Boston Partners Managed Mutual Funds

Size: px
Start display at page:

Download "Boston Partners Managed Mutual Funds"

Transcription

1 Percentile Rankings vs. Morningstar Category: September 0, 08 Strategy Institutional Shares Ticker Overall Morningstar Rating Return Rank Return Rank Return Rank Return Rank Return Rank BP All-Cap Value Fund BPAIX Morningstar Large Value Category BP Small Cap Value Fund II BPSIX Morningstar Small Value Category BP Long/Short Equity Fund BPLSX Morningstar Long/Short Category BP Long/Short Research Fund BPIRX Morningstar Long/Short Category BP Global Equity Fund BPGIX Morningstar World Stock Category BP Global Long/Short Fund BGLSX Morningstar Long/Short Category BP Emerging Markets Long/Short Fund BELSX Morningstar Long/Short Category Sub-Advised Funds John Hancock Disciplined Value Fund JVLIX Morningstar Large Value Category John Hancock Disciplined Value Mid Cap Fund JVMIX Morningstar Mid-Cap Blend Category John Hancock Disciplined Value International Fund JDVIX Morningstar Foreign Large Blend Category Effective May 7, 00, the Boston Partners Long/Short Equity Fund is closed to all new investors. Effective January, 04, the John Hancock Disciplined Value Mid Cap Fund is closed to all new investors. John Hancock Disciplined Value International Fund is the successor to Boston Partners International Equity Fund and was first offered on September 9, 04. Returns prior to this date are those of the predecessor fund's institutional class shares, launched on December 0, 0, and may be higher than if adjusted to reflect the expenses of any other share class. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed may be worth more or less than their original cost. Performance data current to the most recent month-end may be obtained at Boston Partners is the investment adviser to the Boston Partners and WPG Partners Funds. Quasar Distributors LLC is the Distributor of the Funds and is not affiliated with the advisor or John Hancock. Securities offered through Boston Partners Securities LLC, member FINRA, SiPC, an affiliate of Boston Partners Global Investors, Inc. Sub-advised Funds are offered through John Hancock. To obtain a prospectus, call your John Hancock Funds Internal Business Consultant at or visit The prospectus contains this and other important information about the fund. Clients should read the prospectus carefully before investing or sending money. John Hancock Funds, LLC MEMBER FINRA SIPC 60 Congress Street, Boston, MA NOT FDIC INSURED. MAY LOSE VALUE. NO BANK GUARANTEE. NOT INSURED BY ANY GOVERNMENT AGENCY. You should consider the investment objectives, risks, charges and expenses of Boston Partners Investment Funds carefully before investing. Call (888) to obtain a prospectus with this and other information about the Funds. It should be read carefully before investing. All ratings are based on risk adjusted returns. Please see more important information regarding the Morningstar Ratings system on the following pages st Quartile nd Quartile rd Quartile 4th Quartile

2 Percentile Rankings vs. Morningstar Category: Calendar Rankings Strategy Rankings YTD 08 Institutional Shares Ticker BP All-Cap Value Fund BPAIX Morningstar Large Value Category BP Small Cap Value Fund II BPSIX Morningstar Small Value Category BP Long/Short Equity Fund BPLSX Morningstar Long/Short Category BP Long/Short Research Fund BPIRX Morningstar Long/Short Category BP Global Equity Fund BPGIX Morningstar World Stock Category BP Global Long/Short Fund BGLSX Morningstar Long/Short Category Sub-Advised Funds John Hancock Disciplined Value Fund JVLIX Morningstar Large Value Category John Hancock Disciplined Value Mid Cap Fund JVMIX Morningstar Mid-Cap Blend Category John Hancock Disciplined Value International Fund JDVIX Morningstar Foreign Large Blend Category 9% Top Quartile 0% nd Quartile % rd Quartile 0% 4th Quartile Effective May 7, 00, the Boston Partners Long/Short Equity Fund is closed to all new investors. Effective January, 04, the John Hancock Disciplined Value Mid Cap Fund is closed to all new investors. John Hancock Disciplined Value International Fund is the successor to Boston Partners International Equity Fund and was first offered on September 9, 04. Returns prior to this date are those of the predecessor fund's institutional class shares, launched on December 0, 0, and may be higher than if adjusted to reflect the expenses of any other share class. The information contained herein () is proprietary to Morningstar and/or its content providers; () may not be copied or distributed; and () is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. For each fund with at least a three-year history, Morningstar calculates a Morningstar Rating based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a fund s monthly performance (including the effects of sales charges, loads, and redemption fees), placing more emphasis on downward variations and rewarding consistent performance. The top 0% of funds in each category receive 5 stars, the next.5% receive 4 stars, the next 5% receive stars, the next.5% receive stars and the bottom 0% receive star. (Each share class is counted as a fraction of one fund within this scale and rated separately, which may cause slight variations in the distribution percentages.) Ratings are subject to change monthly. The Overall Morningstar Rating for a fund is derived from a weighted average of the performance figures associated with its three, five and ten year Morningstar Rating metrics. All ratings are based on risk adjusted returns as of September 0, 08. Morningstar Ratings are for the share class indicated. Other classes may vary. All ratings are based on risk adjusted returns. Please see more important information regarding the Morningstar Ratings system on the following pages.

