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| | | Morningstar Overall Rating: |  | | Total Assets: | 71.42M | | Category: | Conservative Allocation | | Total Expense Ratio: | 1.38% |
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| PERFORMANCE & RISK | 31-Oct-09 |
| YTD Return: | 23.24% | | 5y Avg Return: | 5.05% | | Rank in Category (ytd): | 89 | | % Rank in Category (ytd): | 13.97% | | Beta (3y): | 0.89 | | Morningstar Risk Rating: | Above average |
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| The investment seeks current income and long-term growth of income. Capital appreciation is a secondary objective. The fund invests in both equity and fixed income securities that have high relative income potential. Equity selection attempts to identify mature, mid to large-cap companies with high relative dividend yields that are likely to maintain and increase. Fixed-income investments are selected that offer high current yields. The fixed-income investments primarily are investment grade corporate debt, domestic non-investment grade debt and foreign fixed-income securities, including emerging market debt. | | | Fund Profile |
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