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ONECX - JPMorgan Investor Growth & Income Fund Class C

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JPMorgan Investor Growth & Income Fund Class C (ONECX)
Expense Ratio: 2.25%
Expected Lifetime Fees: $58,944.14


The JPMorgan Investor Growth & Income Fund Class C fund (ONECX) is a Moderate Allocation fund started on 07/1/1997 and has $1.90 billion in assets under management. The current manager has been running JPMorgan Investor Growth & Income Fund Class C since 01/2/1997. The fund is rated by Morningstar. In addition to trading fees and broker commissions, this fund has 12b-1 fees of 0.75%

MarketRiders Prefers The Following ETF

iShares S&P Moderate Allocation (AOM)
Expense Ratio: 0.11%
Expected Lifetime Fees: $3,595.26


The iShares S&P Moderate Allocation (AOM) is an Exchange Traded Fund. It is a "basket" of securities that index the Moderate Allocation investment strategy and is an alternative to a Moderate Allocation mutual fund. Fees are very low compared to a comparable mutual fund like JPMorgan Investor Growth & Income Fund Class C because computers automatically manage the stocks.




The Following Moderate Allocation Funds Have Lower Fees Than JPMorgan Investor Growth & Income Fund Class C (ONECX). Why are these metrics important?
Mutual Fund Name Ticker Symbol Turnover Assets (M) Annual Fees
AdvisorOne Liahona N CLHAX 22.0% 219 1.44%
AllianceBern Balance Wealth Strat A ABWAX 4.0% 1,500 1.02%
AllianceBern Balance Wealth Strat Adv ABWYX 4.0% 1,500 0.72%
AllianceBern Balance Wealth Strat B ABWBX 4.0% 1,500 1.75%
AllianceBern Balance Wealth Strat C ABWCX 4.0% 1,500 1.73%
AllianceBern Balanced Shares A CABNX 87.0% 551 1.08%
AllianceBern Balanced Shares A CABSZ 87.0% 551 1.08%
AllianceBern Balanced Shares Adv CBSYX 87.0% 551 0.79%
AllianceBern Balanced Shares B CABBX 87.0% 551 1.85%
AllianceBern Balanced Shares C CBACX 87.0% 551 1.80%
Allianz AGIC Income & Growth A AZNTZ 192.0% 955 1.31%
Allianz AGIC Income & Growth D AZNDX 192.0% 955 1.31%
Allianz AGIC Income & Growth Instl AZNIX 192.0% 955 0.96%
Allianz Glbl Inv Sltns Global Allc A PALAX 64.0% 203 1.22%
Allianz Glbl Inv Sltns Global Allc B PALBX 64.0% 203 1.98%
Allianz Glbl Inv Sltns Global Allc C PALCX 64.0% 203 1.96%
Allianz Glbl Inv Sltns Global Allc I PALLX 64.0% 203 0.95%
American Beacon Balanced Adv ABLSX 47.0% 974 1.10%
American Beacon Balanced AMR AABNX 47.0% 974 0.34%
American Beacon Balanced Fund Class Y ACBYX 47.0% 974 0.70%
American Beacon Balanced Instl AADBX 47.0% 974 0.59%
American Beacon Balanced Inv AABPX 47.0% 974 0.93%
