Guggenheim Russell Top 50 Mega Cap
(PCQ: XLG)
116.44
-1.46
-1.24%
MORE ON XLG
QUICK STATS
| Latest price | 116.44 | Change | -1.46 | |
| Net assets | 547.34 Mil | % Change | -1.24% | |
| YTD | +13.61 % | |||
| Category | Large Blend | |||
| Fund family name | Guggenheim Investments | |||
| Index tracked | S&P 500 TR USD | |||
| Inception date | 05/04/2005 | |||
| Turnover ratio | +7.00 % | |||
| Detailed quote | Last price update 6/19/2013 4:00 PM ET ET | |||
OVERVIEW
The investment seeks to replicate as closely as possible, before fees and expenses, the daily performance of the Russell Top 50® Mega Cap Index Total Return.
The fund invests at least 90% of its net assets, plus any borrowings for investment purposes, in the equity securities included in the underlying index. The underlying index is an unmanaged equal-weighted version comprised of the 50 largest companies in the Russell 3000® Index, which is an unmanaged capitalization-weighted index that offers investors access to the broad U.S. equity universe representing approximately 98% of the U.S. equity market. It is non-diversified.
ANNUAL RETURNS
| 2010 | 2011 | 2012 | |
|---|---|---|---|
| MKT | NA | NA | NA |
| NAV | 9.22 | 4.18 | 15.35 |
MODERN PORTFOLIO THEORY STATISTICS
| MEASUREMENT |
STANDARD INDEX S&P 500 TR USD |
|---|---|
| R-Squared (1-year) | 96.69 |
| Beta (1-year) | 0.91 |
| Alpha (1-year) | 0.46 |
DATA PROVIDERS
Copyright © 2013 Microsoft. All rights reserved.
Fundamental company data and historical chart data provided by Morningstar Inc. Real-time index quotes and delayed quotes supplied by Morningstar Inc. Quotes delayed by up to 15 minutes, except where indicated otherwise. Fund summary, fund performance and dividend data provided by Morningstar Inc. Analyst recommendations provided by Zacks Investment Research. StockScouter data provided by Verus Analytics. IPO data provided by Hoover's Inc. Index membership data provided by Morningstar Inc.
ASSET ALLOCATION
| Prospectus Objectives | Large Blend |
FEES AND EXPENSES
| Expense Ratio | 0.20% |
| Gross Expense Ratio | 0.20% |
| Net Expense Ratio | 0.20% |
| Management Fee | 0.20% |
VOLATILITY MEASURES
| 1-year standard deviation | 13.03 |
| Mean | 1.31 |
| 1-Year Treynor ratio | 21.93 |
| 3-year Sharpe ratio | 1.2 |
- What does this mean?
- Morningstar portfolio data through 6/18/2013