3 Percentile Rankings vs. Morningstar Category: Calendar Returns Strategy Returns YTD 08 Institutional Shares Ticker BP All-Cap Value Fund BPAIX Morningstar Large Value Category BP Small Cap Value Fund II BPSIX Morningstar Small Value Category BP Long/Short Equity Fund BPLSX Morningstar Long/Short Category BP Long/Short Research Fund BPIRX Morningstar Long/Short Category BP Global Equity Fund BPGIX Morningstar World Stock Category BP Global Long/Short Fund BGLSX Morningstar Long/Short Category Sub-Advised Funds John Hancock Disciplined Value Fund JVLIX Morningstar Large Value Category John Hancock Disciplined Value Mid Cap Fund JVMIX Morningstar Mid-Cap Blend Category John Hancock Disciplined Value International Fund JDVIX Morningstar Foreign Large Blend Category Effective May 7, 00, the Boston Partners Long/Short Equity Fund is closed to all new investors. Effective January, 04, the John Hancock Disciplined Value Mid Cap Fund is closed to all new investors. Data reflects Class R6 Shares. John Hancock Disciplined Value International Fund is the successor to Boston Partners International Equity Fund and was first offered on September 9, 04. Returns prior to this date are those of the predecessor fund's institutional class shares, launched on December 0, 0, and may be higher than if adjusted to reflect the expenses of any other share class. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed may be worth more or less than their original cost. Performance data current to the most recent month-end may be obtained at Boston Partners is the investment adviser to the Boston Partners and WPG Partners Funds. Quasar Distributors LLC is the Distributor of the Funds and is not affiliated with the adviser or John Hancock. Securities offered through Boston Partners Securities LLC, member FINRA, SiPC, an affiliate of Boston Partners Global Investors, Inc. Sub-advised Funds are offered through John Hancock. To obtain a prospectus, call your John Hancock Funds Internal Business Consultant at or visit The prospectus contains this and other important information about the fund. Clients should read the prospectus carefully before investing or sending money. John Hancock Funds, LLC MEMBER FINRA SIPC 60 Congress Street, Boston, MA NOT FDIC INSURED. MAY LOSE VALUE. NO BANK GUARANTEE. NOT INSURED BY ANY GOVERNMENT AGENCY. You should consider the investment objectives, risks, charges and expenses of Boston Partners Investment Funds carefully before investing. Call (888) to obtain a prospectus with this and other information about the Funds. It should be read carefully before investing. All ratings are based on risk adjusted returns. Please see more important information regarding the Morningstar Ratings system on the following pages.

4 Morningstar Disclosure: September 0, 08 The Overall Morningstar Star Rating for a fund is derived from a weighted average of the performance figures associated with its three, five and ten year Morningstar Rating metrics. All ratings are based on risk adjusted returns as of September 0, 08. Morningstar Star Ratings are for the share class indicated. Other classes may vary. Comparison Peer Group Information The Boston Partners All-Cap Value Fund (Investor and Institutional Class) was rated against,09 of U.S. domiciled Large Cap Value Funds over the following time periods: -, 5-, and 0 year period ratings were, respectively stars out of,09 Funds, 4 stars out of 948 Funds, and 5 stars out of 696 Funds - Investor Class; and 4 stars out of,09 Funds, 4 stars out of 948 Funds, and 5 stars out of 696 Funds - Institutional Class. The Boston Partners Small Cap Value Fund II (Investor and Institutional Class) was rated against 6 of U.S. domiciled Small Cap Value Funds over the following time periods: -, 5-, and 0-year period ratings were, respectively stars out of 6 Funds, stars out of 7 Funds, and 4 stars out of 6 Funds - Investor Class; and stars out of 6 Funds, stars out of 7 Funds, and 4 stars out of 6 Funds - Institutional Class. The Boston Partners Long/ Short Equity Fund (Investor and Institutional Class) was rated against 94 of U.S. domiciled Long/Short Funds over the following time periods: -, 5-, and 0-year period ratings were, respectively stars out of 94 Funds, stars out of 05 Funds, and 5 stars out of 9 Funds - Investor Class; and stars out of 94 Funds, stars out of 05 Funds, and 5 stars out of 9 Funds - Institutional Class. The Boston Partners Long/Short Research Fund (Investor and Institutional Class) was rated against 94 of U.S. domiciled Long/Short Equity Funds over the following time periods: -, 5-year period rating were, stars out of 94 Funds, 4 stars out of 05 Funds - Investor Class; and stars out of 94 Funds, 4 stars out of 05 Funds - Institutional Class. The Boston Partners Global Equity Fund (Institutional Class) was rated against 79 of U.S. domiciled World Stock Funds over the following time periods: -, 5-year period rating were stars out of 79 Funds, stars out of 6 Funds - Institutional Class. The Boston Partners Global Long/ Short Fund (Investor and Institutional Class) was rated against 94 of U.S. domiciled Long/Short Equity Funds over the following time period: -year period rating were, stars out of 94 Funds - Investor Class; and stars out of 94 Funds - Institutional Class. The Boston Partners Emerging Markets Long/Short Fund (Institutional Class) was rated against 94 of U.S. domiciled Long/Short Equity Funds over the following time period: -year period rating were stars out of 94 - Institutional Class. The WPG Partners Small/Micro Cap Value Fund (Institutional Class) was rated against 6 of U.S. domiciled Small Cap Value Funds over the following time periods: -, 5-, and 0-year period ratings were, respectively star out of 6 Funds, star out of 7 Funds, and star out of 6 Funds - Institutional Class. The John Hancock Disciplined Value Fund (Investor and Institutional Class) was rated against,09 of U.S. domiciled Large Cap Value Funds over the following time periods: -, 5-, and 0-year period ratings were, respectively stars out of,09 Funds, stars out of 948 Funds, and 4 stars out of 696 Funds - Investor Class; and stars out of,09 Funds, stars out of 948 Funds, and 4 stars out of 696 Funds - Institutional Class. The John Hancock Disciplined Value Mid Cap Fund (Investor and Institutional Class) was rated against 7 of U.S. domiciled Mid-Cap Blend Funds over the following time periods: -, 5-, and 0-year period ratings were, respectively stars out of 7 Funds, 4 stars out of 4 Funds, and 5 stars out of 0 Funds - Investor Class; and stars out of 7 Funds, 4 stars out of 4 Funds, and 5 stars out of 0 Funds - Institutional Class. The John Hancock Disciplined Value International Fund (Institutional Class) was rated against 655 of Foreign Large Cap Blend Funds over the following time periods: -, and 5-year period ratings were, respectively, stars out of 655 and 4 stars out of 55 Funds. Morningstar, Inc. All Rights Reserved.

