Fund Inception Date: Dec 22, 1993
Category: Moderate Allocation
Overall Risk: Average
Fund Family: GE Asset Management
Return Since Inception: 5.86%
YTD Return: 19.68%
Yield (TTM): 1.04%
Net Assets: 4.31 M
- Morningstar Rating:
- 3 of 5
Morningstar Rating as of 10/31/2009
YTD Returns as of 11/25/2009
The investment seeks total return. The fund invests primarily in a combination of equity securities and investment grade debt securities. It allocates assets among U.S. equity securities, debt securities and foreign securities; based on the relative attractiveness of the asset classes. Management seeks equity securities based on a strong earnings growth, attractive prices, a presence in successful industries and high quality management. Management seeks debt securities based on attractive yields and prices, the potential for capital appreciation and reasonable credit quality.
Stock Holdings
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| Size |
|
| Average Market Cap |
$26,352.30 M |
| Market Capitalization |
Portfolio |
| Giant |
47.14% |
| Large |
35.33% |
| Medium |
15.01% |
| Small |
2.50% |
| Micro |
0.02% |
Bond Holdings
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| Details |
|
| Average Eff Duration |
— |
| Average Eff Maturity |
— |
| Average Credit Quality |
— |