Distributions Now Available
Find the per-share distributions for many of our funds.

Data reflects past performance for Investor Class shares, assumes reinvestment of dividends and capital gains and is no guarantee of future results. Current performance may be higher or lower than data shown. Investment return and principal value fluctuates. Redemption value may be more or less than original cost. Obtain performance data current to the most recent month end. For additional share class information, consult the prospectus. Extraordinary performance is attributable in part to unusually favorable market conditions and may not be repeated or consistently achieved in the future.

Performance


Mutual Funds listed by:

as of {eddat}

Print Print  
  • All Funds 
    Filter Options
    Show All Funds
    Value Funds
    Blend Funds
    Growth Funds
    Specialty Funds
    International Funds
    Asset Allocation Funds
    Balanced Funds
    Taxable Bond Funds
    Tax-Free Bond Funds
    Taxable Money Markets
    Tax-Free Money Markets
  • Stock Funds 
    Filter Options
    Show All Funds
    Value Funds
    Blend Funds
    Growth Funds
    Specialty Funds
    International Funds
  • Bond Funds 
    Filter Options
    Show All Funds
    Taxable Funds
    Tax-Free Funds
  • Asset Allocation 
    Filter Options
    Show All Funds
    Asset Allocation Funds
    Balanced Funds
  • Money Markets 
    Filter Options
    Show All Funds
    Taxable Funds
    Tax-Free Funds
  • Category
    spacer

    YTD%
    spacer

    7-Day
    Current
    Yield%

    spacer
    as of
    {dates::emdate}
    as of {dates::eqdate} Exp.
    Ratio

    (1)
    spacer
    Incpt
    Date

    spacer

    spacer

    spacer
    1
    Month

    spacer
    Total
    Rtn

    1yr%
    spacer
    Average Annual Total Returns
    3yr%
    spacer
    5yr%
    spacer
    10yr%
    spacer
    Life
    spacer
    {fna} {ftn} {dec}
    {sub} {dy}  {cur}   {mom}   {q1yr}  {q3yr}  {q5yr}  {q10yr}  {qincp}   {ert}  {ind}



      

    The 7-day current yield more closely reflects the current earnings of the fund than the total return.

    Footnotes and Disclosures

    (F1)Redemption of shares within 60 days of purchase will be subject to a 2% redemption fee.
    (F2)Redemption of shares within 60 days of purchase will be subject to a 1% redemption fee.

    [x]This fund is closed to new investors.

    (*)Denotes fund price affected by a recent distribution.

    (1)The annual expense ratio is based on expenses incurred by the fund, as stated in the most recent prospectus.
    (2)Not available in all states.
    (3)This inception date corresponds with the management company's implementation of its current investment philosophy and practices.
    (4)Returns or yields for the fund would have been lower if a portion of the management fee had not been waived. Review the annual or semi-annual report for the most current information.