The investment seeks long-term growth of capital plus protection against inflation and monetary instability.
The fund normally invests at least 80% of net assets in the common stock, preferred stock, convertible securities, rights and warrants, and depository receipts of companies within the natural resource sector. It invests at least 40% of assets in securities of companies that are economically tied to at least three countries other than the U.S. The fund is non diversified.
Fund Manager:
Frank E. Holmes
, since 6/4/99
Fund Inception:
8/3/83
Fund Ratings & Risk:
View Ratings & Risk
Composition:
STOCK (79.57%),
BONDS (0.58%),
CASH (11.09%),
OTHER (8.76%)