MUTUAL FUND PERFORMANCE INVESTOR'S BUSINESS DAILY 36 Mos Performance Rating Fund Top Growth Funds Last 3 Months (All Total Returns) Top Growth Funds ProFunds Inv UltNasdq " 12 A" 242 mil Rydex Dyn Nasd1002X " 12 A" 287 mil Hodges HodgesRet " 10 A# 216 mil BlackRock A Sci&TechOp " 9 A" 265 mil Champlain SmallCo " 9 B 1.197 bil ABFunds A GlbThmtGrw " 9 B" 649 mil Federated A KaufSmlCap " 8 A# 749 mil Fidelity CommEquip " 8 B 159 mil PRIMECAP Odyssey Fund AggrGrowth " 8 A" 6.8 bil William Blair I SmCpGr " 8 B 366 mil Artisan Funds SmallCapInv " 8 B# 1.162 bil Forward Funds SelectIncA " 8 B" 1 bil Baron Partners " 7 B" 2.374 bil Fidelity OTCPort " 7 A"12.721 bil Fidelity SmlGrow " 7 A# 1.959 bil Fidelity Adv A SmallGrowA " 7 A# 1.959 bil PriceFds NewHorizns " 7 A 15.7 bil Tributary SmComInst " 7 A 337 mil Morgan Stan Ins CapGrI " 7 A" 3.1 bil Value Line LargerCo " 7 A" 213 mil Janus T Shrs Venture " 7 A# 2.8 bil GE Instl SmEqInv " 7 B 1.3 bil Nuveen Cl I SmCapGrOpp " 7 B 128 mil Natixis GrowthY " 6 A" 2.784 bil Neubg Brm Inv LgCapVal " 6 B# 1.174 bil Performance % Change Rating $ Net A+ WWHlthSci – 8 – 3 +82 11.44n +.00 Eaton Vance Instl In 2016 36 Mos Assets Rydex Dyn Nasd1002X " 6 A" 287 mil ProFunds Inv UltNasdq " 6 A" 242 mil BlackRock A Sci&TechOp " 7 A" 265 mil USAA Nasdaq100 " 5 A" 958 mil EdgeWood EdgwdGrInst " 4 A" 5.7 bil Natixis GrowthY " 10 A" 2.784 bil ABFunds A LrgCpGrow " 4 A" 3.2 bil Morgan Stan Ins CapGrI " 3 A" 3.1 bil Rydex Investor Nova " 10 A" 209 mil Asstmgmt BMOLgGrI " 6 A" 299 mil Hartford HLS IA GrwthOpps " 3 A" 1.38 bil Columbia I,T&G LgGrowQntI " 3 A" 491 mil Fidelity OTCPort " 3 A"12.721 bil Transamerica A CapGrwA " 2 A" 1.1 bil Fidelity NasdaqIndex " 5 A" 2.689 bil GoldmnSachs In StrucLgGr " 6 A" 778 mil PRIMECAP Odyssey Fund AggrGrowth " 6 A" 6.8 bil USAA Growth " 7 A" 2.1 bil Legg Mason A CBLgGrA " 6 A" 2.5 bil ABFunds A GrowthA " 4 A" 686 mil Price MidCapEqGrI " 6 A" 5.299 bil Hartford HLS IA DiscpEq " 4 A" 710 mil Janus Aspn Inst Forty " 3 A" 760 mil Mass Mutl Select BlueChipGrL " 3 A" 1.501 bil Vanguard USGrowth " 2 A" 6.64 bil 36 Mos 2016 12Wk 5 Yr Net 36 Mos 2016 12Wk 5 Yr Net Performance % % After Asset NAV Performance % % After Asset NAV 16 3.0% Rating Fund Chg Chg Tax Rtn Value Chg Rating Fund Chg Chg Tax Rtn Value Chg 2.8% JAN FEB 16 3.1% 2.9% $ 134 bil 213–633–8200 0 + 5 +63 16.33n –.01 16 3.0% A LaregGrow 2.9% MAR + 4 + 2 +87 10.02n –.02 D TotRtrnBndI + 4 + 1 +17 10.93n –.02 16 2.9% A– LargeCore 2.9% APR 16 3.0% A+ Largegrow + 1 + 2 +78 33.90n +.03 D TotRtrnBndN + 3 + 1 +16 10.92n –.02 2.9% MAY Dreyfus 3.0% A+ LargeGrow + 2 + 3 +82 8.50n –.02 2.9% JUN 16 $ 70.9 bil 800–346–8893 Commerce Funds A– ActvMidA + 2 + 1 +77 56.30 –.27 36 Mos 2016 12Wk 5 Yr Net $ 2.4 bil 800–995–6365 Performance % % After Asset NAV A– ValueI + 3 + 1 +78 56.72n –.28 +12 + 3 +81 30.68n –.12 A– ActvMidI Rating Fund Chg Chg Tax Rtn Value Chg A BasS&P500 + 8 + 4 +79 44.32n –.07 Cullen Funds A– Dreyfus Fund + 5 + 3 +59 11.15n –.01 $ 4.1 bil 877–485–8586 A LrgCapGrow + 1 + 2 +68 29.06n +.03 A– Growth&Inc + 5 + 3 +70 19.59n –.01 A+ SelgCom&Inf +10 + 8 +66 44.82n +.09 A– HighDivEqI + 9 + 4 +65 17.79n –.05 A GrowthI + 4 + 2 +63 14.45n –.01 A+ SeligGlbTch +11 + 9 +73 25.96n +.05 A– LgCapEqI + 6 + 3 +67 17.48n +.01 A+ Technology + 8 + 7 +88 19.27n +.05 A– † Davenport + 8 + 5 +72 19.68n –.01 A ResearchA + 3 + 2 +62 14.40 –.01 Columbia I,T&G Davenport Funds A S&P500Idx + 7 + 4 +74 51.96n –.08 $ 89.4 bil 800–345–6611 $ 771 mil 800–846–6666 A TechGrA + 7 + 5 +63 42.50 –.08 A ContraCore + 6 + 3 +80 22.06 –.02 A– Val&Inc + 9 + 3 +77 15.17n –.05 A TechGrC + 7 + 4 +55 34.87n –.07 A Contrar + 7 + 3 +79 22.43n –.01 Davis Funds A DREYFUS I A– Dividend + 9 + 3 +76 18.98n –.05 $ 14.1 bil 800–279–0279 $ 9.5 bil 800–346–8893 A– DivIncT + 9 + 3 +71 18.94 –.06 A Opportunity +12 + 5 +71 30.71 +.01 A– RealEstate +12 + 5 .. 9.61n –.09 A Largecap + 6 + 3 +52 12.14n –.01 A+ RealEstate +14 + 6 +70 40.62 –.36 DREYFUS M A+ LargeCapI + 2 + 3 +81 35.11n +.03 Davis Funds B $ 8.8 bil 800–346–8893 A LargeGro 0 + 5 +66 16.88n –.01 $ 13.8 bil 800–279–0279 A– LrgStkM + 4 + 2 +41 5.66n –.02 A+ LargeGrT + 1 + 2 +74 33.56 +.03 A Opportunity +11 + 5 +62 23.63n +.01 DREYFUS Z A+ LgGrowQntI + 3 + 3 +66 8.61n –.02 A+ RealEstate +13 + 5 +64 40.00n –.35 $ 2.2 bil 800–346–8893 A LrCorQuant + 4 + 2 +83 10.04n –.02 Davis Funds C&Y A ReseGrwZ + 4 + 2 +75 14.64n –.01 A+ Realestate +11 + 5 +72 16.66n –.14 $ 26.4 bil 800–279–0279 DWS Funds A Columbia K A OpportntyC +11 + 5 +64 25.70n +.01 $ 21.8 bil 800–728–3337 $ 6.2 bil 800–345–6611 A+ RealEstateC +13 + 5 +65 40.56n –.35 A+ CapGrowth + 3 + 4 +69 71.44 –.13 A– LrCorQuant + 4 + 2 +81 10.02n –.02 A+ RealEstateY +14 + 6 +71 41.17n –.36 A CoreEquity + 5 + 4 +71 24.26 –.03 Columbia R Delaware A A+ LgCpFocGrw + 3 + 4 +65 38.54 –.13 $ 135 bil 800–345–6611 $ 20.2 bil 877–693–3546 A Technology + 4 + 6 +54 16.55 +.05 A Contrar + 6 + 3 +81 22.26n –.02 A– SMIDCapGrow + 8 + 5 +58 28.88 –.05 DWS Funds C A Contrar + 7 + 3 .. 22.78n –.01 A USGrowth – 2 + 2 +75 23.33 +.02 $ 8.6 bil 800–728–3337 A Contrar + 6 + 3 .. 22.78n –.02 Delaware Instl A– Technology + 4 + 6 +45 11.85n +.03 A– Dividend + 9 + 3 +72 18.94n –.05 $ 17.8 bil 877–693–3546 DWS Funds S A– Dividend + 9 + 3 .. 19.23n –.06 A USGrowth – 2 + 2 +77 25.02n +.02 $ 21.9 bil 800–728–3337 A– DivintR5 + 9 + 3 .. 19.22n –.06 A ValueInst +11 + 2 +96 19.38n –.06 A+ CapGrowth + 3 + 5 +70 72.14n –.13 A Largecap + 8 + 4 .. 42.61n –.06 Deutsche A+ HlthCare – 4 + 1+110 36.84n +.14 A LargeCore + 4 + 2 +90 9.99n –.02 $ 3.2 bil 800–730–1313 A+ LgCpFocGrw + 3 + 4 +67 39.95n –.14 A LargeGrow 0 + 5 .. 17.14n –.01 A CoreEquity + 5 + 4 +73 24.50n –.03 Eagle Funds A– Midcap +13 + 4 .. 15.56n –.05 $ 12.6 bil 800–237–3101 DEUTSCHE Asst & Wealth A+ Midcap +10 + 8 +77 58.25n +.11 A+ CapApprA + 3 + 4 +74 35.72 –.03 $ 8.0 bil 800–621–7705 A+ SEligcom +11 + 8 +83 65.46n +.13 A Eq500Idx + 3 + 3 +66 27.43n –.02 + 7 + 4 +75 222.50n A+ CapApprC Columbia Y –.36 A– MidCpGrowA + 6 + 5 +62 44.20 –.08 $ 32.5 bil 800–345–6611 A Eq500Idx + 7 + 4 +75 220.09n Eaton Vance A A Contrar + 7 + 3 .. 22.78n –.02 –.35 $ 52.6 bil 800–225–6265 A– Dividend + 9 + 3 .. 19.24n –.05 A+ RealEstateA +12 + 5 +64 23.42 –.20 A AtlSmidCap + 9 + 1 +91 25.97 –.04 A LareGrow 0 + 5 .. 