• Prev. Nav 10/10/08 11.01  
    Current Offer 11.02  
    YTD Return 9/30/08
    -8.62%  
    Total Assets
    2.63 B  
    52-Wk Low
    52-Wk High  
    Range  
  • BFACX is experiencing normal news volume

    Real-Time Headlines: BFACX

    Customize
    • News currently not available. Please try again later.
            • Set and Manage Alerts

              Alert me if
            • Related Information: BFACX

              Fund Profile: BFACX

              The investment seeks to provide as high a level of current income as is consistent with the preservation of capital.

              The fund normally invests at least 80% of assets in bonds and other debt securities. It invests a majority of its assets in debt securities rated A and above, including securities issued and guaranteed by the U.S. and other governments, and securities backed by mortgages and other assets. The fund currently does not invest more than 15% of its assets in debt securities rated Ba and BB or below or in debt securities that are unrated but determined to be of equivalent quality.

              • Fund Manager:
                Abner D. Goldstine , since 5/28/74
              • Fund Inception:
                3/15/01
              • Fund Ratings & Risk:
                View Morningstar Analysis
              • Composition:
                STOCK (0.22%), BONDS (86.86%), CASH (6.87%), OTHER (6.05%)

              Top Fund Holdings: BFACX

              Name % of Total Fund Assets
              US Treasury Note 4.25 () 1.25 %
              FGLMC () 1.2 %
              US Treasury Note 4.625 () 1.02 %
              US Treasury Note 4.875 () 0.92 %
              US Treasury Note 4.25 () 0.87 %
              View All Holdings