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| YTD Return: |
-18.79% |
| 3y Avg Return: |
0.84% |
| 5y Avg Return: |
8.17% |
| Beta (3y): |
1.09 |
|
| The investment includes companies from the following industries: banks, diversified financials, insurance and real estate.
The fund will normally invest at least 95% of its total assets in common stocks that comprise the relevant Select Sector Index. This fund has adopted a policy that requires it to provide shareholders with at least 60 days notice prior to any significant material change in its policy or its underlying index. It is nondiversified. |
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| Fund Profile |
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