Value Line Asset Allocation Fund Investor Class
Limited financial coverage for VLAAX.
Not enough data to compute a meaningful composite — typical for foreign-listed ADRs, recent IPOs, or thinly-covered small caps. Live quote, chart, and any available stats still render below.
About the company
The fund's primary objective is to achieve a significant total investment return while adhering to a reasonable level of risk. To accomplish this, the portfolio manager allocates capital across a diversified spectrum of common stocks, fixed-income instruments, and money market securities. The adviser employs a dynamic asset allocation strategy, which allows for periodic adjustments and rebalancing of the fund's holdings among three key security types: ordinary shares, debt obligations with maturities exceeding one year that are predominantly investment-grade rated, and highly liquid money market instruments.
- IPO
- 1993
- HQ
- New York, NY, US
Price Chart
- Market Cap
- $320.48M
- Div Yield
- 12.64%
- 52W High
- $42.40
- 52W Low
- $32.46
- 50D MA
- $33.21
- 200D MA
- $35.94
- Beta
- 0.85
- Avg Volume
- 0
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