Fund Inception Date: Dec 22, 1993
Category: Intermediate-Term Bond
Overall Risk: Average
Fund Family: GE Asset Management
Return Since Inception: 4.38%
YTD Return: 6.52%
Yield (TTM): 2.85%
Net Assets: 351,154.00
- Morningstar Rating:
- 2 of 5
The investment seeks maximum income consistent with prudent investment management and the preservation of capital. The fund invests normally at least 80% of assets in debt securities. It invests primarily in a variety of investment-grade debt securities, such as mortgage-backed securities, corporate bonds, U.S. government securities and money market instruments. The fund normally has a weighted average maturity of approximately five to ten years. It also may invest to a lesser extent in asset-backed securities, high yield securities and foreign debt securities.
You need a current version of
Adobe Flash Player plugin to view this chart.
| Details |
|
| Average Eff Duration |
3.77 Yrs |
| Average Eff Maturity |
— |
| Average Credit Quality |
AA |