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Pax World Growth Fund Institutional Class

 (MUTF:PWGIX)   Watch this mutual fund  
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Performance

Trailing returns

1 day
   
-0.06%  
1 week   +1.78%
   
4 week   +6.99%
   
3 month   +6.85%
   
YTD   +12.28%
   
1 year   +24.91%
   
3 years*   +15.92%
   
5 years*   +4.82%
   
*annualized
Best 3 month return+25.04%  
Worst 3 month return-37.26%  

Morningstar statistics

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

Key statistics

Total assets142.16M 
Front load-  
Deferred load-  
Expense ratio1.04%  
Management fee-  
Fund familyPax World 

Asset allocation

Cash2.11%  
Stocks97.88%  
Bonds0.00%  
Other0.00%  

Purchase information

InitialUS$500,000  
AdditionalUS$1,000  
AIP InitialUS$500,000  
15.33-0.14(-0.90%)
May 22, 4:00PM EDT Overall Morningstar RatingTM

Description

The investment seeks long-term growth of capital. The fund follows a sustainable investing approach, combining rigorous financial analysis with equally rigorous environmental, social and governance (ESG) analysis in order to identify investments. It invests primarily in equity securities of companies that the fund's portfolio manager believes will have above-average growth prospects. The fund may invest up to 45% of its assets in securities of non-U.S. issuers, including emerging market investments and American Depositary Receipts ("ADRs"), but may invest no more than 25% of its assets in securities of non-U.S. issuers other than ADRs.
Fund filings (PDF) »
Asset manager:
Anthony Trzcinka (Started: Nov 1, 2006)
Advisor Company:
Pax World Management LLC
Fund family reports on Morningstar »
Pax World, 30 Penhallow Street, Suite 400

Risk

  1 year 3 years 5 years 10 years  
Alpha* -8.77 -2.79 -0.49 0.00
Beta* 1.11 1.10 1.06 1.08
Mean annual return 0.76 0.97 0.57 0.77
R-squared* 86.35 93.12 91.57 82.05
Standard deviation 12.19 17.09 20.94 17.36
Sharpe ratio 0.74 0.68 0.31 0.43
* Against standard index

Top 10 holdings

Security Net Assets  
Apple Inc (AAPL) 3.39%  
Google, Inc. Class A (GOOG) 2.51%  
General Mills, Inc. (GIS) 1.99%  
PepsiCo Inc (PEP) 1.88%  
Qualcomm, Inc. (QCOM) 1.85%  
International Business Machines Corp (IBM) 1.81%  
3M Co (MMM) 1.68%  
Thermo Fisher Scientific Inc (TMO) 1.63%  
Procter & Gamble Co (PG) 1.59%  
VF Corporation (VFC) 1.57%