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Value Opportunities Fund (LVOAX) - Class A

Fund Finder

What is the Value Opportunities Fund?

Goal & Strategy

The goal of this Fund is long-term growth of capital through investing in stocks of small and mid-sized U.S. companies. This Fund seeks to identify undervalued stocks of quality small and mid-sized companies that have demonstrated leadership positions within their particular industries.

Fund Basics

 
Ticker LVOAX
CUSIP 54400A100
Fund Number 580
Inception Date 12/30/2005
YTD Returns at NAV (as of 05/17/2013) 20.21%
Dividend Frequency Annually
Expense Ratio (as of 04/30/2013) 1.31%
Lipper Category Avg. 1.37%
Total Net Assets (as of 04/30/2013) $2.21 B
Number of Holdings (as of 04/30/2013) 107
Minimum Initial Investment $1,500
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 5.75%.
Price(as of 05/17/2013)
  Price ($) Change ($) Change (%)
NAV 19.93 0.23 1.17
MOP 21.15 0.25 1.20
52-Week High & Low at NAV ($)
High (05/17/2013) 19.93
Low (06/04/2012) 14.35

How has the Fund Performed?

Average Annual Returns

(as of 04/30/2013)
  YTD (%) 1-YR (%) 3-YR (%) 5-YR (%) 10-YR (%) Since
Inception (%)
NAV
Lipper Category Avg. 12.73 16.12 11.29 5.74    -    -
Index 13.20 18.96 12.95 7.95    - 7.06
MOP 7.39 8.50 6.95 7.28    - 9.48
Expense Ratio 1.31%
  YTD (%) 1-YR (%) 3-YR (%) 5-YR (%) 10-YR (%) Since
Inception (%)
NAV 13.99 14.75 11.04 9.55    - 10.51
Lipper Category Avg. 12.27 14.92 12.51 6.95    -    -
Index 12.85 17.73 14.59 9.02    - 7.10
MOP 7.45 8.19 8.87 8.26    - 9.60
Expense Ratio 1.31%
The performance quoted represents past performance, which is no indication of future results. Current performance may be higher or lower than the performance data quoted. Returns shown include the reinvestment of all distributions. Returns shown at net asset value do not reflect the current maximum sales charge, had the sales charge been included, returns would have been lower. The investment return and principal value of an investment will fluctuate so that shares, on any given day or when redeemed, may be worth more or less than the original cost. Therefore, there can be no assurance of future results.

Why This Fund?

Role in Portfolio

A supporting player that provides investors with exposure to small-mid sized companies that have demonstrated leadership positions within their particular industry.

Key Advantages

Research
Provides investors with a small and mid company equity fund that has delivered a quality investment experience through combining rigorous research with sound judgment to prudently select attractively priced quality companies poised for appreciation.

The value of investments in equity securities will fluctuate in response to general economic conditions and to changes in the prospects of particular companies and/or sectors in the economy.

How is the Fund Currently Positioned?

(as of 03/29/2013)
  • We decreased our relative exposure to the health care sector during the quarter versus the Russell 2500™ Index. Within the sector, we continue to invest in companies that provide products and services that should benefit from the implementation of the Affordable Care Act.
  • On an absolute basis, the portfolio's largest sector weighting remains with in financials. Within the sector, we increased our focus on asset-sensitive companies as the market begins to anticipate an upward movement in interest rates. These types of securities typically have benefited from a rising interest rate environment.
  • As the economy continues to strengthen, we believe there will be an escalation in capital expenditures, as well as an increase in both residential and nonresidential construction. Therefore, in order to benefit from these domestic growth trends, we added securities with exposure to building materials and construction.
  • Regardless of sector or industry, we continue to seek companies with secular growth opportunities that we believe the market has misvalued. Thus, we continue to invest in attractively priced, fundamentally strong companies that we believe will likely outperform in the current macroeconomic environment.
The Fund's portfolio is actively managed and may change significantly over time.

RELATED CONTENT

How is the Fund Managed?
Team Leaders
Justin C. Maurer
Partner
Years Experience:  23
Thomas B. Maher
Partner
Years Experience:  25
Supported By
27 Investment Professionals
18 Years Avg. Industry Experience
Years experience refers to industry experience.