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Mutual Funds Archive

Actively Managed, Targeted in Global REITs
Janus Henderson Global Real Estate Fund  (JERIX)
10:05 AM EDT May 31 2019
Globally listed real estate has many advantages, but it requires an active and selective approach toward equities, properties and markets. Greg Kuhl, portfolio manager of Janus Henderson Global Real Estate Fund, believes in forward-looking analysis, a highly concentrated portfolio of the best ideas, and the flexibility to deviate from the benchmark. >>

Consistent and Patient in Global Real Estate Investing
Virtus Duff & Phelps Global Real Estate Securities Fund  (VGSAX)
7:58 AM EDT May 16 2019
Real estate investments require patience given the multi-year nature of opportunities, according to Frank Haggerty, portfolio manager of the Virtus Duff & Phelps Global Real Estate Securities Fund. With a consistent approach to security selection, a structured process and an experienced team, the fund focuses on companies with above-average cash flow and dividend growth, superior return on invested capital, growth-supportive balance sheets and reasonable valuations. >>

Exploiting Behavioral Values
Mount Lucas U.S. Focused Equity Fund  (BMLEX)
9:24 AM EDT April 30 2019
In the current age of real-time digital feeds, there is no such thing as an information advantage, according to Timothy Rudderow, portfolio manager of the Mount Lucas U.S. Focused Equity Fund. Instead of looking for an information edge, the fund team explores opportunities created by behavioral biases, relying on a structured process and a quantitative model to generate alpha. >>

A Broadly Diversified Securitized Credit Strategy
Voya Securitized Credit Fund  (VCFAX)
8:30 AM EDT April 25 2019
Recognizing that securitized credit markets can and do rapidly change, Dave S. Goodson, portfolio manager of Voya Securitized Credit Fund, stresses the importance of a dynamic approach, nimbleness and diversification to generate steady returns through the cycle. Investing across the entire spectrum of securitized credit, the fund relies on its long-term team expertise, on balancing the top-down and bottom-up perspectives, and on keeping risk management at the forefront. >>

Relative Values in REITs
Cohen & Steers Real Estate Securities Fund  (CSEIX)
9:11 AM EDT April 15 2019
Real estate securities ultimately track the private real estate market, according to Jason Yablon, portfolio manager of the Cohen & Steers Real Estate Securities Fund. With this premise in mind, the portfolio team keeps a steady focus on real estate fundamentals and relies on thorough research of each market and property type, while taking into account the big picture. >>

Quality-Driven REIT Investing
Eaton Vance Real Estate Fund  (EAREX)
12:00 PM EDT April 04 2019
Investing in real estate offers three key advantages non-correlated asset, inflation hedge and dividend yield. For three decades, Scott Craig, portfolio manager of the Eaton Vance Real Estate Fund, has been investing in commercial real estate with a focus on higher-quality companies with capable management teams and attractive valuations. >>

Focused on Business and Cash Flow Drivers
Manning & Napier Real Estate Series Fund  (MNRIX, MNREX)
11:22 AM EDT March 25 2019
Well-positioned real estate can be a reliable cash-generating asset that ensures predictability over a period of time. Michael Magiera, portfolio manager of the Manning & Napier Real Estate Series Fund, focuses on understanding the long-term, free cash-flow generating capabilities of investments, their quality and valuations. The fund assesses the entire spectrum of real estate to find the right opportunities for earning risk-adjusted returns. >>

Exploiting the Low Volatility Anomaly
361 Global Long|Short Equity Fund  (AGAZX, AGAQX)
10:55 AM EDT March 14 2019
Investment returns are ultimately dictated both by how much you participate in the upside, and also how much you avoid the downside. Harin de Silva, portfolio manager of the 361 Global Long/Short Equity Fund, follows this principle by using the short portion of his portfolio as a hedge and relying on a systematic investment process that includes daily ranking and risk assessment of each stock. >>

Grain ETFs Seeds of Diversification
Teucrium Funds  (CORN, SOYB, CANE, WEAT, TAGS)
12:22 PM EST March 04 2019
While agricultural commodities represent a huge and important global market, they have been off the radar of investors because of the difficulties trading them. Sal Gilbertie, founder and CEO of Teucrium Funds, has created commodity-specific ETFs, designed to make commodity exposure accessible and mitigates the structural trading hurdles. >>

Selectively Balanced in Smaller Caps and Corporate Bonds
Villere Balanced Fund  (VILLX)
11:44 AM EST February 27 2019
Traditionally balanced funds are diversified among well-known large-cap stocks and U.S. Treasuries, with a more of a risk-averse investment style. Portfolio manager Sandy Villere explains how the Villere Balanced Fund prefers to concentrate on faster-growing stocks trading at reasonable valuations, and diversify in select corporate bonds. >>

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