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Returns

  1. U.S. Equity Funds
  2. Fixed Income Funds
  3. Money Market Funds
  4. Structured Products
  5. Specialty Products

As of 12.31.11

  1.  
  2.  
  Ticker / Cusip   MTD
(%)
YTD
(%)
1 YR
(%)
3 YR
(%)
5 YR
(%)
10 YR
(%)
ITD
(%)
Incept.
Date
* Gross Ratio
(%)
* Net Ratio
(%)
Small Cap Growth FundKNEMX /
31678R783
NAV
POP
15.02
9.22
-8.01
-12.57
-8.01
-12.57
17.27
15.26
-0.13
-1.14
2.55
2.02
6.39
6.11
12/4/921.531.31
Mid Cap Growth FundFSMCX /
316786763
NAV
POP
11.24
5.63
3.09
-2.11
3.09
-2.11
23.76
21.64
2.17
1.13
3.38
2.85
9.70
9.49
11/20/921.501.20
Quality Growth FundFSQGX /
316786797
NAV
POP
7.10
1.77
0.19
-4.84
0.19
-4.84
13.60
11.67
2.28
1.23
0.80
0.29
9.71
9.52
11/20/921.381.20
Dividend Growth FundFSPIX /
316786565
NAV
POP
10.05
4.54
2.08
-3.01
2.08
-3.01
11.02
9.14
-0.10
-1.12
0.28
-0.23
7.16
6.96
3/6/983.570.98
Micro Cap Value FundMXCAX /
316786151
NAV
POP
14.73
8.87
-5.15
-9.80
-5.15
-9.80
18.24
16.22
0.64
-0.39
9.16
8.61
9.26
8.87
8/13/011.981.60
Small Cap Value FundFTVAX /
31678R114
NAV
POP
17.39
11.52
0.39
-4.63
0.39
-4.63
17.05
15.06
1.76
0.72
N/A
9.01
8.37
4/1/031.611.20
All Cap Value FundMXLAX /
316786243
NAV
POP
12.92
7.29
-4.88
-9.65
-4.88
-9.65
11.53
9.64
-3.60
-4.58
3.84
3.31
8.78
8.53
8/13/011.711.10
Disciplined Large Cap Value FundFSSIX /
316786664
NAV
POP
13.79
8.13
-2.85
-7.72
-2.85
-7.72
10.06
8.20
-3.05
-4.04
3.63
3.10
9.45
9.25
1/27/971.341.00

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