Address And Details

500 Bielenburg Dr. , Woodbury, MN 55125
Fund Manager Team Managed
Manager Tenure

Strategy And Objective

The Fund seeks to provide current income with growth of capital as a secondary objective.The Fund seeks to achieve its investment objective by investing in a mix of equity securities and fixed income investments. Under normal circumstances,the Fund targets an allocation of approximately 45% equity securities and 55% fixed income investments,with the allocation generally varying by no more than +/-5%.Allocation decisions within these bands are at the discretion of the Fund’s sub-adviser, Wellington Management CompanyLLP (“Wellington Management”),and are based on Wellington Management’s judgment of the projected investment environment for financial assets,relative fundamental values,the attractiveness of each asset category,and expected future returns of each asset category.The equity portion of the Fund invests primarily in common stocks with a history of above-average dividends or expectations of increasing dividends.The equity portion of the Fund may invest in a broad range of market capitalizations,but generally invests in companies with market capitalizations above $2 billion.The Fund may invest up to 25% of the equity portion of the portfolio in the securities of foreign issuers and non-dollar securities.The Fund may invest up to 20% of the fixed income portion of the portfolio in domestic non-investment grade debt (also known as “junk bonds”).The Fund may also invest up to 25% of the fixed income portion of the portfolio in non-US dollar denominated debt and up to 20% of the fixed income portion of the portfolio in emerging market debt securities.The Fund may invest in debt securities of any maturity or duration.The fixed income portfolio manager may allocate a portion of the Fund’s assets tospecialists within Wellington Management who implement the individual sector and security selection strategies.

Net Asset Value

as of 5:24 PM ET 09/22/2021

Performance

  • 1 Week
  • -1.01%
  • 1 Month
  • -1.01%
  • 3 Months
  • +0.97%
  • 1 Yr Return
  • +12.25%
  • 5 Yr Return
  • +18.09%

Equity Sector Breakdown

Finance 12.23%
NonDurables 7.35%
IndustrialCyclical 6.51%
Health 6.17%
Technology 5.39%
Utilities 3.59%
Energy 2.64%
RetailTrade 2.00%
ConsumerDurables 1.36%
Services 0.61%

Asset Allocation

Asset Type % Of Allocation
Stocks 48.28%
ForeignStocks 4.68%
Preferred 0.28%
Convertible 0.13%
Cash 0.00%
Bonds 0.00%
Other 0.00%
ForeignBonds 0.00%
ForeignHedged 0.00%
Total Net Assets 4.73 B

Risk Measures

Criteria 3 Years 5 Years 10 Years
Alpha 0.08 -1.19 0.30
Beta 0.51 0.50 0.49
R Squared 0.88 0.85 0.83
Std Deviation 9.98 8.15 7.29
Sharpe Ratio 0.92 0.91 n/a

Purchase Information

as of 5:19 PM ET 09/21/2021
Minimum Initial $2000
Minimum Additional $50
Minimum Initial IRA $2000

Performance

Timeframe Average Annual Current Performance Monthly As Of 08/31/2021 Average Annual Current Performance Quarterly As Of 06/30/2021 Avg Annual Current Performance Monthly As Of 08/31/2021 Avg Annual Current Performance Quarterly As Of 06/30/2021
1 Year
  • +15.49%
  • +17.38%
+15.49% +17.38%
3 Year
  • +9.87%
  • +10.08%
+9.87% +10.08%
10 Year
  • +8.76%
  • +8.29%
+8.76% +8.29%
Life Of Fund
  • +7.60%
  • +7.52%
+7.60% +7.52%

Top 10 Holdings

Symbol Company Name % Of Assets
BAC BANK OF AMERICA CORPORATION 1.90%
JNJ JOHNSON & JOHNSON 1.59%
MDT MEDTRONIC PLC 1.52%
CSCO CISCO SYSTEMS INC 1.52%
HD HOME DEPOT INC 1.50%
CMCSA COMCAST CORP 1.49%
CCI CROWN CASTLE INTERNATIONAL C 1.48%
JPM JPMORGAN CHASE & CO 1.48%
MET METLIFE INC 1.32%
PM PHILIP MORRIS INTERNATIONAL 1.29%

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