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Institutional Funds

Performance

As of 11/30/2025
Share Class 
Advisor Class

As of 12/10/2025

NAV1 
$13.14
NAV Change1 
0.08%

$0.01

NAV YTD 
14.16%

Average Annual Total Return NAV (%)
As of 11/30/2025

1 Year 
13.07
3 Year 
14.21
5 Year 
7.13
10 Year 
6.49
Since Inception 
6.64
05/24/2006
Expense Ratio2 
Gross 
1.17%
Net 
1.02%
Share Class 
Advisor Class

As of 12/10/2025

NAV1 
$17.25
NAV Change1 
0.58%

$0.10

NAV YTD 
8.22%

Average Annual Total Return NAV (%)
As of 11/30/2025

1 Year 
6.34
3 Year 
6.32
5 Year 
1.79
10 Year 
4.23
Since Inception 
8.45
10/21/2002
Expense Ratio2 
Gross 
1.11%
Net 
1.11%
Share Class 
Primary Shares

As of 12/10/2025

NAV1 
$12.91
NAV Change1 
1.41%

$0.18

NAV YTD 
29.10%

Average Annual Total Return NAV (%)
As of 11/30/2025

1 Year 
23.72
3 Year 
18.92
5 Year 
11.63
10 Year 
7.11
Since Inception 
7.73
10/18/1990
Expense Ratio2 
Gross 
1.03%
Net 
0.98%

Ratings