5 Investment Performance through September 0, 08 Performance (%) Q 08 YTD Since Inception* All-Cap Value Fund - Inv. Shares All-Cap Value Fund - Inst. Shares Russell 000 Value Index S&P 500 Index Small Cap Value Fund II - Inv. Shares Small Cap Value Fund II - Inst. Shares Russell 000 Value Index Long/Short Equity Fund - Inv. Shares Long/Short Equity Fund - Inst. Shares S&P 500 Index Long/Short Research Fund - Inv. Shares S&P 500 Index Long/Short Research Fund- Inst. Shares S&P 500 Index * Inception dates are as follows: BP All-Cap Value Fund is July, 00; BP Small Cap Value Fund II is July, 998; BP Long/Short Equity Fund is November 7, 998; BP Long/Short Research Fund-Investor Shares is November 9, 00; and BP Long/Short Research Fund-Institutional Shares is September 0, 00. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed may be worth more or less than their original cost. Performance data current to the most recent month-end may be obtained at Returns are historical and include changes in share price and reinvestment of dividends and capital gains. Returns are shown net of fees and expenses. Boston Partners is the investment adviser to the Boston Partners Investment Funds. Quasar Distributors LLC is the Distributor of the Funds and is not affiliated with the adviser or John Hancock. Securities offered through Boston Partners Securities, Inc., member FINRA, SiPC, an affiliate of Boston Partners Global Investors, Inc.

6 Investment Performance through September 0, 08 Performance (%) Q 08 YTD 08 5 Since Inception Global Equity Fund - Inst. Shares MSCI World Index Global Long/Short Fund - Inv. Shares MSCI World Index Global Long/Short Fund - Inst. Shares MSCI World Index Emerging Markets Long/Short Fund - Inst. Shares MSCI EM Index Operating Expenses (%) Operating expenses include management fees, distribution fees and administrative, legal, registration and other expenses. BP All-Cap Value Fund BP Small Cap Fund II BP Long/Short Equity Fund BP Long/Short Research Fund BP Global Equity Fund BP Global Long/Short Fund Emerging Markets Long/Short Fund Inv. Inst. Inv. Inst. Inv. Inst. Inv. Inst. Inst. Inv. Inst. Inst. Gross Operating Expenses Investment Related Exp. & Fee Waivers Net Expenses Inception dates are as follows: BP Global Equity Fund is December 0, 0; BP Global Long/Short Fund - Institutional Class is December, 0; BP Global Long/Short Fund - Investor Class is April, 04; and BP Emerging Markets Long/Short Fund - Institutional Class is December 5, 05 (includes Prior Account performance). Effective March, 00, the adviser has contractually agreed to waive management fees and reimburse expenses through February 8, 09 to the extent that Total annual Fund operating expenses exceed (excluding short sale dividend expense):.05% for BP All-Cap Value Fund Investor Shares; and 0.80% for BP All-Cap Value Fund Institutional Shares;.75% for BP Long/Short Equity Fund Investor Shares;.50% for BP Long/Short Equity Fund Institutional Shares;.75% for BP Long/Short Research Fund Investor Shares;.50% for BP Long/Short Research Fund Institutional Shares; 0.95% for BP Global Fund Institutional Shares;.5% for BP Global Long/Short Fund Investor Shares;.00% for BP Global Long/Short Fund Institutional Shares; and.00% for BP Emerging Markets Long/Short Fund - Institutional Shares (through December, 08). Net expenses are as of the most recent prospectus and are applicable to investors. If fee waivers and reimbursements had not been included performance would have been lower. Emerging Markets Long/Short returns from March, 05 through December, 05 are calculated by applying a fee of.0% to gross returns of the Prior Account. Effective May 8, 04, the adviser has contractually agreed to waive management fees and reimburse expenses through February 8, 09 to the extent that Total annual Fund operating expenses exceed (excluding short sale dividend expense):.5% for BP Small Cap Value Fund II Investor Shares; and.0% for BP Small Cap Value Fund II Institutional Shares. Net expenses are as of the most recent prospectus and are applicable to investors. 4 There are additional costs associated with the use of short sales. Short-sale dividends generally reduce the market value of the securities by the amount of the dividend declared; thus increasing the Fund's unrealized gain or reducing the Fund's unrealized loss on the securities sold short. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed may be worth more or less than their original cost. Performance data current to the most recent month-end may be obtained at

7 Sub-Advised Funds Investment Performance through September 0, 08 Performance (%) Disciplined Value Fund - Class I - Inst. Shares Q 08 YTD Since Inception Russell 000 Value Index Disciplined Value Mid Cap Fund - Class I - Inst. Shares Russell Midcap Value Index Disciplined Value International Fund - Class I - Inst. Shares MSCI EAFE Index - Gross Operating Expenses (%) Expenses that you pay each year as a percentage of the value of your investment. JH Disciplined Value Fund JH Disciplined Value Mid Cap Fund JH Disciplined Value International Fund Inst. Inst. Inst. Total Annual Fund Operating Expenses Other Expenses Distribution and Services (b-) Fees Management Expenses Inception dates are as follows: Disciplined Value Fund Class I is January, 997; and Disciplined Value Mid Cap Fund Class I is June, 997. Expenses reflect the Fund's latest prospectus. Management expenses are as of the most recent prospectus and are applicable to investors. John Hancock Disciplined Value International Fund is the successor to Boston Partners International Equity Fund and was first offered on September 9, 04. Returns prior to this date are those of the predecessor fund's institutional class shares, launched on December 0, 0, and may be higher than if adjusted to reflect the expenses of any other share class. Net Fund Operating Expenses reflect any applicable voluntary or contractual fee waivers and/or expense reimbursements, which may be discontinued at any time. For more information on fee waivers and/or expense reimbursements, please see the expense table and footnotes in the prospectus. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed may be worth more or less than their original cost. Performance data current to the most recent month-end may be obtained at Sub-advised Funds are offered through John Hancock. To obtain a prospectus, call your John Hancock Funds Internal Business Consultant at or visit The prospectus contains this and other important information about the fund. Clients should read the prospectus carefully before investing or sending money. John Hancock Funds, LLC MEMBER FINRA SIPC 60 Congress Street, Boston, MA NOT FDIC INSURED. MAY LOSE VALUE. NO BANK GUARANTEE. NOT INSURED BY ANY GOVERNMENT AGENCY.

