUS 12.6225 0.3749 3.06 -6.00 -0.42 14.15 5.62 3.66 11/24/11 -4.27 0.67 -4.73 4.68 -4.59 3.30 9.05 21.40 6.31
Hedge 1
Dynamic Alpha Performance Fund Total funds $22.79 MM
A Currency 9.8649 -0.1705 -1.70 0.51 3.21 -1.42 0.52 4.15 06/07/02 -1.03 -9.20 -3.10 -6.61 20.87 11.05 -17.37 -2.31 -2.30
F Currency 9.6689 -0.1651 -1.68 -0.25 3.65 -0.65 1.34 4.13 12/30/05 -0.96 -8.98 -3.53 -6.28 19.98 12.25 -16.57 -1.22 -1.13