NAV as of Sep 25, 2024
$24.12
52 WK: 19.98 - 24.53
1 Day NAV Change as of Sep 25, 2024
-0.21
(-0.86%)
NAV Total Return as of Sep 25, 2024
YTD:
10.97%
Morningstar Rating
4 stars
BRONZE
Overview
About this Fund
1. Mid cap value portfolio of high quality companies 2. Invests in companies identified as emerging dividend growers 3. Seeks attractive long-term returns
Investment Approach
Invests in the equity securities of mid capitalization companies that pay attractive, sustainable and growing dividends with the aim of providing mid capitalization equity returns with less volatility.