8 Performance Disclosures Boston Partners Global Investors, Inc. ("Boston Partners") is the investment adviser to the Boston Partners Investment Funds. Quasar Distributors LLC is the Distributor of the Funds and is not an adviser affiliate. Securities offered through Boston Partners Securities, LLC, member FINRA, SiPC, an affiliate of Boston Partners Global Investors, Inc. The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. Performance data current to the most recent month-end may be obtained at The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Returns are historical and include changes in share price and reinvestment of dividends and capital gains. Returns shown are net of fees and expenses. Fund holdings are subject to change and may not represent current or future holdings. The value of a fund's investments will vary from day to day based on many factors. Stock values fluctuate in response to issuer, political, regulatory, market or economic developments. The value of small and mid capitalization securities may be more volatile than those of larger issuers. Investments in foreign issuers may be more volatile than in the U.S. market. Investments in emerging markets may increase this risk. Important Risk Disclosures Investment in shares of the Emerging Markets Long/Short Fund, Global Long/Short Fund, the Long/Short Equity Fund and the Long/Short Research Fund is more volatile and risky than some other forms of investments. Since the Emerging Markets Long/Short Fund, Global Long/Short Fund, the Long/ Short Equity Fund and the Long/Short Research Fund has both a long and a short portfolio, an investment in the Fund will involve risks associated with twice the number of investment decisions made for a typical stock fund and short selling carries a risk on unlimited loss. These types of funds typically have a high portfolio turnover that could increase transaction costs and cause short-term capital gains to be realized. Stocks of small capitalization securities are generally more volatile and less liquid than investments in issuers with market capitalizations greater than $ billion. Unseasoned issuers may not have an established financial history and may have limited product lines, markets or financial resources, making them more volatile and difficult to sell. Moreover, the lack of an efficient market for these securities may make them difficult to value. International investing is subject to special risks including, but not limited to, currency risk associated with securities denominated in other than US dollar, which may be affected by fluctuations in currency exchange rates, political, social or economic instability, and differences in taxation, auditing and other financial practices. Investment in emerging market securities may increase these risks. Small cap companies, as defined by our product, are those with a market capitalization similar to the Russell 000 Value Index. These companies tend to be new, in early development, or in transition. Usually, small caps are rapidly evolving, generating a new product or service, or taking advantage of a new market. However, returns may be inconsistent and may fluctuate widely over the short term, and small stock valuations tend to be more sensitive to market psychology. The Fund may invest in more aggressive investments such as foreign securities which may expose the fund to currency and exchange rate fluctuations, illiquid securities, which may cause greater volatility and less liquidity. The Long/Short Equity Fund is a single account managed by Boston Partners balancing long and short portfolio strategies seeking to achieve stable absolute returns. This product is not risk neutral. It is exposed to style, capitalization, sector and short implementation risk. Returns are market value weighted, and are calculated on a total return, time weighted basis using trade date valuations. Returns reflect the reinvestment of dividends and other earnings, and are net of fees and expenses. Short sales are an integral part of the investment strategy and constitute the use of leverage. The Long/Short Research Fund is a single account managed by Boston Partners balancing long and short portfolio strategies seeking to achieve stable absolute returns. This product is not risk neutral. It is exposed to style, capitalization, sector and short implementation risk. Returns are market value weighted, and are calculated on a total return, time weighted basis using trade date valuations. The Global Long/Short Fund is a single account managed by Boston Partners balancing long and short portfolio strategies seeking long term growth of capital. This product is not risk neutral. It is exposed to style, capitalization, sector and short implementation risk. Returns are market value weighted, and are calculated on a total return, time weighted basis using trade date valuations. Returns reflect the reinvestment of dividends and other earnings, and are net of fees and expenses. Short sales are an integral part of the investment strategy and constitute the use of leverage. The Emerging Markets Long/Short Fund is a single account managed by Boston Partners balancing long and short portfolio strategies seeking long term growth of capital. This product is not risk neutral. It is exposed to style, capitalization, sector and short implementation risk. Returns are market value weighted, and are calculated on a total return, time weighted basis using trade date valuations. Returns reflect the reinvestment of dividends and other earnings, and are net of fees and expenses. Short sales are an integral part of the investment strategy and constitute the use of leverage. Short sales are an integral part of the investment strategy and constitute the use of leverage which has attendant risks short selling carries unlimited risk of loss. The Fund may invest in unseasoned issuers and illiquid securities. The Fund may invest in small and mid cap companies which tend to be more volatile and may fluctuate in the opposite direction of the broader stock market average, and in illiquid securities which involves risk of limitations on resale and uncertainty determining valuation. Indices The following Indices are unmanaged with no defined investment objective. The performance of Indices assume no taxes and does not reflect the payment of transaction costs, fees and expenses associated with an investment in a mutual fund. Direct investment in an Index is not possible. All Russell Indices are registered trademarks of the Frank Russell Company. The Russell Value Indices typically measure the performance of universes of stocks displaying low price-to-book ratios and low forecasted growth values. The Russell Growth Indices typically measure the performance of universes of stocks displaying high price-to-book ratios and high forecasted growth values. The Russell 000 Index measures performance of the,000 largest U.S. companies based on total market capitalization. The Russell 000 Index measures the performance of the,000 smallest companies in Securities offered through Boston Partners Securities, LLC, an affiliate of Boston Partners Global Investors, Inc.

9 Performance Disclosures (continued) the Russell 000 Index. The Russell 000 Index measures the performance of the,000 largest companies in the Russell 000 Index. The S&P 500 Index is an unmanaged index (with no defined investment objective) of common stocks, includes reinvestment of dividends and capital gains, and is a registered trademark of the Standard & Poor s Corporation. The MSCI World Index is a free float-adjusted market capitalization weighted index that is designed to measure the equity market performance of developed markets. The MSCI EAFE Index (Europe, Australasia, Far East) is a free float-adjusted market capitalization index that is designed to measure the equity market performance of developed markets, excluding the US & Canada. The MSCI Emerging Markets Index is a free float adjusted market capitalization index that is designed to measure equity market performance of emerging markets. More complete information about the Fund, including objectives, risks, charges and expenses, is provided in the Prospectus, and which should be read carefully before investing. For additional information, please call (888) The Institution is reminded that this material is not to be provided to current or prospective customers or others who are not "institutional investors" as defined by FINRA Rule 0(a)(4). FCF Yield: Free Cash Flow Yield is an overall return evaluation ratio of a stock, which standardizes the free cash flow per share a company is expected to earn against its market price per share. The ratio is calculated by taking the free cash flow per share divided by the share price. Additional Definitions ROE is defined as Return on Equity. OROA is defined as Operating Return on Operating Assets. Price/Book Ratio: The price per share of a stock divided by its book value (net worth) per share. For a portfolio, the ratio is the weighted average price-to-book ratio of the stocks that it holds. Price/Earnings Ratio: A method of valuing stocks, calculated by dividing the closing price of a company's stock by its annual earnings per share. A higher multiple means investors have higher expectations for future growth and have bid up the stock's price. Securities offered through Boston Partners Securities, LLC, an affiliate of Boston Partners Global Investors, Inc.

