The Fund's stock-selection process is driven by our in-depth fundamental research, enabling us to invest with conviction in companies where we believe we have a differentiated view from the market.
|NAV (As of 7/2/15 )||$59.62|
|Total Net Assets (As of 5/31/15)||$9.37B|
|Annual Expense Ratio|
(As of fiscal year end 9/30/14)
|Performance (As of 6/30/15)||@CDSC|
|Morningstar (As of 5/31/15)|