American Century Balanced Instl ABINX 87.0% 588 0.70%
American Century Balanced Inv TWBIX 87.0% 588 0.90%
American Century One Choice Mod Inv AOMIX 11.0% 839 0.85%
American Century Strat Allc: Mod A ACOAX 86.0% 1,600 1.33%
American Century Strat Allc: Mod C ASTCX 86.0% 1,600 2.08%
American Century Strat Allc: Mod Inst ASAMX 86.0% 1,600 0.88%
American Century Strat Allc: Mod Inv TWSMX 86.0% 1,600 1.08%
American Century Strat Allc: Mod R ASMRX 86.0% 1,600 1.58%
American Funds American Balanced A ABALX 47.0% 51,300 0.62%
American Funds American Balanced B BALBX 47.0% 51,300 1.38%
American Funds American Balanced C BALCX 47.0% 51,300 1.42%
American Funds American Balanced F-1 BALFX 47.0% 51,300 0.63%
American Funds American Balanced F-2 AMBFX 47.0% 51,300 0.40%
American Funds American Balanced R1 RLBAX 47.0% 51,300 1.40%
American Funds American Balanced R2 RLBBX 47.0% 51,300 1.38%
American Funds American Balanced R3 RLBCX 47.0% 51,300 0.95%
American Funds American Balanced R4 RLBEX 47.0% 51,300 0.65%
American Funds American Balanced R5 RLBFX 47.0% 51,300 0.35%
American Funds American Balanced R6 RLBGX 47.0% 51,300 0.30%
American Funds Inc Fund of Amer A AMECX 38.0% 69,200 0.58%
American Funds Inc Fund of Amer B IFABX 38.0% 69,200 1.34%
American Funds Inc Fund of Amer C IFACX 38.0% 69,200 1.39%
American Funds Inc Fund of Amer F-1 IFAFX 38.0% 69,200 0.64%
American Funds Inc Fund of Amer F-2 AMEFX 38.0% 69,200 0.40%
American Funds Inc Fund of Amer R1 RIDAX 38.0% 69,200 1.41%
American Funds Inc Fund of Amer R2 RIDBX 38.0% 69,200 1.41%
American Funds Inc Fund of Amer R3 RIDCX 38.0% 69,200 0.96%
American Funds Inc Fund of Amer R4 RIDEX 38.0% 69,200 0.66%
American Funds Inc Fund of Amer R5 RIDFX 38.0% 69,200 0.36%
American Funds Inc Fund of Amer R6 RIDGX 38.0% 69,200 0.31%
Arrow DWA Balanced A DWAFX 59.0% 319 1.87%
BlackRock Balanced Capital Instl MACPX 94.0% 912 0.76%
BlackRock Balanced Capital Inv A MDCPX 94.0% 912 1.07%
BlackRock Balanced Capital Inv A MDQSZ 94.0% 912 1.07%
BlackRock Balanced Capital Inv B MBCPX 94.0% 912 2.04%
BlackRock Balanced Capital Inv C MCCPX 94.0% 912 1.87%
BlackRock Managed Volatility Inv A PCBAX 401.0% 545 1.29%
BlackRock Managed Volatility Inv B CBIBX 401.0% 545 2.08%
BlackRock Managed Volatility Inv C BRBCX 401.0% 545 2.01%
BNY Mellon Asset Allocation Inv MIBLX 71.1% 381 1.11%
BNY Mellon Asset Allocation M MPBLX 71.1% 381 0.86%
Buffalo Flexible Income BUFBX 19.0% 402 1.05%
Calvert Balanced A CSIFX 100.0% 487 1.25%
Calvert Balanced C CSGCX 100.0% 487 2.10%
Calvert Moderate Allocation A CMAAX 18.0% 129 1.45%