Boston Partners Managed Mutual Funds

Boston Partners Managed Mutual Funds Percentile Rankings vs. Morningstar Category: June 0, 08 Strategy Institutional Shares Ticker Overall Morningstar Rating Return Rank Return Rank Return Rank Return Rank Return Rank BP All-Cap Value Fund

More information

The Glenmede Fund, Inc. The Glenmede Portfolios

The Glenmede Fund, Inc. The Glenmede Portfolios The Glenmede Fund, Inc. The Glenmede Portfolios Annual Report The performance for the portfolios shown on pages 2 to 4 and 6 to 24 represents past performance and is not a guarantee of future results.

More information

Aspiriant Risk-Managed Equity Allocation Fund RMEAX Q4 2018

Aspiriant Risk-Managed Equity Allocation Fund RMEAX Q4 2018 Aspiriant Risk-Managed Equity Allocation Fund Q4 2018 Investment Objective Description The Aspiriant Risk-Managed Equity Allocation Fund ( or the Fund ) seeks to achieve long-term capital appreciation

More information

Nuance Mid Cap Value Fund (NMVLX)

Nuance Mid Cap Value Fund (NMVLX) Value Fund (NMVLX) Third Quarter Investment Objective The Value Fund seeks long term capital appreciation. The performance focus is on absolute return and Sharpe vs the Russell Midcap Value, primary benchmark,

More information

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 2

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 2 Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments) along specific points in time. A

More information

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 4

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 4 TIAA Accounts - TIAA-CREF Funds - Level 4 Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments)

More information

Upcoming changes to the Wells Fargo Asset Allocation Fund

Upcoming changes to the Wells Fargo Asset Allocation Fund March 2, 2018 Upcoming changes to the Wells Fargo Wells Fargo Asset Management (WFAM) has announced upcoming changes to the Wells Fargo Asset Allocation Fund, which are detailed below. The changes were

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

TIAA-CREF Lifecycle Index 2010 Fund

TIAA-CREF Lifecycle Index 2010 Fund TIAA-CREF Lifecycle Index 2010 Institutional Class (TLTIX) As of 12/31/17 Portfolio Strategies The Lifecycle Index 2010 seeks high total return over time through a combination of capital appreciation and

More information

Invesco Diversified Dividend Fund. Building a solid foundation

Invesco Diversified Dividend Fund. Building a solid foundation Invesco Diversified Dividend Fund Building a solid foundation of dividend growers Equity Objective Seeks long-term capital growth with current income as its secondary objective Symbols A: LCEAX C: LCEVX

More information

Investment objective The Fund seeks to achieve long-term capital appreciation primarily through investment in equities of non-us companies.

Investment objective The Fund seeks to achieve long-term capital appreciation primarily through investment in equities of non-us companies. INVESTMENT INSIGHTS International Opportunities Fund HFOAX HFOCX HFOIX HFORX December 3, 06 Investment strategy The Fund primarily invests in equities listed on European, Australasian and Far Eastern (EAFE)

More information

Non-US US Non-US US Non-US US. What does that mean for you as an investor? Why Invesco International Growth Fund? 1 Consistency of performance

Non-US US Non-US US Non-US US. What does that mean for you as an investor? Why Invesco International Growth Fund? 1 Consistency of performance Invesco International Growth Fund Seeking quality growth abroad Equity Objective Seeks long-term growth of capital A: AIIEX C: AIECX Y: AIIYX R: AIERX R5: AIEVX R6: IGFRX Fund facts and figures 26 years

More information

American Funds Target Date Retirement Funds - R6 Share Class

American Funds Target Date Retirement Funds - R6 Share Class American Funds Retirement Funds - R6 Share Class AS OF 12/31/2017 Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity

More information

Lazard Funds Prospectus

Lazard Funds Prospectus May 1, 2009 Lazard Funds Prospectus U.S. Equity Lazard U.S. Equity Value Portfolio Lazard U.S. Strategic Equity Portfolio Lazard U.S. Mid Cap Equity Portfolio Lazard U.S. Small-Mid Cap Equity Portfolio

More information

COLUMBIA DIVIDEND INCOME FUND

COLUMBIA DIVIDEND INCOME FUND COLUMBIA DIVIDEND INCOME FUND FOR SUSTAINABLE INCOME, FOCUS ON FREE CASH FLOW Share Class Symbol A Advisor C Institutional Institutional 2 Institutional 3 R LBSAX CVIRX LBSCX GSFTX CDDRX CDDYX CDIRX Why

More information

Wells Fargo Short-Term High Yield Bond Fund

Wells Fargo Short-Term High Yield Bond Fund All information is as of 12-31-17 unless otherwise indicated. General fund information Ticker: STYIX Portfolio manager: Thomas Price, CFA; Kevin Maas, CFA; Michael Schueller, CFA Subadvisor: Wells Capital

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Wells Fargo Dow Jones Target-Date Funds - R6 Share Class

Wells Fargo Dow Jones Target-Date Funds - R6 Share Class Wells Fargo Dow Jones Target-Date s - R6 Share Class Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Micro Cap Fund JMCRX

Micro Cap Fund JMCRX James Advantage Funds Micro Cap Fund JMCRX James Investment Research, Inc., P.O. Box 8, Alpha, Ohio 45301 www.jamesfunds.com info@jamesfunds.com 1-800-99-JAMES Fund Info Fund Statistics as of June 30,

More information

Wells Fargo Diversified Income Builder Fund

Wells Fargo Diversified Income Builder Fund All information is as of 12-31-17 unless otherwise indicated. General fund information Ticker: EKSYX Portfolio manager: Margie D. Patel; Kandarp Acharya, CFA, FRM Subadvisor: Wells Capital Management Inc.

