Fund Research for ISI Managed Municipal (MUNIX)

  • Fund Overview

    Fund Inception Date: Feb 26, 1990
    Category: Muni National Interm
    Overall Risk: Above Average
    Fund Family: ISI Funds
    Return Since Inception: 5.39%
    YTD Return: 6.84%
    Yield (TTM): 2.97%
    Net Assets: 100.92 M
    Morningstar Rating:
    2 of 5
    The investment seeks total return with relative stability of principal; current income exempt from federal income tax is secondary. The fund normally invests at least 80% of assets in tax-exempt securities of state and local governments in the U.S. and their political sub-divisions, agencies and instrumentalities. The advisor may select securities which are rated within the three highest ratings categories of Moody's Investment Services, Inc. or S&P's Rating Group.

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    Details
    Average Eff Duration 4.9 Yrs
    Average Eff Maturity 5.6 Yrs
    Average Credit Quality AAA
    Morningstar Rating as of 10/31/2009
    YTD Returns as of 11/24/2009
    Style Box Detail calculations do not include the fund's short positions (if any)
  • Fund Performance

    10 year Growth Chart
    Growth of $10,000 from 12/31/1998 to 10/31/2009
    Mouseover the chart to see values for each month.

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    Total Annualized Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Fund 6.84% 9.52% 3.92% 3.65% 4.82% 5.39%
    +/- Category -4.13% -1.90% 0.27% 0.23% 0.24%
    +/- Barclays Municipal TR USD 5.66%

    Standardized Annual Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Month (as of 10/31/2009) 2.77% 7.36% 2.67% 2.77% 4.50% 5.23%
    Quarter (as of 09/30/2009) 4.64% 9.45% 3.41% 3.29% 4.57% 5.35%
  • Fund Portfolio Profile

    Sector Breakdown

    Stocks
    General Obligations 22.25%
    Advanced Refunded 0.00%
    State Appropriated Tobacco 0.00%
    Non-state Appropriated Tobacco 0.00%
    Education 0.00%
    Health 0.00%
    Housing 0.00%
    Industrial 0.00%
    Transportation 0.00%
    Utilities 0.00%
    Water/Sewer 6.59%
    Misc. Revenue 3.61%
    Bond Quality
    AAA
    AA
    A
    BBB
    BB
    B
    Below B 0.00%
    Not Rated 0.00%

    Asset Allocation

    Short Long Net Assets
    Cash 1.55% 1.55%
    Stocks 0.00% 0.00%
    Bonds 98.45% 98.45%
    Other 0.00% 0.00%
    Foreign Stocks
    (as a % of assets)
    0.00% 0.00%
    Data as of 07/31/2009 Data as of 07/31/2009 View Fund Portfolio

    Top 10 Holdings

    Maturity Date Total Holdings Value of Holdings Net Assets
    = Maryland St Cap Impt 4% 02/15/2020 4 M 4.17 M 4.94%
    * Texas St Wtr Fin A 5% 08/01/2039 3.52 M 3.55 M 4.21%
    = Alexandria Va Cap Impt 4.25% 06/15/2021 3.3 M 3.42 M 4.06%
    = Guilford Cnty N C Pub Impt 5.25% 10/01/2016 3 M 3.23 M 3.83%
    = Mecklenburg Cnty N C Go Bds 4% 02/01/2020 3 M 3.1 M 3.68%
    = Virginia St Res Auth 4.5% 10/01/2028 3 M 3.05 M 3.61%
    = Florida St Brd Ed Cap Outlay Pub 4.125% 06/01/2021 3 M 3.02 M 3.59%
    = Texas Water Dev Brd Rev Bds 4.75% 07/15/2020 3 M 3 M 3.56%
    = Henrico Cnty Va Go Pub Im 4.25% 07/15/2024 2.83 M 2.9 M 3.44%
    = Fairfax Cnty Va Wtr Auth 4.5% 04/01/2027 2.5 M 2.55 M 3.03%
    + Increase - Decrease = No change * New since last portfolio
    Data as of 07/31/2009
    Top 10 holdings account for the fund's short positions (if any). Net short positions appear shaded.
  • Sales Information

    Sales Charge %

    Initial 3.00%
    Deferred
    Taken from prospectus dated 03/01/2009
    Expense Ratio (based on net assets) 0.96%
    Taken from annual report dated 10/31/2008

  • Fund Management