17.28n –.01 A S&P500IdxS + 7 + 4 +76 26.86n –.04 A– DivBuilder + 7 + 3 +63 13.73 –.04 Columbia Z Diamond Hill Funds A+ GreatrIndia +15+ 11 +20 29.67 –.04 $ 130 bil 800–345–6611 $ 45.5 bil 888–255–8955 A– HiYldMunInc + 6 + 2 +39 9.25 +.00 A ContraCore + 7 + 3 +81 22.43n –.01 A– SmlMidI + 9 + 2 +66 20.18n +.00 A+ LgCapGrow + 4 + 4 +73 22.64 +.03 A– DivIncZ + 9 + 3 +72 18.95n –.06 Dimensional Funds A– TaxMgGr + 5 + 4 +75 18.61 +.00 A LargeCore + 4 + 2 +89 10.02n –.02 $ 378 bil 512–306–7400 A– TaxMgGr 1.1 + 5 + 4 +76 41.43 +.00 A+ LargeGr + 2 + 2 +76 35.02n +.03 A+ GlRealEsSec +14 + 5 +57 11.66n –.12 A TxMgdGr 1.0 + 5 + 4 +77 922.66n A LgCapGrIII + 2 + 2 +43 15.76n +.02 A+ RealEstate +13 + 6 +75 36.79n –.35 –.13 A LgCapIdxZ + 8 + 4 +79 42.06n –.07 A– TxMgdUSEq + 8 + 4 +77 23.41n –.03 A+ WWHlthSci – 7 – 3 +88 11.23 +.01 A– LrgCapCore + 6 + 3 +55 12.12n –.02 A– USCorEq1 Eaton Vance B + 8 + 4 +74 18.41n –.03 A– MidCapIdxZ +13 + 4 +67 15.30n –.05 A USLCpGr $ 27.7 bil 800–225–6265 + 8 + 4 .. 15.43n –.04 A+ RealEstEq +11 + 5 +67 16.62n –.14 A USLgCo + 8 + 4 +80 17.00n –.03 A+ GreatrIndia +15+ 11 +16 25.96n –.04 A+ SELigcom +11 + 8 +82 65.20n +.13 A– TxMgGr1.1 + 5 + 4 +72 40.46n –.01 Dodge&Cox A+ SELIgGLobl +12 + 9 +76 32.94n +.06 A+ WWHlthSci – 7 – 3 +83 11.54n +.01 $ 176 bil 800–621–3979 A SelLgGrZ 0 + 5 +61 16.70n –.01 D Income Eaton Vance C + 7 + 2 +15 13.92n –.01 A+ Technology + 9 + 7 +98 21.95n +.05 E IntlStock $ 34.8 bil 800–225–6265 + 4 + 5 +11 37.82n –.15 ColumbiaW B Stock + 8 + 5 +73 170.47n A– DivBuilder + 7 + 3 +59 13.79n –.04 +.01 $ 36.0 bil 800–345–6611 A+ GreatrIndia +15+ 11 +16 25.88n –.04 A– TxMgGr 1.1 + 5 + 4 +71 37.14n –.01 A + 6 + 3 +76 22.27n –.01 Doubleline Funds U.S. Stock Fund Cash Position High (11/00) 6.2% Low (6/15) 2.7% JAN FEB MAR APR MAY JUN 15 15 15 15 15 15 36 Mos Performance Rating Fund 3.3% 3.2% 3.1% 2.9% 2.8% 2.7% JUL AUG SEP OCT NOV DEC 15 15 15 15 15 15 2016 12Wk 5 Yr Net % % After Asset NAV Chg Chg Tax Rtn Value Chg $ 571 mil 800–321–1928 A+ ShrsTrInst r + 1 + 1 +65 20.59n +.01 CG Cap Mkt Fds $ 4.7 bil 800–869–3326 A LgCapGr + 4 + 4 +63 17.04n –.03 CGM Funds $ 2.3 bil 800–345–4048 E Focus – 8 + 2 +13 36.12n +.00 E Mutual – 3 + 2 +17 28.53n –.03 City National Rochdale Funds $ 338 mil 888–889–0799 A DivIncN +13 + 2 +66 40.05n –.28 Clipper Fund $ 1.2 bil 800–432–2504 A– Clipper + 8 + 3 +73 106.96n +.06 Cohen & Steers $ 35.1 bil 800–330–7348 A– GlblRltyA +10 + 5 +40 54.54 –.53 A– GlblRltyI +10 + 5 +41 54.79n –.53 A– InstGlbRlty +10 + 5 +41 27.26n –.27 A+ InstlRealty +11 + 6 +62 49.49n –.40 A+ RltyIncA +12 + 6 +73 15.12 –.13 A+ RltyIncC +11 + 6 +68 13.78n –.12 A+ RltyIncI +12 + 6 +75 15.87n –.13 A+ RltyShrs +10 + 6 +61 75.23n –.61 Columbia A $ 150 bil 800–345–6611 A+ ActiveM + 3 + 6 .. 13.57n +.03 A ContraCore + 6 + 3 +80 22.26 –.02 A– DivInc + 9 + 3 +71 18.93 –.06 A– LargeCapA + 2 + 2 +41 14.76 +.02 A+ LargeGr + 1 + 2 +74 33.83 +.03 A+ LargeGrow + 2 + 3 +82 8.45 –.01 A Lg Cp Idx + 7 + 4 +77 41.83n –.07 A– LrCorQuant + 4 + 2 +80 9.96 –.02 A– LrgCapCore + 6 + 3 +53 12.20 –.01 A+ RealEst +11 + 5 +66 16.59 –.14 A+ SelCom&Inf +11 + 8 +74 60.71 +.12 A+ SeligGlbTch +12 + 9 +80 32.42 +.07 A SelLgGr 0 + 5 +59 16.33 –.01 A+ Technology + 9 + 7 +95 21.21 +.06 Columbia B $ 80.2 bil 800–345–6611 A– COntrar + 6 + 3 +69 20.22n –.01 A– LgCapGrB + 1 + 2 +32 10.81n +.01 A– LrCorQuant r + 3 + 2 +76 9.88n –.02 A LrgCapGrow + 1 + 2 +68 29.03n +.03 A+ RealEstEq +10 + 5 +62 16.61n –.14 A+ SelCom&Inf +11 + 8 +69 45.08n +.09 A+ SeligGlbTch +11 + 9 +73 25.97n +.05 Columbia C $ 111 bil 800–345–6611 A– Contrar + 6 + 3 +69 20.26n –.01 A– LargeCore + 3 + 2 +81 9.75n –.02 A– LargeGrow – 1 + 5 +57 15.10n –.01 A– LgCapGrC + 1 + 2 +33 10.93n +.01 36 Mos Fund Performance Rating 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating 2016 12Wk 5 Yr Net % % After Asset NAV Chg Chg Tax Rtn Value Chg Last 36 Months (All Total Returns) Performance % Change Rating $ Net Last 3 Mos 36 Mos Assets Mutual Fund Mutual Fund 36 Mos Performance Rating Fund —D—E— 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating $ 37.4 bil 800–225–6265 A AtlSmidCap + 9 + 1 +94 28.33n –.04 A DivBuilder + 7 + 4 +64 13.72n –.04 EdgeWood $ 5.7 bil 800–791–4226 A+ EdgwdGrInst + 4 + 5+103 22.73n +.10 Emerald Funds $ 1.2 bil 855–828–9909 A Bank&Fin 0 + 3+102 32.47 +.11 —F— FAM Funds $ 1.2 bil 800–721–5391 A– Value + 9 + 3 +70 65.64n –.16 Federated A $ 63.8 bil 800–245–5051 A KaufmanLrg + 5 + 3 +83 19.41 +.00 A Kaufmann + 3 + 4 +49 5.42 +.01 A– KaufSmlCap + 4 + 8 +51 24.68 +.06 A StratValDv +13 + 1 +70 6.22 –.04 Federated B $ 27.4 bil 800–245–5051 A Kaufmann + 3 + 4 +48 4.71n +.01 Federated C $ 44.7 bil 800–245–5051 A KaufmanLrg + 4 + 3 +75 18.17n –.01 A KaufmnC + 2 + 3 +48 4.70n +.00 A– MaxCapIdx + 7 + 4 +62 14.86n –.02 A– MaxCapIdx R + 7 + 4 +64 15.01n –.02 A StratValDv +12 + 1 +66 6.22n –.05 Federated Funds $ 38.6 bil 800–245–5051 A KaufmanLrgR + 5 + 3 +79 18.70n –.01 A KaufmannR + 3 + 3 +58 5.42n +.00 A– KaufSmlCapR + 4 + 9 +51 24.75n +.05 A MaxCapIdx + 7 + 4 +66 15.02n –.02 Federated Instl $ 48.3 bil 800–245–5051 A KaufmanLrg + 5 + 3 +85 19.77n –.01 A MaxCapIdx + 8 + 4 +68 15.13n –.03 A+ StratValDv +13 + 1 +72 6.25n –.04 Fidelity Adv A $ 206 bil 800–343–3548 A– AdvBioA –19 – 1+171 21.09 +.19 A– CnsmrStpl r + 7 + 1 +71 96.55 –.50 A– ConsmrDisc r + 5 + 5 +79 21.04 –.06 A EquityGr + 2 + 4 +71 98.03 +.02 A– NewInsight + 6 + 4 +65 27.41 +.00 NewInsightsZ + 6 + 4 .. 28.01n +.00 A+ RealEstate +10 + 4 +69 24.84 –.26 A– SmallGrowA r + 8 + 7 +60 19.49 +.00 Fidelity Adv C $ 159 bil 800–343–3548 A– EquityGrow r + 1 + 3 +65 86.58n +.02 B+ NewInsight + 5 + 3 +58 24.69n +.00 A+ RealEstate + 9 + 4 +65 24.36n –.25 Fidelity Adv I $ 200 bil 800–343–3548 A AdvBioI –19 – 1+216 22.20n +.19 A– CnsmrStpl r + 8 + 2 +73 97.25n –.50 A– Consmr Disc r + 5 + 5+100 22.60n –.06 A EquityGrow + 2 + 4 +74 105.63n +.02 A– GrowthOpp 0 + 3 +79 62.49n +.03 A+ HealthCare – 2 + 3+132 40.67n +.20 A– NewInsight + 6 + 4 +66 27.97n +.00 A+ RealEstate +10 + 4 +71 25.06n –.26 A– SmallGrowI r + 8 + 7 +63 20.19n +.00 A– StkSelAll + 7 + 5 .. 