The investment seeks long-term growth of capital.
The fund invests primarily in stocks of issuers located in the U.S. but may invest in non-U.S. securities to a limited extent. It generally purchases growth-oriented, equity-type securities which involves large price swings and potential for loss. The management focuses primarily on companies with attributes that are associated with long-term growth.
Fund Manager:
R. Michael Shanahan
, since 1/1/86
Fund Inception:
3/15/00
Fund Ratings & Risk:
View Ratings & Risk
Composition:
STOCK (92.21%),
BONDS (1.29%),
CASH (6.51%),
OTHER (0.0%)