Calvert Moderate Allocation C CMACX 18.0% 129 2.20%
Columbia Balanced A CBLSZ 99.0% 1,100 1.11%
Columbia Balanced B CBLBX 99.0% 1,100 1.86%
Columbia Balanced C CBLCX 99.0% 1,100 1.86%
Columbia Balanced Fund Class R5 CLREX 99.0% 1,100 0.80%
Columbia Balanced Z CBA1Z 99.0% 1,100 0.86%
Columbia Balanced Z CBALX 99.0% 1,100 0.86%
Columbia LifeGoal Balanced Growth A NBIAX 42.0% 1,000 1.24%
Columbia LifeGoal Balanced Growth B NLBBX 42.0% 1,000 1.99%
Columbia LifeGoal Balanced Growth C NBICX 42.0% 1,000 1.99%
Columbia LifeGoal Balanced Growth Portfolio Class T CGGTX 42.0% 1,000 1.29%
Columbia LifeGoal Balanced Growth R CLBRX 42.0% 1,000 1.49%
Columbia LifeGoal Balanced Growth Z NBGPX 42.0% 1,000 0.99%
Columbia Port Builder Moderate A ABUAX 58.0% 1,400 1.12%
Columbia Port Builder Moderate B AURBX 58.0% 1,400 1.87%
Columbia Port Builder Moderate C AMTCX 58.0% 1,400 1.87%
Columbia Portfolio Bldr Mod Agrsv A AXMAX 85.0% 1,100 1.21%
Columbia Portfolio Bldr Mod Agrsv B ABMBX 85.0% 1,100 1.96%
Columbia Portfolio Bldr Mod Agrsv C AGECX 85.0% 1,100 1.96%
Columbia Portfolio Builder Moderate Aggressive Fund Class R4 CMRRX 85.0% 1,100 1.06%
Columbia Portfolio Builder Moderate Fund Class R4 CBRRX 58.0% 1,400 1.01%
Delaware Dividend Income A DDIAX 110.0% 397 1.19%
Delaware Dividend Income B DDDBX 110.0% 397 1.94%
Delaware Dividend Income C DDICX 110.0% 397 1.94%
Delaware Dividend Income Instl DDIIX 110.0% 397 0.94%
Delaware Foundation Moderate Allc A DFB1Z 164.0% 385 1.13%
Delaware Foundation Moderate Allc B DFBBX 164.0% 385 1.90%
Delaware Foundation Moderate Allc I DFFIX 164.0% 385 0.90%
Dodge & Cox Balanced DOB1Z 19.0% 11,800 0.53%
Dodge & Cox Balanced DODBX 19.0% 11,800 0.53%
Dreyfus Balanced Opportunity C DBOCX 99.7% 246 1.95%
Dreyfus Balanced Opportunity Fund Class A DBO1Z 99.7% 246 1.20%
Dreyfus Balanced Opportunity Fund Class A DBOAX 99.7% 246 1.20%
Dreyfus Balanced Opportunity I DBORX 99.7% 246 0.95%
Dreyfus Balanced Opportunity J THPBX 99.7% 246 1.03%
Dreyfus Balanced Opportunity Z DBOZX 99.7% 246 1.19%
DWS Lifecycle Long Range S BTILX 222.0% 558 1.00%
DWS Lifecycle Long Range S BTRTZ 222.0% 558 1.00%
Eaton Vance Balanced A EVIFX 3.0% 195 1.17%
Eaton Vance Balanced B EMIFX 3.0% 195 1.92%
Eaton Vance Balanced C ECIFX 3.0% 195 1.92%
FBR Balanced I AFBAX 35.0% 211 1.14%
FBR Balanced Investor AFSAX 35.0% 211 1.39%
Federated Asset Allocation A FSTBX 215.0% 358 1.39%
Federated Asset Allocation B FSBBX 215.0% 358 2.19%
Federated Asset Allocation C FSB1Z 215.0% 358 2.19%
Federated Asset Allocation C FSBCX 215.0% 358 2.19%
Federated MDT Balanced A QABGX 139.0% 126 1.35%