35.88n –.04 A Utilities r +13 – 2 +81 26.59n –.50 Fidelity Adv T $ 156 bil 800–343–3548 A– BioT –19 – 1+200 20.09 +.17 A– ConsmrDisc r + 5 + 5 +97 19.76 –.05 A EquityGr + 2 + 4 +70 96.74 +.02 A– NewInsight + 6 + 4 +63 26.69 +.00 A+ RealEstate + 9 + 4 +68 24.82 –.26 Fidelity Freedom $ 173 bil 800–343–3548 A Fund K + 3 + 2 +60 41.75n –.03 Fidelity Select $ 45.1 bil 800–343–3548 A AirTrnsprt r + 1 + 1+105 63.15n –.34 A BioTec r –19 – 1+178 185.22n +1.7 A ConsmrDisc r + 5 + 5 +86 35.88n –.10 A– ConsumeStpl r + 8 + 2 +73 97.41n –.50 A Dfnse&Aero r + 9 + 4 +84 124.32n –.56 A+ HealthCare r – 2 + 3+132 202.43n +1.0 A+ HealthCare r – 1 – 3 +85 82.79n –.32 A– Insurance r + 6 + 2 +86 70.31n –.05 A– Leisure r + 3 + 4 +70 133.91n –.44 A+ MedEq&Sys r +21+ 11+116 42.88n +.34 A+ Pharm r – 6 + 0 +97 19.33n +.04 A+ Retailing r + 5 + 4+132 110.44n –.47 A+ Sftwr&Cmp r +10 + 7+108 133.26n +.42 A+ Technology r +11 + 9 +65 130.82n +.27 A Telecommun r +15 + 4 +65 69.78n –.51 A Transport r + 8 + 5 +81 78.69n –.35 A Utilities r +14 – 2 +67 72.82n –1.3 Fidelity Spartan $ 413 bil 800–343–3548 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating WEEK OF AUGUST 29, 2016 2016 12Wk 5 Yr Net 36 Mos % % After Asset NAV Performance Chg Chg Tax Rtn Value Chg Rating Fund A 500Idx + 8 + 4 +80 76.53n –.12 A 500IdxAdv + 8 + 4 +80 76.52n –.12 A LTTrAdv r +15 + 4 +47 14.50n –.07 A LTTrInv r +15 + 4 +47 14.50n –.07 A– Midcap +10 + 4 .. 17.80n –.07 A– MidCapIdxFidAdv +10 + 4 .. 17.8 2n –.07 A– MidCapIdxI +10 + 4 .. 17.83n –.06 A+ REIdxInv +10 + 6 .. 16.52n –.16 A+ Rlestidx +11 + 6 .. 16.54n –.16 A TotMktAdv + 8 + 4 +78 62.94n –.10 A TotMktIdxF + 8 + 4 +78 62.94n –.11 A– TotMktInv + 8 + 4 +77 62.93n –.10 Fidelity Spartan Adv $ 193 bil 800–343–3548 A Sprt500IdxI + 8 + 4 +80 76.53n –.12 A– TotMkIdI + 8 + 4 .. 62.93n –.11 Fidelity Invest $ 1487 bil 800–343–3548 A 100Index + 7 + 4 +75 14.26n –.02 A 500IdxInv + 8 + 4 +80 76.51n –.12 A– AllSectEq + 7 + 4 +59 13.43n +.01 A AllSectEq F + 7 + 4 +60 13.43n +.01 A+ BluChpGro + 2 + 5 +78 70.30n +.08 A+ BluChpGroK + 2 + 5 +79 70.45n +.07 A+ Const&Hse r + 5 + 2+124 61.03n –.43 A Contra + 4 + 3 +73 101.73n +.03 A ContraK + 4 + 3 +73 101.72n +.03 A– DiscipEq + 3 + 2 +64 32.82n –.06 A– DiscipEqK + 4 + 2 +65 32.78n –.07 A+ EletPrt r +20+ 14+101 87.80n +.38 A– FidelityFund + 3 + 2 +60 41.77n –.03 A GrowStrat r + 3 + 3 +62 34.40n –.06 A GrowStratK r + 3 + 3 +64 34.65n –.07 A GrwDiscovy + 2 + 4 +75 25.77n +.00 A GrwDiscovyK + 2 + 4 +76 25.79n +.01 A+ GrwthCmpny + 3 + 5 +84 140.26n +.10 A+ GrwthCmpnyK + 3 + 5 +96 140.19n +.10 A+ ITServices r + 3 – 1+112 41.04n +.11 A– LgCorEnhIdx + 6 + 3 +71 12.16n –.02 A+ LgGrwEnhIdx + 5 + 3 +78 15.34n –.02 B– LowPriStkK + 5 + 2 +58 49.98n –.17 B– LowPrStk + 5 + 2 +57 49.99n –.18 A Magellan + 3 + 3 +61 91.24n +.00 A MagellanK + 3 + 3 +61 91.15n +.00 A– MdCpEnhIdx + 7 + 3 +70 13.48n –.06 A+ NasdaqIndex r + 5 + 6 +94 68.90n +.08 A Nordic r + 4 + 0 +53 48.79n –.44 A+ OTCK + 3 + 7 +86 87.26n +.20 A+ OTCPort + 3 + 7 +85 86.28n +.19 A+ RealEstate +12 + 6 +81 45.40n –.43 A+ REIdxFid +11 + 6 .. 16.54n –.16 A+ RlEstEqt +10 + 4 .. 14.65n –.15 A+ RlEstEqtF +10 + 4 .. 14.66n –.15 A– SmlGrow r + 8 + 7 +63 20.15n +.00 A SprTotMkIdI + 8 + 4 .. 