Calendar year-to-date

With maximum sales charge. Maximum sales charge is the maximum fee on the purchase of new shares of a mutual fund. Paying a sales charge is similar to paying a premium for a security in that the customer must pay a higher offering price. Sometimes called a load.

The sum of dividends, short-term and long-term capital gains.

Capital gains realized from the disposition of investments held for less than one year.

The price at which shareholders reinvest dividends and/or capital gains.

The date used to determine which shareholders are eligible to receive the distribution. Shareholders who purchase fund shares on or before the record date will receive the distribution.

The date when shareholders are paid their distribution, either in cash or by reinvestment in additional fund shares.

Net expense ratio is the fund’s total annual operating expense ratio after any fee waivers or reimbursements.

Capital gains realized from the disposition of investments held for more than one year.

Gross expense ratio is the fund’s total annual operating expense ratio before any fee waivers or reimbursements.

Calculations are hypothetical estimates and are shown for illustrative purposes only. Annual fees are based on the investment amount entered, assuming no return. Fund’s operating expenses based on the net expense ratio (Total annual fund operating expenses/Total annual fund operating expenses after fee waiver and/or expense reimbursement) as stated in the fee table of the fund’s current prospectus. Annual fees calculated does not reflect any sales charge or breakpoints for shares that are purchased or redeemed.

Weighted average time until the expiration date of the options, measured in days.

The date when the distribution amount per share is deducted from the fund's NAV. Shareholders who purchase fund shares on the ex-dividend date are not eligible to receive the distribution.

The sum of declared dividends for every ordinary share issued.

The sum of declared dividends for every ordinary share issued.

Weighted average cost of buying options measured as a percentage of net portfolio assets.

Weighted average cash flow produced from selling options measured as a percentage of net portfolio assets.

Unsubsidized 30-day SEC yield is calculated using the gross expenses of the fund. Gross expenses do not include any fee waivers or reimbursement.

Gateway Fund GATEX

Portfolio managers

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J. Patrick Rogers

J. Patrick Rogers began his investment career in 1986 and joined Gateway Investment Advisers in 1989. He has been the firm's chief executive officer since 2006, its president and a member of its board of directors since 1995, and served as its chief investment officer from 1995 through 2005. Mr. Rogers received a BBA from the University of Notre Dame in 1986 and an MBA from Xavier University in 1994.


Experience
  • Managed the fund since 1994
  • Joined the firm in 1989
  • Began investment career in 1986
Education

  • BBA, University of Notre Dame
  • MBA, Xavier University

Michael T. Buckius, CFA

Michael Buckius began his investment career in 1992 and joined Gateway Investment Advisers in 1999. Mr. Buckius holds a BBA and MBA in finance from Loyola University Maryland.


Experience
  • Managed the fund since 2008
  • Joined the firm in 1999
  • Began investment career in 1992
Education

  • BBA, MBA, Finance, Loyola University Maryland

Paul R. Stewart, CFA

Paul R. Stewart began his investment career in 1989 and joined Gateway Investment Advisers in 1995. Mr. Stewart received a BBA from Ohio University in 1988. He holds the designation of Chartered Financial Analyst.


Experience
  • Managed the fund since 2006
  • Joined the firm in 1995
  • Began investment career in 1989
Education

  • BBA, Ohio University

Gateway Fund

  • A risk-managed core equity allocation

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Fund basics

Ticker GATEX
CUSIP 367829207
Fund number 1984
Inception date 12/07/1977
Total net assets
(as of 05/18/2012)
$5.64 billion
Asset class Alternatives
Hedged Equity
U.S. Equity

Daily stats

(as of 05/18/2012)
NAV $26.37 $-0.08 | -0.30%
w/MSC $27.98  

30-day SEC yield 1.37%  
30-day SEC yield
(unsubsidized)
1.28%  
Start date *
End date *
Frequency Daily    Monthly    Quarterly    Annually
 

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Phone: 800-225-5478
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