| Please note that past performance is no guarantee of future results. The Fund is not diversified. The Fund is composed of 35 companies and invests in foreign country securities, which may involve economic, political, and currency risks. These factors may affect the value of your investment.
Performance data is for the no-load series. The fund changes 2% redemption fee for amounts withdrew within 365 days of investment. The fund charges a 12 (b) (1) FEE OF 0.25%. For detailed information about fees and expenses, please obtain a prospectus by calling the fund's distributors at 1-888-876-3566. |