62.93n –.11 A– StkSlAllCp + 7 + 5 +64 35.87n –.04 A– StkSlAllCpK + 7 + 5 +64 35.90n –.04 A+ Technology r +11+ 10 +67 39.10 +.09 A+ Technology +11+ 10 +65 37.31 +.07 A+ Technology r +10 + 9 +61 33.88n +.07 A TelecomA r +15 + 4 +44 69.38 –.52 A+ Trend + 4 + 3 +66 87.63n +.03 A Utility +15 – 1 +71 24.82n –.31 FidltyAdvFoc A $ 9.2 bil 800–343–3548 A+ HealthCare – 2 + 3+128 37.63 +.19 A– Utilities +13 – 3 +65 26.07 –.49 FidltyAdvFoc C $ 7.3 bil 800–343–3548 A+ HealthCare r – 2 + 3+117 30.62n +.16 A– Utilities r +13 – 3 +61 25.48n –.47 FidltyAdvFoc T $ 7.9 bil 800–343–3548 A+ HealthCare – 2 + 3+124 35.38 +.18 A– Utilities r +13 – 3 +64 26.09 –.48 First Eagle $ 86.3 bil 800–334–2143 C GlobalA +11 + 4 +34 56.85 –.25 First Invstrs A $ 8.6 bil 800–423–4026 A SelectGrow b + 2 + 4 +66 11.24 –.01 First Invstrs B $ 6.5 bil 800–423–4026 A– SelectGrow m + 2 + 3 +60 9.80n –.01 FMI Funds $ 8.7 bil 800–811–5311 A– LargeCap + 9 + 3 +65 20.25n –.03 Frank/Tmp Fr A $ 248 bil 800–342–5236 A– BiotchDsc –15 + 1+137 138.37 +1.1 A+ Dynatech + 4 + 6 +74 50.90 +.15 A Gold&PrecA 101 + 14 –45 22.1 8 –.03 A– GrOppoA 0 + 3 +59 32.19 +.07 A Grwth + 7 + 4 +77 78.23 +.03 D– Income +11 + 5 +22 2.24 –.01 A+ RealEstSec +10 + 5 +76 24.37 –.24 A+ Utilities +17 – 1 +77 17.73 –.33 Frank/Tmp Fr C $ 253 bil 800–342–5236 A Dynatech + 4 + 6 +67 43.76n +.13 A– Gold&Prec 100 + 14 –47 20.6 2n –.03 A Grwth + 6 + 4 +71 72.36n +.02 D– Income +11 + 4 +20 2.27n +.00 A+ RealEstSec +10 + 5 +71 23.49n –.23 A Utilities +16 – 1 +74 17.63n –.33 Frank/Tmp Fr R $ 164 bil 800–342–5236 A Grwth + 6 + 4 +75 77.85n +.02 D– Income +11 + 5 +20 2.21n +.00 A Utilities +16 – 1 +75 17.65n –.34 Frank/Tmp FrAd $ 227 bil 800–342–5236 A+ Dynatech + 4 + 6 +76 52.07n +.15 A Gold&Prec 102 + 14 –45 23.4 0n –.03 A– GrOppAdv 0 + 3 +61 34.13n +.08 A Grwth + 7 + 4 +78 78.47n +.02 D– Income +11 + 5 +23 2.23n +.00 A+ RealEstSec +11 + 5 +77 24.58n –.24 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating 2016 12Wk 5 Yr Net 36 Mos % % After Asset NAV Performance Chg Chg Tax Rtn Value Chg Rating Fund A+ Utilities +17 – 1 +78 17.86n –.33 Frank/Tmp Mutual R $ 26.9 bil 800–342–5236 A Dynatech + 4 + 6 +88 49.80n +.15 Frank/Tmp Tp A $ 86.8 bil 800–342–5236 E Glob Bond – 1 + 2 –4 11.29 +.05 Frank/Tmp TpAd $ 94.0 bil 800–342–5236 E Glob Bond – 1 + 2 –3 11.25n +.05 Frank/Tmp TpB/C $ 86.1 bil 800–342–5236 E GlobalBdC – 1 + 2 –5 11.32n +.05 Franklin Temp $ 136 bil 800–342–5236 A BiotchDisc –15 + 1 +87 141.17n +1.2 A+ DynTchClR6 + 4 + 6 .. 52.36n +.15 E GlobBond – 1 + 2 –5 11.29n +.05 A– GrthOppR6 0 + 3 .. 34.34n +.07 A+ GrthR6 + 7 + 4 .. 78.44n +.02 A+ ReEstR6 +11 + 5 .. 24.59n –.24 A+ UtlR6 +17 – 1 .. 17.86n –.33 —G—H—I— Gabelli A $ 13.1 bil 800–422–3554 100 + 14 –30 17.3 A+ GoldAAA 9n +.02 GE Elfun S&S $ 12.1 bil 800–242–0134 A– Trusts + 5 + 4 +76 57.21n +.11 GE Instl Funds $ 4.6 bil 800–242–0134 A PremGrInv + 4 + 4 +82 14.05n +.03 GMO Trust II $ 13.5 bil 617–330–7500 A+ EmergMkts 261 +232 +130 28.7 2n –.07 GMO Trust III $ 35.6 bil 617–330–7500 A+ EmerCtryDt 253 +225 +293 30.1 2n +.06 A+ EmergMkts 261 +232 +130 28.8 0n –.06 A+ IntlSmCom 208 +199 +243 21.7 8n –.16 A Quality +11 + 4 +64 21.07n –.02 GMO Trust IV $ 39.9 bil 617–330–7500 A+ EmergMkts 261 +232 +130 28.5 4n –.06 A+ EmgCtryDbt 253 +225 +294 30.0 8n +.06 A Quality +11 + 4 +65 21.10n –.02 A QualityV +11 + 4 +65 21.10n –.02 GMO Trust V $ 5.2 bil 617–330–7500 A+ EmergMkts 261 +232 +130 28.4 7n –.06 GMO Trust VI $ 21.2 bil 617–330–7500 A+ EmergMkts 261 +232 +131 28.5 4n –.06 A Quality +11 + 4 +65 21.07n –.02 GoldmnSachs A $ 42.9 bil 800–292–4726 A CapitalGr + 