Nasdaq - Delayed Quote USD

Victory Market Neutral Income I (CBHIX)

8.80
+0.02
+(0.23%)
At close: 8:04:38 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return 5.32%
5y Average Return 4.05%
Number of Years Up 10
Number of Years Down 2
Best 1Y Total Return (May 20, 2025) 9.85%
Worst 1Y Total Return (May 20, 2025) --
Best 3Y Total Return 9.85%
Worst 3Y Total Return -0.28%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
CBHIX
Category
YTD
4.64%
3.32%
1-Month
1.10%
-0.91%
3-Month
4.44%
-0.12%
1-Year
7.55%
1.15%
3-Year
4.15%
-0.31%
5-Year
3.80%
0.15%
10-Year
3.86%
0.11%
Last Bull Market
1.04%
1.54%
Last Bear Market
-1.53%
-2.16%

Annual Total Return (%) History

Year
CBHIX
Category
2025
--
--
2024
1.20%
--
2023
9.85%
--
2022
-2.56%
--
2021
3.40%
--
2020
4.83%
-5.26%
2019
2.81%
0.06%
2018
3.31%
-0.26%

2017
6.99%
3.40%
2016
4.23%
0.90%
2015
0.27%
1.76%
2014
1.55%
2.66%
2013
-2.61%
3.65%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 3.50% -- -- --
2024 -3.06% 1.91% 1.42% 1.01%
2023 2.96% 0.62% 2.87% 3.07%
2022 0.82% -1.53% -3.77% 1.99%
2021 1.72% -0.39% 0.43% 1.61%
2020 -0.87% 4.42% -1.25% 2.56%
2019 -0.61% 1.21% 0.67% 1.53%
2018 -0.32% 1.96% 1.04% 0.61%
2017 3.15% -0.20% 2.33% 1.56%
2016 3.31% -1.18% -0.57% 2.68%

2015 -1.56% 1.19% 1.71% -1.03%
2014 0.27% 2.32% -1.43% 0.42%
2013 0.60% -2.10% 0.00% -1.12%

Rank in Category (By Total Return)

YTD 25
1-Month 29
3-Month 15
1-Year 36
3-Year 77
5-Year 66

Load Adjusted Returns

1-Year 7.55%
3-Year 4.15%
5-Year 3.80%
10-Year 3.86%

Performance & Risk

YTD Return 5.32%
5y Average Return 4.05%
Rank in Category (ytd) 25
% Rank in Category (ytd) --
Beta (5Y Monthly) 0.03
Morningstar Risk Rating

Fund Overview

Category Equity Market Neutral
Fund Family Victory Capital
Net Assets 2.56B
YTD Return 4.64%
Yield 4.39%
Morningstar Rating
Inception Date Nov 19, 2012

Fund Summary

The Adviser pursues the fund’s investment objective by implementing a proprietary, “market neutral” investment strategy designed to seek income from its investments while maintaining a low correlation to the foreign and domestic equity and bond markets.

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