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MassMutual Select Overseas Fund Class I

 (MUTF:MOSZX)   Watch this mutual fund  
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Performance

Trailing returns

1 day
   
-0.73%  
1 week   +1.88%
   
4 week
   
-6.54%  
3 month
   
-9.45%  
YTD
   
-7.95%  
1 year
   
-7.02%  
3 years*   +10.22%
   
5 years*   -  
*annualized
Best 3 month return+14.70%  
Worst 3 month return-20.98%  

Morningstar statistics

Morningstar category: Foreign Large Blend
  Return Risk Rating
3 years Above Average Above Average
5 years Above Average Above Average
10 years Above Average Below Average
Overall Above Average Above Average
Morningstar style  Learn more
      Large
      Mid
      Small
Value Blend Growth  

Key statistics

Total assets638.40M 
Front load-  
Deferred load-  
Expense ratio0.91%  
Management fee-  
Fund familyMassMutual 

Asset allocation

Cash2.70%  
Stocks91.08%  
Bonds0.00%  
Other6.23%  

Purchase information

InitialUS$0  
8.14-0.06(-0.73%)
Oct 22, 4:00PM EDT Overall Morningstar RatingTM

Description

The investment seeks growth of capital over the long-term by investing in foreign equity securities. The fund normally invests at least 80% of its net assets in stocks of foreign companies, including companies located in Europe, Latin America, and Asia. It may invest in equity securities of issuers in emerging markets. The fund may but will not necessarily engage in foreign currency forward contracts to attempt to protect against adverse changes in currency exchange rates. It may use futures contracts as a substitute for direct investments.
Fund filings (PDF) »
Asset managers:
Robert Taylor (Started: Jan 31, 2009)
Jeroen Huysinga (Started: Jun 7, 2011)
Georgina Maxwell (Started: Jun 7, 2011)
Daniel Ling (Started: Oct 1, 2009)
David Herro (Started: Jul 31, 2001)
Gerd Woort-Menker (Started: Jun 7, 2011)
Marcus Smith (Started: Sep 30, 2005)
Advisor Company:
MML Investment Advisers, LLC
Fund family reports on Morningstar »
MML Investment Advisers, LLC, 100 Bright Meadow Blvd.,, Enfield, Connecticut 06082, USA

Risk

  1 year 3 years 5 years 10 years  
Alpha* -2.96 3.27 1.70 0.53
Beta* 0.96 0.97 1.02 0.93
Mean annual return 0.17 1.26 0.76 0.73
R-squared* 86.68 92.14 95.23 91.76
Standard deviation 10.33 14.56 17.23 18.36
Sharpe ratio 0.19 1.04 0.52 0.39
* Against standard index

Top 10 holdings

Security Net Assets  
Bayer AG (BAYZF) 2.90%  
Nestle SA (NSRGF) 2.66%  
Honda Motor Co Ltd (HNDAF) 2.05%  
HSBC Holdings PLC (HBCYF) 1.94%  
WPP PLC (WPPGF) 1.63%  
Danone (GPDNF) 1.59%  
Pernod Ricard NV (PDRDF) 1.50%  
Compass Group PLC (CMPGF) 1.47%  
LVMH Moet Hennessy Louis Vuitton SA (LVMHF) 1.41%  
Schneider Electric SE (SBGSF) 1.41%