Experience real-time quotes &

news with the most powerful

iPhone application for investors.

Get the FREE DailyFinance iPhone application

  • Prev. Nav 8.50 11/25/09  
    Current Offer 8.50  
    YTD Return
    42.22% 10/31/09  
    52-Wk Low 5.90
    52-Wk High 8.50  
    Range 2.60  
    Total Assets
    93.60 M  
     
  • AHYPX is experiencing normal news volume

    Real-Time Headlines: AHYPX

    Customize
    • -

            • Set and Manage Alerts

              Alert me if
            • Related Information: AHYPX

              Fund Profile: AHYPX

              The investment seeks high current income and capital appreciation.

              The fund primarily invests in a diversified portfolio of public and private issue debt securities that are generally rated below investment grade and capital appreciation by investing in issues whose relative value is expected to increase over time. It invests at least 80% of assets in a diversified portfolio of domestic and foreign high yield bonds. The weighted average maturity of the fund's debt securities is generally expected to be from six to eight years.

              • Fund Manager:
                Kirk L. Brown , since 12/29/00
              • Fund Inception:
                3/1/02
              • Fund Ratings & Risk:
                View Ratings & Risk
              • Composition:
                STOCK (0.0%), BONDS (97.65%), CASH (1.0%), OTHER (1.36%)

              Top Fund Holdings: AHYPX

              Name % of Total Fund Assets
              Gmac 6.875 () 2.2 %
              Ford Motor Credit 9.875 () 2.2 %
              Texas Competitive Elec Hldgs 144A 10.25 () 1.56 %
              Sungard Data Sys 10.25 () 1.48 %
              Chesapeake Engy 6.625 () 1.42 %
              View Holdings