3 + 3 +65 24.22 –.04 A+ RealEstSecs +10 + 4 +72 21.25 –.17 A StratGr + 3 + 4 +65 11.94 +.00 A+ StrucLgGr + 6 + 4 +93 23.96 –.03 A– StrucTaxMgd + 4 + 3 +80 17.89 –.04 A– StrucUSEq + 6 + 3 +81 41.36 –.05 A+ TechTollKp + 6 + 6 +71 18.74 –.04 GoldmnSachs C $ 7.2 bil 800–292–4726 A– Capital Gr + 2 + 3 +57 18.73n –.04 A+ StrucLgGr + 5 + 4 +87 21.74n –.03 A– StrucUSEq + 5 + 3 +76 37.69n –.05 A+ TechOpps + 6 + 5 +64 16.08n –.03 GoldmnSachs In $ 38.0 bil 800–292–4726 A Capital Gr + 3 + 3 +68 26.42n –.05 A+ RealEstSecs +10 + 4 +75 21.69n –.17 A+ StrucLgGr + 6 + 4 +95 24.73n –.03 A StrucUSEq + 6 + 4 +83 42.51n –.05 Guidemark $ 938 mil 925–263–2078 A– LrgCapCore + 6 + 3 +63 15.33n –.05 GuideStone G2 $ 3.4 bil 888–473–8637 A GrEqInst + 3 + 4 +55 9.58n +.02 GuideStone G4 $ 10.0 bil 888–473–8637 A EqIndxInv + 7 + 4 +76 24.12n –.04 A GrEqInv + 3 + 4 +63 22.39n +.05 Hancock Horizon Funds $ 4.9 bil 800–990–2434 A– JhnCapValI + 5 + 6 +62 45.21n +.10 Harbor Funds $ 223 bil 800–422–1050 A+ CapApprAdm 0 + 4 +72 59.78n –.02 A+ CapApprIns 0 + 4 +74 60.61n –.03 A+ CapApprInv – 1 + 3 +71 58.94n –.03 E IntlAdmin + 3 + 0 +6 60.93n –.39 E IntlInstl + 3 + 0 +7 61.22n –.38 E IntlInv + 3 + 0 +6 60.55n –.39 A LrgValIns +11 + 5 +83 12.50n –.01 A LrgValInv +11 + 5 +81 12.60n –.02 Hartford A $ 67.4 bil 860–547–5000 A+ COREq + 4 + 2 +94 24.51 –.04 A+ GrwthOpps + 3 + 4 +79 38.65 –.01 A+ Health – 5 + 0+134 33.15 +.11 A– MidCap + 6 + 2 +58 24.90 –.03 Hartford B $ 50.8 bil 860–547–5000 A CoreEq + 4 + 2 +88 22.61n –.04 A+ GrowOppor + 2 + 4 +68 26.41n –.01 A+ Health – 6 + 0+124 28.12n +.08 Hartford C $ 67.0 bil 860–547–5000 A+ CoreEq + 4 + 2 +88 22.57n –.03 A+ GrowOppor + 2 + 4 +69 26.75n –.01 A+ Health – 6 + 0+125 28.23n +.09 Hartford HLS IA $ 26.5 bil 860–547–5000 A+ DiscpEq + 4 + 2 +88 14.23n –.02 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating A13 2016 12Wk 5 Yr Net % % After Asset NAV Chg Chg Tax Rtn Value Chg A GlobalGrow + 4 + 3 +70 22.53n –.03 A+ GrwthOpps + 3 + 4 +82 30.98n +.00 A+ Health – 5 + 0+141 22.15n +.07 A– MidCap + 6 + 2 +74 32.20n –.04 A Stock + 8 + 3 +75 68.94n –.14 Hartford HLS IB $ 25.8 bil 860–547–5000 A+ DiscpEq + 4 + 2 +87 14.08n –.02 A GlobalGrow + 4 + 3 +68 22.35n –.03 A+ GrowOppor + 3 + 4 +79 29.88n +.00 A+ Health – 6 + 0+139 21.28n +.07 A– MidCap + 6 + 2 +72 31.55n –.04 A– Stock + 8 + 3 +74 68.80n –.14 Hartford I $ 56.3 bil 860–547–5000 A+ GrowOppor + 3 + 4 +81 40.01n –.01 A+ Health – 5 + 0+138 34.40n +.11 A– MidCap + 6 + 2 +60 25.45n –.03 Hartford R3 $ 44.0 bil 860–547–5000 A+ GroOppty + 3 + 4 +39 38.99n –.01 A+ HealthcarFd – 6 + 0+134 34.14n +.11 A– MidCap + 6 + 2 +57 27.61n –.04 Hartford R4 $ 45.4 bil 860–547–5000 A+ GrowOppor + 3 + 4 +79 40.54n –.01 A– MidCap + 6 + 2 +60 28.42n –.04 Hartford R5 $ 33.0 bil 860–547–5000 A+ GrowOpp + 3 + 4+104 41.84n –.01 A– MidCap + 6 + 2 +62 28.97n –.04 Hartford Y $ 59.0 bil 860–547–5000 A+ CorepEq + 4 + 2 +96 24.84n –.03 A+ GrowOppor + 3 + 4 +83 42.29n +.00 A+ Health – 5 + 0+140 36.95n +.12 A– MidCap + 6 + 2 +63 29.18n –.03 Hennessy $ 2.6 bil 800–966–4354 A– CorMid + 2 + 0 +57 19.28n –.17 A– GasUtyInv +19 + 2 +72 28.56n –.39 Hennessy Funds $ 8.2 bil 800–966–4354 A CorGrInst + 4 + 4 +87 20.24n –.09 