More information

Smart Beta ETFs: 3 ways to address investor needs

Smart Beta ETFs: 3 ways to address investor needs Smart Beta ETFs: 3 ways to address investor needs Help achieve investor goals with smart beta ETFs This guide highlights three ways investors are using ishares smart beta ETFs: 1 Lower volatility can help

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). 4 John Hancock is a

More information

Vanguard Target Retirement Funds - Investor Share Class

Vanguard Target Retirement Funds - Investor Share Class Vanguard Funds - Investor Share Class Date AS OF 09/30/2017 Glidepath Strategy -date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income

More information

TIAA-CREF Lifecycle Funds - Retirement Share Class

TIAA-CREF Lifecycle Funds - Retirement Share Class TIAA-CREF Lifecycle s TIAA-CREF Lifecycle s - Retirement Share Class Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of

More information

blend Large value large blend Large 1,208 Large Diversified Emerging

blend Large value large blend Large 1,208 Large Diversified Emerging 4Q.2018 DCIO Focus Funds The following pages highlight a full range of investment options to serve all asset allocation needs including core and alternative options. Each fund is listed with its current

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Wells Fargo High Yield Bond Fund

Wells Fargo High Yield Bond Fund All information is as of 9-30-17 unless otherwise indicated. General fund information Ticker: EKHIX Portfolio manager: Margaret D. Patel Subadvisor: Wells Capital Management Inc. Category: High-yield bond

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Global Atlantic BlackRock Disciplined Value Portfolio

Global Atlantic BlackRock Disciplined Value Portfolio INVESTMENT ADVISORS Global Atlantic BlackRock Disciplined Value Portfolio Class I, II and III Shares Summary Prospectus April 27, 2018 Before you invest, you may want to review the Portfolio s prospectus,

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock New York All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company of New York. 4 Committed

More information

Vanguard Target Retirement Funds - Investor Share Class

Vanguard Target Retirement Funds - Investor Share Class Funds - Investor Share Class Glidepath Strategy -date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments) along specific

More information

The Deutsche Asset Management municipal bond suite

The Deutsche Asset Management municipal bond suite Tax-Free Income 3rd quarter 2017 The Deutsche Asset Management municipal bond suite Long-term results from an experienced team Four reasons to consider municipal bonds and the Deutsche Asset Management

More information

Global Allocation Fund

Global Allocation Fund INST: MALOX A: MDLOX C: MCLOX K: MKLOX Allocation Fund Morningstar Analyst Rating Scour the world to reach your goals Think outside the (style) box: Broaden your universe to find opportunities. Morningstar

More information

TIAA-CREF Lifecycle Funds - Retirement Share Class

TIAA-CREF Lifecycle Funds - Retirement Share Class TIAA-CREF Funds TIAA-CREF Funds - Retirement Share Class Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income

More information

Top 10 Reasons This Remains A Misunderstood and Underutilized Asset Class. Please see last page for important disclosures.

Top 10 Reasons This Remains A Misunderstood and Underutilized Asset Class. Please see last page for important disclosures. 18 INTERNATIONAL SMALL CAP Top 10 Reasons This Remains A Misunderstood and Underutilized Asset Class Please see last page for important disclosures. 1 INTERNATIONAL INVESTING IS RISKY. 2 INTERNATIONAL

More information

TIAA-CREF Lifecycle Index Funds - Institutional Share Class

TIAA-CREF Lifecycle Index Funds - Institutional Share Class TIAA-CREF Funds - Institutional Share Class Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments)

More information

EQUITIES. Making the most of the market s long-term potential

EQUITIES. Making the most of the market s long-term potential EQUITIES Making the most of the market s long-term potential Three things to know about the stock market 1 It s one of the best ways to build wealth Stocks have outpaced bonds and inflation over time,

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). 4 John Hancock is a

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

QUARTERLY COMMENTARY HEARTLAND VALUE FUND

QUARTERLY COMMENTARY HEARTLAND VALUE FUND HEARTLAND VALUE FUND d. *Prior to October 2009, index domestic equity ETF data included fewer than 7 actively managed domestic equity ETFs. Exchange Traded Fund (ETF) Source: Investment Company Institute,

More information

Retirement Cornerstone 17 Series B. Variable Annuity

Retirement Cornerstone 17 Series B. Variable Annuity Retirement Cornerstone 17 Series B Variable Annuity PROTECTED BENEFIT ACCOUNT INVESTMENT OPTIONS Retirement Cornerstone Series B is a combination variable and fixed annuity deferred contract issued by

More information

Vanguard Institutional Target Retirement Funds

Vanguard Institutional Target Retirement Funds Vanguard Funds Date AS OF 09/30/2017 Glidepath Strategy -date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments) along

More information

WISCONSIN CAPITAL FUNDS, INC. PLUMB BALANCED FUND (PLBBX) PLUMB EQUITY FUND (PLBEX) (collectively, the Funds )

WISCONSIN CAPITAL FUNDS, INC. PLUMB BALANCED FUND (PLBBX) PLUMB EQUITY FUND (PLBEX) (collectively, the Funds ) WISCONSIN CAPITAL FUNDS, INC. PLUMB BALANCED FUND (PLBBX) PLUMB EQUITY FUND (PLBEX) (collectively, the Funds ) Supplement dated December 1, 2017 to the Prospectus and Statement of Additional Information

More information

Investment Performance for INEOS RETIREMENT SAVINGS PLAN

Investment Performance for INEOS RETIREMENT SAVINGS PLAN Investment Performance for INEOS RETIREMENT SAVINGS PLAN 6-14398 Investment results shown represent historical performance and do not guarantee future results. Investment returns and principal values fluctuate

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Investment Option Summary

Investment Option Summary Investment Option Summary As of 12/31/2017 Contract/Plan ID Number: 5-21917 This document provides important information to help you compare the investment options available to you under the retirement

More information

TIAA-CREF Lifecycle Index Funds - Institutional Share Class

TIAA-CREF Lifecycle Index Funds - Institutional Share Class TIAA-CREF Funds - Institutional Share Class Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments)

More information

Capturing Opportunity, Managing Risk

Capturing Opportunity, Managing Risk EVOLVING WORLD GROWTH FUND Capturing Opportunity, Managing Risk An Active Approach to Emerging Markets Investing THE CALAMOS DOCTRINE As the global marketplace changes, successfully investing for growth

More information

Putnam Sustainable Future Fund*

Putnam Sustainable Future Fund* Putnam Sustainable Future Fund* Summary prospectus 3 21 18 * Prior to March 21, 2018, the fund was known as Putnam Multi-Cap Value Fund. FUND SYMBOLS CLASS A CLASS B CLASS C CLASS M CLASS R CLASS T CLASS

