Transcription of Stable Pooled Fund - divinvest.com
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Asset Class: Short-Term Bonds quarter ending June 30, 2007. Stable Pooled fund Investment Style: Growth of $100 (Since Inception) Annualized Returns (%). Stable Value 170 2Q Investment Objective: 160 YTD Safety of principal, adequate liquidity, and 150 1 Yr returns superior to shorter maturity fixed 140. income alternatives. 3 Yrs 130 5 Yrs 120 10 Yrs Investment Strategy: 110. The fund seeks to provide positive income with reduced return volatility 100 Net Expense Ratio: 12/96 12/98 12/00 12/02 12/04 6/07. through investment in a diversified portfolio of high quality fixed income securities. The fund invests in Stable value fixed income instruments, including Guaranteed Investment Contracts (GIC's), The performance figures represent past performance. Past performance does not guarantee Bank Investment Contracts (BIC's), as future results. The investment return and principal value of an investment will fluctuate so that well as GIC alternatives, such as synthetic an investor's units, when redeemed, may be worth more or less than their original cost.
Stable Pooled Fund Investment Style: Stable Value Investment Objective: Safety of principal, adequate liquidity, and returns superior to shorter maturity fixed income alternatives. Investment Strategy: The Fund seeks to provide positive income with reduced return volatility through investment in a diversified portfolio of high quality fixed income
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