Kenneth Toft joined Gateway Investment Advisers, LLC in 1992 and is currently a Senior Vice President and serves as a co-portfolio manager for several mutual funds advised or sub-advised by the firm, in addition to the firm’s separate account strategies.
Mr. Toft is responsible for managing portfolios using hedging strategies for growth-oriented, high-volatility indexes as well as trading and servicing individual client relationships.
Prior to joining Gateway, Mr. Toft served as a registered representative for Fidelity Investments. Mr. Toft earned his BA and MBA from the University of Cincinnati and is a CFA® charterholder.
Funds managed
Gateway Equity Call Premium Fund
Ticker
GCPYX
Low volatility equity fund that combines a diversified stock portfolio with an actively managed portfolio of written index call options to reduce risk.
Total net assets
$239.75 million
as of 04/22/2025
Morningstar category
Equity Hedged
Gateway Fund
Ticker
GTEYX
Low volatility equity fund that combines a diversified stock portfolio with an actively managed portfolio of written index call options and purchased index put options to reduce risk.
Total net assets
$6.32 billion
as of 04/22/2025
Morningstar category
Equity Hedged
Natixis Gateway Quality Income ETF
Ticker
GQI
Income-oriented equity strategy that combines a diversified portfolio of high-quality US equity securities with an index-option selling overlay program that generates robust distributable cash flow to shareholders.
Total net assets
$127.89 million
as of 04/22/2025
Morningstar category
Derivative Income
Gateway Investment Advisers
Gateway Investment Advisers, LLC specializes in low volatility equity strategies for risk-conscious investors.
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