More information

SunAmerica Focused Dividend Strategy Portfolio

SunAmerica Focused Dividend Strategy Portfolio 5-Star Overall Morningstar Rating (Out of 1,190 funds in the Large Value category as of 12/31/2015) Please see inside for important information on Morningstar ratings. SunAmerica Focused Dividend Strategy

More information

NORTHERN FUNDS AFTER-TAX RETURN RANKINGS

NORTHERN FUNDS AFTER-TAX RETURN RANKINGS Municipal and Tax-Advantaged Portfolios NORTHERN FUNDS AFTER-TAX RETURN RANKINGS As of September 30, 2017 As the old adage goes It s not what you make, but what you keep. Nothing sums up the potential

More information

JPMorgan International Value Fund

JPMorgan International Value Fund Summary Prospectus March 1, 2016 JPMorgan International Value Fund Class/Ticker: A/JFEAX C/JIUCX Select/JIESX Before you invest, you may want to review the Fund s Prospectus, which contains more information

More information

AIG Focused Dividend Strategy Fund

AIG Focused Dividend Strategy Fund Class A: FDSAX Class B: FDSBX Class C: FDSTX Class W: FDSWX 5-Star Overall Morningstar Rating (out of 1,108 funds in the Large Value category, based on risk-adjusted performance as of 9/30/17) Please see

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Putnam Sustainable Future Fund*

Putnam Sustainable Future Fund* Putnam Sustainable Future Fund* Summary prospectus 8 30 18 * Prior to March 21, 2018, the fund was known as Putnam Multi-Cap Value Fund. FUND SYMBOLS CLASS A CLASS B CLASS C CLASS M CLASS R CLASS R6 CLASS

More information

SPDR MSCI Strategic Factors Monthly Performance Update

SPDR MSCI Strategic Factors Monthly Performance Update SPDR MSCI Strategic Factors Monthly Performance Update September 2017 Public Use IBG-25389 SPDR MSCI StrategicFactors Suite The funds seek to track an index that blends low volatility, quality and value

More information

INTERNATIONAL EQUITIES. Charting a course for global opportunities

INTERNATIONAL EQUITIES. Charting a course for global opportunities INTERNATIONAL EQUITIES Charting a course for global opportunities Three things to know about investing abroad 1 International markets have periods of outperformance Historically, non-u.s. stocks and U.S.

More information

BLACKROCK.COM/ED EQUITY DIVIDEND FUND With lifespans increasing, investors desiring a long, comfortable retirement will need growing income. Quality, dividend-paying companies that can generate cash flow

More information

Inception date 8/01/12 Minimum initial investment $500

Inception date 8/01/12 Minimum initial investment $500 INVESTMENT INSIGHTS Dividend & Income Builder Fund HDAVX HDCVX HDIVX December 31, 2016 Investment strategy The Fund is a global diversified portfolio of income-producing securities, primarily dividend

More information

James Advantage Funds Small Cap Fund JASCX

James Advantage Funds Small Cap Fund JASCX James Advantage Funds Small Cap Fund JASCX James Investment Research, Inc., P.O. Box 8, Alpha, Ohio 45301 www.jamesfunds.com info@jamesfunds.com 1-800-99-JAMES SEPTEMBER 30, 2018 Fund Info Fund Statistics

More information

STATE OF RHODE ISLAND DEFINED CONTRIBUTION RETIREMENT PLAN

STATE OF RHODE ISLAND DEFINED CONTRIBUTION RETIREMENT PLAN Quarterly Investment Update STATE OF RHODE ISLAND DEFINED CONTRIBUTION RETIREMENT PLAN Investment Performance as of 12/31/2018 The performance data quoted represents past performance, and is no guarantee

More information

How do you select value stocks when everything looks like value? November 8, 2011

How do you select value stocks when everything looks like value? November 8, 2011 How do you select value stocks when everything looks like value? November 8, 2011 The opinions and forecasts expressed are those of Jim Schier and Mark Mitchell as of 11/08/2011 and may not actually come

More information

Does greater risk equal greater reward?

Does greater risk equal greater reward? Does greater risk equal greater reward? The simple answer is not always, which is why investors may look at lower-volatility fund options like GuideStone s Defensive Market Strategies Fund. The Fund aims

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock Financial

More information

Wells Fargo Enterprise Fund

Wells Fargo Enterprise Fund All information is as of 12-31-17 unless otherwise indicated. Overview General fund information Key drivers of performance Ticker: WFEIX Portfolio managers: Michael Smith, CFA; Chris Warner, CFA Subadvisor:

More information

Finding equity returns in the U.S.

Finding equity returns in the U.S. Finding equity returns in the U.S. Challenges and opportunities Our panelists Chris Jones, CIO, U.S. Growth & Small Cap Tom Luddy, Portfolio Manager, Large Cap Core and Large Cap Core Plus 130/30 Clare

More information

CREF Money Market Account

CREF Money Market Account CREF Money Market Account Money Market As of 9/30/2017 Account Net Assets $9.55 Billion Inception Date 4/24/2015 CUSIP 194408217 Symbol QCMMIX Industry Average imoneynet Money Fund Averages - All Government

More information

Mid Cap Fund JAMDX. James Investment Research, Inc., P.O. Box 8, Alpha, Ohio

Mid Cap Fund JAMDX. James Investment Research, Inc., P.O. Box 8, Alpha, Ohio James Advantage Funds Mid Cap Fund JAMDX James Investment Research, Inc., P.O. Box 8, Alpha, Ohio 45301 www.jamesfunds.com info@jamesfunds.com 1-800-99-JAMES DECEMBER 31, 2017 Fund Info Fund Statistics

More information

Wells Fargo Small Company Growth Fund

Wells Fargo Small Company Growth Fund All information is as of 12-31-17 unless otherwise indicated. Overview General fund information Key drivers of performance Ticker: WSCGX Portfolio managers: Paul von Kuster, CFA; Daniel Hagen, CFA; James

More information

JPMorgan SmartRetirement Blend Funds

JPMorgan SmartRetirement Blend Funds NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE JPMorgan SmartRetirement Blend Funds Class R6 shares are only available through a retirement plan; other share classes are available Simplify the path

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Nationwide Fiduciary Series SM Important Disclosures

Nationwide Fiduciary Series SM Important Disclosures Nationwide Fiduciary Series SM Important Disclosures For more information about the available underlying investment options, including all charges and expenses, please consult the respective fund prospectus.

