MENU
STRNX
Mutual Fund ticker: NASDAQ
PRICE
CHANGE
NET ASSETS

Sterling Capital MdCp Relatv Val C (STRNX) Ownership - Who owns Sterling Capital MdCp Relatv Val C?

The investment seeks long-term capital appreciation... Show more

Category: #Mid-Cap Blend

Profile

Category
Mid-Cap Blend
Address
Sterling Capital Funds5th Floor,P.O. Box 9762Providence
Phone
800-228-1872
Web
www.sterlingcapitalfunds.com

Details

Group
Domestic Stock Funds
Category
Mid-Cap Blend
Total Expense Ratio
1.89
Min. Initial Investment
1000.00
Fund Existence
over 9 years
Turnover
4.89
Front Load
N/A
Net Assets
32238056.00
Manager Tenure
N/A

Fundamentals

STRNX
Net Assets
32.2M
Fund Existence
over 9 years
Turnover
4.89
Total Expense Ratio
1.89
Front Load
N/A
Manager
N/A
Manager Tenure
N/A
Min. Initial Investment
1000
Min. Initial Investment IRA
N/A
Morningstar Category
Mid-Cap Blend
Administrative Fee
N/A
Annual Report Gross Expense Ratio
1.89
Assets in Top Ten Holdings
14.4M
Average Credit Quality
N/A
Average Effective Duration
N/A
Average Effective Maturity
N/A
Fund of Funds
No
Fund Share Class Net Assets
3.86K
Fund Type
OpenEnd
Index Fund
No
Management Fee
0.60
Modified Duration
N/A
No Load Fund
No
Number of Long Holdings
47.00
Number of Net Holdings
47.00
Number of Short Holdings
N/A
Prospectus Acquired Expense Ratio
0.01
Weighting Top Ten Holdings
34.35%
Gain YTD
-3.679
Annual Yield % from dividends
0.00
Returns for 1 year
-16.37
Returns for 3 years
-27.67
Returns for 5 years
19.56
Returns for 10 years
N/A
View a ticker or compare two or three
Ad is loading...
A.I.Advisor
published price charts
A.I. Advisor
published General Information

General Information

Category MidCapBlend

Profile
Fundamentals
Details
Category
Mid-Cap Blend
Address
Sterling Capital Funds5th Floor,P.O. Box 9762Providence
Phone
800-228-1872
Web
www.sterlingcapitalfunds.com