Fund Inception Date: Sep 30, 2004
Category: Moderate Allocation
Overall Risk: Below Average
Fund Family: Wells Fargo Advantage
Return Since Inception: 2.29%
YTD Return: 10.90%
Yield (TTM): 2.19%
Net Assets: 351.91 M
- Morningstar Rating:
- 3 of 5
Morningstar Rating as of 10/31/2009
YTD Returns as of 07/21/2009
The investment seeks a combination of current income and capital appreciation. The fund invests 57% of assets in bond funds, 38% of assets in stock funds and 10% of assets to alternative investment strategy funds. It normally uses futures contracts to implement target allocation changes recommended by the TAA Model. Bond holdings are diversified across a wide range of short- to long-term, income-producing securities. Stock holdings are diversified across a wide range of equity securities.
Stock Holdings
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| Size |
|
| Average Market Cap |
$16,236.40 M |
| Market Capitalization |
Portfolio |
| Giant |
39.00% |
| Large |
31.68% |
| Medium |
16.12% |
| Small |
10.19% |
| Micro |
3.01% |
Bond Holdings
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| Details |
|
| Average Eff Duration |
3.37 Yrs |
| Average Eff Maturity |
7.44 Yrs |
| Average Credit Quality |
AA |