More information

2017 Kerns Capital Management, Inc. July 2017 Investor Presentation

2017 Kerns Capital Management, Inc. July 2017 Investor Presentation July 2017 Investor Presentation Table of Contents 1. Executive Summary.............. 1.1 History.......... 1.2 Buy/Sell Discipline........ 2. Investment Strategy... 2.1 Assessment and Implementation 2.2

More information

ERISA 404 Retirement Plan and Investment Information

ERISA 404 Retirement Plan and Investment Information TRUEBLUE, INC. 401(K) PLAN ERISA 404 Retirement Plan and Investment Information 08/10/2012 Contract/Plan ID Number 8-03406 This document uses these defined words and phrases: Plan means TRUEBLUE, INC.

More information

Davenport Small Cap Focus Fund Earns 4 Star Rating from Morningstar

Davenport Small Cap Focus Fund Earns 4 Star Rating from Morningstar FOR IMMEDIATE RELEASE January 10, 2018 Contact: Kristine Becker, Communications Manager (804) 915-2765 kbecker@investdavenport.com Davenport Small Cap Focus Fund Earns 4 Star Rating from Morningstar RICHMOND,

More information

December 2016 QUALIFIED DEFAULT INVESTMENT ALTERNATIVE (QDIA) NOTICE

December 2016 QUALIFIED DEFAULT INVESTMENT ALTERNATIVE (QDIA) NOTICE December 2016 QUALIFIED DEFAULT INVESTMENT ALTERNATIVE (QDIA) NOTICE Important Information You are receiving this notice to inform you how your contributions under the plan(s) for Blue Ridge School will

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock New York All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company of New York. Committed to

More information

Global Equity Income Fund

Global Equity Income Fund INVESTMENT INSIGHTS Global Equity Income Fund HFQAX HFQCX HFQIX December 31, 2016 Investment strategy The Fund primarily invests in global income-producing equities with an international bias. The Fund

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). 4 4 John Hancock is

More information

The Johns Hopkins University 403(b) Retirement Plans Notice of Default Investments

The Johns Hopkins University 403(b) Retirement Plans Notice of Default Investments The Johns Hopkins University 403(b) Plans Notice of Default Investments The University s Active 403(b) Plans The Johns Hopkins University sponsors the Johns Hopkins University 403(b) Plan and the Johns

More information

BLACKROCK.COM/ED EQUITY DIVIDEND FUND With lifespans increasing, investors desiring a long, comfortable retirement will need growing income. Quality, dividend-paying companies that can generate cash flow

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Barings Participation Investors

Barings Participation Investors Historical Price Performance Worst 3 Months -10.01% Best 3 Months 9.30% 2013 2014 2015 2016 2017 2018 Closed End Fund Strategy Information on Fund Strategy is not available Performance Returns Data as

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). 4 John Hancock is a

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Federated MDT Large Cap Value Fund

Federated MDT Large Cap Value Fund Summary Prospectus February 28, 2018 The information contained herein relates to all classes of the Fund s Shares, as listed below, unless otherwise noted. Share Class Ticker A FSTRX B QBLVX C QCLVX R

More information

UNIVERSITY OF FLORIDA HEALTH CENTER PLAN

UNIVERSITY OF FLORIDA HEALTH CENTER PLAN Quarterly Investment Update UNIVERSITY OF FLORIDA HEALTH CENTER PLAN Investment Performance as of 12/31/2018 The performance data quoted represents past performance, and is no guarantee of future results.

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Sample Custom Account (using SSgA Common Trust Funds) 3 rd Quarter 2013

Sample Custom Account (using SSgA Common Trust Funds) 3 rd Quarter 2013 Sample Custom Account (using SSgA Common Trust Funds) 3 rd Quarter 2013 Endowment Management Solutions 70/30 Equities/Fixed Income 60/40 Equities/Fixed Income 50/50 Equities/Fixed Income 100/0 Fixed Income

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

JANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS

JANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS JANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS January 22, 2015 DENVER Janus Capital Group Inc. ( JCG ) (NYSE: JNS) today reported fourth quarter net income of $46.7 million,

More information

In our experience, advisors often work to educate their clients about the importance of diversification across asset classes.

In our experience, advisors often work to educate their clients about the importance of diversification across asset classes. THE BTS TACTICAL FIXED INCOME FUND IN THE CONTEXT OF A BROADER PORTFOLIO by Matthew Pasts, CMT, CEO, BTS Asset Management, Inc. In our experience, advisors often work to educate their clients about the

More information

Summary Prospectus. Investment Objective. Fees and Expenses of the Fund

Summary Prospectus. Investment Objective. Fees and Expenses of the Fund March 1, 2018 Summary Prospectus Calamos Phineus Long/Short Fund NASDAQ Symbol: CPLSX Class A CPCLX Class C CPLIX Class I CPLTX Class T Class T shares are not currently available for purchase. Before you

More information

VERSATILE BOND PORTFOLIO

VERSATILE BOND PORTFOLIO VERSATILE BOND PORTFOLIO INVESTOR GUIDE March 31, 2018 Share Classes Reasons to Consider Ticker Inception Class A PRVDX May 31, 2016 Class C PRVHX May 31, 2016 Class I PRVBX September 27, 1991 Objective

More information

Asset manager profiles

Asset manager profiles SECTION 1 Asset manager profiles John Hancock USA All financial obligations under the group annuity contract are the sole obligation of John Hancock Life Insurance Company (U.S.A.). John Hancock is a division

More information

Wells Fargo Discovery Fund

Wells Fargo Discovery Fund All information is as of 12-31-17 unless otherwise indicated. Overview General fund information Key drivers of performance Ticker: WFDSX Portfolio managers: Michael Smith, CFA; Chris Warner, CFA Subadvisor:

More information

John Hancock Disciplined Value International Fund

John Hancock Disciplined Value International Fund Click here for the prospectus. Click here for the Statement of Additional Information. John Hancock Disciplined Value International Fund Summary prospectus 3/1/18 (as revised 10/1/18) Before you invest,

More information