Daniel Ashcraft joined Gateway Investment Advisers, LLC in 2009 and is a Vice President, a member of the Board of Managers and co-portfolio manager for several mutual funds advised or sub-advised by the firm, in addition to the firm’s separate account strategies. In this role, he is involved in trading and analysis as well as implementation of the firm’s equity multi-factor model.
Mr. Ashcraft earned his BS from Miami University, Ohio, 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
$239.56 million
as of 04/17/2025
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
$6.34 billion
as of 04/17/2025
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
$126.64 million
as of 04/17/2025
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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