| No headlines available for MVEIX. |
| | | Morningstar Overall Rating: |  | | Total Assets: | 8.66M | | Category: | Large Blend | | Total Expense Ratio: | % |
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| PERFORMANCE & RISK | 30-Nov-09 |
| YTD Return: | 18.93% | | 5y Avg Return: | -3.32% | | Rank in Category (ytd): | 1637 | | % Rank in Category (ytd): | 81% | | Beta (3y): | 1.03 | | Morningstar Risk Rating: | Above average |
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| The investment seeks long-term capital appreciation. The fund normally invests at least 80% of assets in common stocks of domestic companies that its adviser believes are under-priced relative to comparable securities determined by price/earnings ratios, cash flows or other measures. It seeks to maintain a minimum average weighted market capitalization of $5 billion. The management of the fund relies on stock selection to achieve its results. In selecting stocks, the management establishes valuation parameters, by using relative ratios or target prices to evaluate companies on several levels. | | | Fund Profile |
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