Fund Values illustrated in the tables above are not guaranteed.
Fund Values illustrated in the tables above are not guaranteed.
Not exact matches
Rates of return shown in this site are used only to
illustrate the effects of the compound growth rate and are not intended to reflect future
values of the
Funds or returns on investment in the
Funds.
Any compounded rates of returns used are intended to only
illustrate the effects of the compound growth rate and are not intended to reflect the future
values of the HSBC Mutual
Funds or returns on investment.
The advisor
illustrates the same point by looking the
fund's performance during all of the quarters in which the Russell 2000
Value index fell:
The rate of return or mathematical table shown is used only to
illustrate the effects of the compound growth rate and is not intended to reflect future
values of the
fund or returns on investment in the
fund.
The chart
illustrates sub-factor performance of
value and momentum factor - based hypothetical portfolios using the developed markets ex-US universe as defined by Hartford
Funds, which includes the top 2,000 stocks of the large - cap universe as ranked by free - float market cap.
The chart
illustrates sub-factor performance of
value and momentum factor - based hypothetical portfolios using the US universe as defined by Hartford
Funds.
Strategies and managers that look like they are adding
value can actually erode wealth on an after - tax basis — this is
illustrated by the
funds highlighted in green in Exhibit 1; and
Further
illustrating Fidelity's concern is a 2011 e-mail from an attorney for Fidelity, noting that JP Morgan had been «shed [ding]» wrap capacity, that there were a «dwindl [ing]» number of new entrants into the wrap market, and that Fidelity ran the risk of being «left out in the cold» if the number of insurers of stable
value funds was limited, as he expected it to be, the court said.
Rates of return shown in this site are used only to
illustrate the effects of the compound growth rate and are not intended to reflect future
values of the
Funds or returns on investment in the
Funds.