Federated MDT Balanced C QCBGX 139.0% 126 2.10%
Federated MDT Balanced Instl QIBGX 139.0% 126 1.10%
Fidelity Advisor Asset Manager 50% A FFAMX 14.0% 6,600 1.03%
Fidelity Advisor Asset Manager 50% B FFBMX 14.0% 6,600 1.78%
Fidelity Advisor Asset Manager 50% T FFTMX 14.0% 6,600 1.25%
Fidelity Advisor Asset Manager 60% A FSASZ 14.0% 583 1.11%
Fidelity Advisor Asset Manager 60% I FSNIX 14.0% 583 0.85%
Fidelity Advisor Asset Manager 70% A FAASX 16.0% 2,800 1.11%
Fidelity Advisor Asset Manager 70% B FLL1Z 16.0% 2,800 1.92%
Fidelity Advisor Asset Manager 70% C FCL1Z 16.0% 2,800 1.85%
Fidelity Advisor Asset Manager 70% I FAAIX 16.0% 2,800 0.83%
Fidelity Advisor Asset Manager 70% T FTASX 16.0% 2,800 1.37%
Fidelity Advisor Balanced A FABLX 146.0% 1,100 1.00%
Fidelity Advisor Balanced B FAISX 146.0% 1,100 1.80%
Fidelity Advisor Balanced C FABCX 146.0% 1,100 1.74%
Fidelity Advisor Balanced I FAIOX 146.0% 1,100 0.71%
Fidelity Advisor Balanced T FAIGX 146.0% 1,100 1.20%
Fidelity Asset Manager 50% FASMX 14.0% 6,600 0.71%
Fidelity Asset Manager 60% FSANX 14.0% 583 0.83%
Fidelity Asset Manager 70% FASGX 16.0% 2,800 0.80%
Fidelity Balanced FBALX 193.0% 19,900 0.61%
Fidelity Puritan FPURX 154.0% 18,800 0.60%
FPA Crescent FPACX 32.0% 8,700 1.25%
FPA Crescent FPC1Z 32.0% 8,700 1.25%
Franklin Balanced A FBLSZ 70.8% 536 1.02%
Franklin Balanced C FBMCX 70.8% 536 1.72%
Franklin Templeton Moderate Allc A FMTIX 19.8% 2,300 1.17%
Franklin Templeton Moderate Allc Adv FMTZX 19.8% 2,300 0.92%
Franklin Templeton Moderate Allc R FTMRX 19.8% 2,300 1.42%
GE Instl Strategic Investment Inv GSIVX 187.0% 690 0.37%
GE Instl Strategic Investment Svc GSRVX 187.0% 690 0.62%
George Putnam Balanced A PGEOX 176.0% 1,100 1.05%
George Putnam Balanced B PGEBX 176.0% 1,100 1.80%
George Putnam Balanced C PGPCX 176.0% 1,100 1.80%
George Putnam Balanced M PGEMX 176.0% 1,100 1.55%
George Putnam Balanced Y PGEYX 176.0% 1,100 0.80%
Greenspring GRSPX 58.3% 722 0.93%
Hartford Balanced A ITTAX 43.0% 572 1.18%
Hartford Balanced Allocation A HBAAX 36.0% 816 1.23%
Hartford Balanced Allocation B HBABX 36.0% 816 2.02%
Hartford Balanced Allocation C HBACX 36.0% 816 1.97%
Hartford Balanced Allocation I HBAIX 36.0% 816 0.93%
Hartford Balanced B IHABX 43.0% 572 2.03%
Hartford Balanced C HAFCX 43.0% 572 1.90%
Hartford Balanced Y IHAYX 43.0% 572 0.74%
Hartford Checks and Balances A HCKAX 19.0% 1,700 1.04%
Hartford Checks and Balances A HCKCZ 19.0% 1,700 1.04%
Hartford Checks and Balances B HCKBX 19.0% 1,700 1.84%
Hartford Checks and Balances C HCKCX 19.0% 1,700 1.79%
Hartford Checks and Balances I HCKIX 19.0% 1,700 0.78%
