Astor Sector Allocation Fund Class I

Astor Sector Allocation Fund Class I

STARX
Astor Sector Allocation Fund Class IUS flagNASDAQ
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USD
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Capital Structure

FRC

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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChat
Sector
Financial Services
Industry
Asset Management
Address
Astor Asset Management United States of America
IPO Date
Jan 6, 2014
Business
Astor Sector Allocation Fund Class I (STARX) is an actively managed open-end mutual fund that seeks total return by investing primarily in a portfolio of other investment funds, including exchange-traded funds, and individual securities across various sectors. The fund allocates assets dynamically among equity sectors such as technology, healthcare, financials, consumer discretionary, and industrials; fixed income categories like investment-grade bonds, high-yield debt, and municipals; and alternative investments including real estate, commodities, and international equities, with a focus on risk-adjusted performance through tactical shifts based on macroeconomic trends. It offers Class I shares with a minimum investment threshold targeted at institutional and high-net-worth investors, featuring low expense ratios and no sales loads. The fund operates within the U.S. mutual fund industry, serving retail and institutional clients seeking diversified, multi-asset class exposure without direct management of individual holdings. Geographically, it invests globally, with primary emphasis on U.S. markets and selective international allocations in developed and emerging economies. Astor Investment Management LLC, the fund's adviser founded in 2009 and headquartered in Chicago, Illinois, employs proprietary sector rotation models and quantitative analysis to guide allocations. In recent developments, the fund maintained stable operations amid market volatility in 2024-2025, with no major acquisitions, funding rounds, or name changes reported; however, Astor Investment Management enhanced its strategic alliances by integrating advanced ESG screening tools into allocation models and launched minor updates to its tactical asset allocation framework in late 2024 to better address inflation and interest rate dynamics. These adjustments reflect ongoing refinements rather than transformative shifts, supporting consistent performance relative to multi-sector benchmarks.