Daniel Ashcraft is a Portfolio Manager at Gateway Investment Advisers, LLC. In that role, he is heavily involved in trading and analysis. Additionally, Mr. Ashcraft has led the way in implementing the firm’s international version of its equity multifactor model. Prior to joining Gateway in 2009, Mr. Ashcraft conducted market research at Longbow Research, in Cleveland, Ohio. He began his investment career in 2007.
Mr. Ashcraft has a BS from the Richard T. Farmer School of Business at Miami University in Ohio and is a CFA® charterholder.
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Low-volatility equity fund that combines a diversified stock portfolio with an actively managed portfolio of written index call options to reduce risk.
Low-volatility diversified stock fund using an actively managed portfolio of written index call options and purchased index put options to reduce risk.