ING Capital Allocation A ATLAX 59.0% 190 1.15%
ING Capital Allocation A ATLCZ 59.0% 190 1.15%
ING Capital Allocation C ACY1Z 59.0% 190 1.90%
ING Capital Allocation Fund Class B ALYBX 59.0% 190 1.90%
ING Capital Allocation I ALEGX 59.0% 190 0.90%
Intrepid Capital ICMBX 88.0% 371 1.41%
Intrepid Capital Fund - Institutional Class ICMVX 88.0% 371 1.16%
Invesco Moderate Allocation A AMKAX 26.0% 751 1.23%
Invesco Moderate Allocation B AMKBX 26.0% 751 1.98%
Invesco Moderate Allocation C AMKCX 26.0% 751 1.98%
Invesco Moderate Allocation Instl AMLIX 26.0% 751 0.82%
Janus Balanced Fund Class A JDBAX 94.0% 8,300 0.92%
Janus Balanced Fund Class C JABCX 94.0% 8,300 1.66%
Janus Balanced Fund Class I JBALX 94.0% 8,300 0.63%
Janus Balanced Fund Class R JDBRX 94.0% 8,300 1.34%
Janus Balanced Fund Class S JABRX 94.0% 8,300 1.09%
Janus Balanced T JABAX 94.0% 8,300 0.84%
Janus Moderate Allocation Fund Class I JMOIX 15.0% 262 0.80%
Janus Moderate Allocation T JSPMX 15.0% 262 0.98%
Janus Protected Series - Growth Class A JPGAX 362.0% 137 1.80%
Janus Protected Series - Growth Class I JPGIX 362.0% 137 1.55%
Janus Protected Series - Growth Class T JPGTX 362.0% 137 1.79%
JHancock Balanced A SVBAX 67.0% 926 1.16%
JHancock Balanced B SVBBX 67.0% 926 1.86%
JHancock Balanced C SVBCX 67.0% 926 1.86%
JHancock Balanced I SVBIX 67.0% 926 0.78%
JHancock Balanced R3 JBAHX 67.0% 926 1.36%
JHancock2 Lifestyle Balanced A JALBX 23.0% 12,000 1.36%
JHancock2 Lifestyle Balanced B JBLBX 23.0% 12,000 2.08%
JHancock2 Lifestyle Balanced C JCLBX 23.0% 12,000 2.06%
JHancock2 Lifestyle Balanced R1 JPLBX 23.0% 12,000 1.73%
JHancock2 Lifestyle Balanced R3 JRLBX 23.0% 12,000 1.58%
JHancock2 Lifestyle Balanced R4 JSLBX 23.0% 12,000 1.19%
JPMorgan Diversified A JDVAX 76.0% 630 1.32%
JPMorgan Diversified B JDVBX 76.0% 630 1.83%
JPMorgan Diversified C JDVCX 76.0% 630 1.83%
JPMorgan Diversified Instl JPDVX 76.0% 630 0.83%
JPMorgan Diversified Sel JDVSX 76.0% 630 1.07%
JPMorgan Investor Balanced Fund Class A OGI1Z 5.0% 3,100 1.48%
JPMorgan Investor Balanced Fund Class A OGIAX 5.0% 3,100 1.48%
JPMorgan Investor Balanced Fund Class B OGBBX 5.0% 3,100 2.17%
JPMorgan Investor Balanced Fund Class C OGBCX 5.0% 3,100 2.17%
JPMorgan Investor Balanced Fund Select Class OIBFX 5.0% 3,100 1.23%
JPMorgan Investor Growth & Income Fund Class A ONH1Z 9.0% 1,900 1.54%
JPMorgan Investor Growth & Income Fund Select Class ONGFX 9.0% 1,900 1.29%
Legg Mason Inv Counsel Social Aware A SSIAX 29.0% 141 1.30%
Legg Mason Inv Counsel Social Aware C SESLX 29.0% 141 1.96%
Legg Mason Permal Tactical Allocation A LPTAX 99.0% 109 1.80%