A– CorGrInv + 3 + 4 +62 19.76n –.08 A– CorMid + 2 + 0 +64 18.85n –.17 A FocusInst + 5 + 2 +67 74.02n –.25 A– FocusInv + 5 + 2 +90 72.49n –.25 Highland Capital $ 4.4 bil 972–419–6272 A PrmGrEqA + 3 + 5 +79 33.90 +.05 A– PrmGrEqC + 2 + 5 +72 27.43n +.04 Hirtle Callaghan $ 4.0 bil 877–435–8105 A+ HCGrowEqStr + 7 + 5 +83 19.79n –.01 Hodges $ 1.7 bil 866–811–0224 A– HodgesRet +24+ 10 +69 41.63n –.18 Homestead $ 2.9 bil 800–258–3030 A– Value + 7 + 3 +74 49.65n –.07 Invesco Funds $ 27.6 bil 800–959–4246 A DivdntInc +11 + 2 +70 23.04n –.14 A DiverseDiv b + 9 + 2 +78 19.08n –.09 A– GlbHlthCare – 6 + 0 +79 35.75n +.11 A+ RealEstate b +11 + 5 +61 25.12n –.25 Invesco Funds A $ 123 bil 800–959–4246 A DiverseDiv + 9 + 2 +78 19.09 –.09 A DividendInc +11 + 2 +70 22.84 –.13 A– EqWtS&P500 +10 + 4 +77 50.90 –.13 A– GlbHlthCare – 6 + 0 +79 35.74 +.11 A+ Real Estate b +11 + 5 +61 25.18 –.24 A S&P500 IdxA + 7 + 4 +77 23.57 –.03 Invesco Funds B $ 117 bil 800–959–4246 A– DiverseDiv m + 9 + 1 +74 18.87n –.09 A DividendInc +11 + 1 +66 22.90n –.14 A– EqWtS&P500 + 9 + 4 +73 50.48n –.14 A– HiYldMuni + 7 + 2 +35 10.54n +.00 A+ RealEstate m +10 + 5 +57 25.15n –.24 A– S&P500 Idx + 7 + 4 +73 23.01n –.03 Invesco Funds C $ 113 bil 800–959–4246 A– DiverseDiv m + 9 + 1 +74 18.84n –.09 A– EqWtS&P500 +10 + 4 +73 48.85n –.12 A+ RealEstate m +10 + 5 +57 25.04n –.24 A– S&P500 Idx + 7 + 4 +73 22.74n –.04 Invesco Funds P $ 1.7 bil 800–959–4246 A SumFndP + 2 + 3 +68 16.81n +.01 Invesco Funds Y $ 11.7 bil 800–959–4246 A DiscplEq + 7 + 3 +78 16.05n +.01 A EqWtS&P500 +10 + 4 +78 51.39n –.13 A S&P500 Idx + 7 + 4 +79 23.85n –.04 Ivy Funds $ 252 bil 866–941–4482 A+ LrgCapGrA + 2 + 4 +68 18.60 +.01 A LrgCapGrC + 1 + 3 +61 15.94n +.00 A+ LrgCapGrE + 2 + 4 +67 18.58 +.01 A+ LrgCapGrI + 2 + 4 +70 19.41n +.01 A+ LrgCapGrY + 2 + 4 +68 19.01n +.01 A+ RealEstA + 9 + 5 +70 29.85 –.27 A+ RealEstB + 9 + 5 +63 28.96n –.26 A+ RealEstC + 9 + 5 +65 29.34n –.26 A+ RealEstY + 9 + 5 +71 29.88n –.27 —J—K—L— J Hancock A $ 35.4 bil 800–225–5291 A– LrgCapEq + 5 + 6 +71 43.47 +.09 A MidCapA + 8 + 4 +90 20.06 –.03 A USGlbLdGr + 5 + 5 +76 42.88 +.00 J Hancock B $ 18.0 bil 800–225–5291 A USGlbLdGr + 5 + 4 +69 37.52n +.00 J Hancock C $ 14.2 bil 800–225–5291 A USGlbLdGr + 5 + 4 +69 37.53n +.00 J Hancock Instl $ 14.0 bil 800–225–5291 A DisValMdCap + 9 + 4 +91 20.79n –.03 Janus A Shrs $ 2.3 bil 888–834–2536 A+ Forty + 3 + 3 +67 30.06 +.04 Janus Aspn Inst 2016 12 Wk 5 Yr Net NAV 36 Mos Fund % % After Asset Chg Performance Chg Chg Tax%Value Rating 2016 12 Wk 5 Yr Net NAV % % After Asset Chg Chg Chg Tax%Value THE ONLY U.S. SMALL CAP DIVIDEND ETF LEARN MORE AT WISDOMTREE.COM There are risks associated with investing including the possible loss of principal. Funds focused on smaller companies may experience greater price volatility. Carefully consider the investment objectives, risks, charges and expenses of the Funds before investing. To obtain a prospectus containing this information, visit wisdomtree.com. Read it carefully before you invest. WisdomTree Funds are distributed by Foreside Fund Services, LLC in the U.S. only. Copyright 2016 Investor's Business Daily Inc. © 2016 WisdomTree Investments, Inc.
© Copyright 2025