Legg Mason Permal Tactical Allocation I LPTIX 99.0% 109 1.55%
Lord Abbett Balanced Strategy A LABFX 27.9% 1,300 1.16%
Lord Abbett Balanced Strategy B LABBX 27.9% 1,300 1.91%
Lord Abbett Balanced Strategy C BFLAX 27.9% 1,300 1.91%
Lord Abbett Balanced Strategy I LABYX 27.9% 1,300 0.91%
MainStay Balanced A MBNAX 221.0% 578 1.20%
MainStay Balanced B MBNBX 221.0% 578 2.14%
MainStay Balanced C MBACX 221.0% 578 2.14%
MainStay Balanced I MBAIX 221.0% 578 0.95%
MainStay Income Builder A MTRAX 33.0% 648 1.08%
MainStay Income Builder A MTRSZ 33.0% 648 1.08%
MainStay Income Builder B MKTRX 33.0% 648 2.15%
MainStay Income Builder C MCTRX 33.0% 648 2.15%
MainStay Income Builder Fund Class I MTOSZ 33.0% 648 0.83%
Mairs & Power Balanced Inv MAPOX 9.1% 210 0.80%
Manning & Napier Pro-Blend Extnd Term I MNBIX 65.0% 1,200 0.84%
Manning & Napier Pro-Blend Extnd Term S MNBAX 65.0% 1,200 1.09%
Manning & Napier Pro-Blend Extnd Term S MNBTZ 65.0% 1,200 1.09%
MEMBERS Moderate Allocation A MMDAX 20.0% 119 1.52%
MFS Moderate Allocation Fund Class A MAM1Z 12.0% 3,400 1.11%
MFS Total Return A MSFRX 24.0% 5,700 0.77%
MFS Total Return A MTR3Z 24.0% 5,700 0.77%
MFS Total Return B MTRBX 24.0% 5,700 1.52%
MFS Total Return I MTRIX 24.0% 5,700 0.52%
MFS Total Return R2 MTRRX 24.0% 5,700 1.02%
MFS Total Return R3 MSFHX 24.0% 5,700 0.77%
MFS Total Return R4 MSFJX 24.0% 5,700 0.52%
Nationwide Inv Dest Mod A NADMX 14.3% 1,500 0.73%
Nationwide Inv Dest Mod B NBDMX 14.3% 1,500 1.46%
Nationwide Inv Dest Mod Svc NSDMX 14.3% 1,500 0.86%
Nuveen Strategy Balanced Allc A FSG3Z 34.0% 353 1.24%
Nuveen Strategy Balanced Allc A FSGNX 34.0% 353 1.24%
Nuveen Strategy Balanced Allc B FSKBX 34.0% 353 1.99%
Nuveen Strategy Balanced Allc C FSKCX 34.0% 353 1.99%
Nuveen Strategy Balanced Allc I FSKYX 34.0% 353 0.99%
Oakmark Equity & Income I OAKBX 47.0% 18,700 0.77%
Oakmark Equity & Income II OARBX 47.0% 18,700 1.09%
Oppenheimer Flexible Strategies A QVO2Z 181.0% 1,100 1.57%
Oppenheimer Flexible Strategies A QVOPX 181.0% 1,100 1.57%
Oppenheimer Flexible Strategies N QOPNX 181.0% 1,100 1.87%
Oppenheimer Flexible Strategies Y QOPYX 181.0% 1,100 1.25%
Oppenheimer Moderate Inv A OAMSZ 12.0% 961 1.04%
Oppenheimer Moderate Inv B OBMIX 12.0% 961 1.91%
Oppenheimer Moderate Inv C OCMIX 12.0% 961 1.81%
Oppenheimer Moderate Inv N ONMIX 12.0% 961 1.31%
Oppenheimer Moderate Inv Y OYMIX 12.0% 961 0.84%
Pioneer Classic Balanced B ASBBX 29.0% 273 2.06%
Pioneer Classic Balanced C PCBCX 29.0% 273 1.98%
Pioneer Ibbotson Moderate Allocation A PIALX 14.0% 191 1.47%
Pioneer Ibbotson Moderate Allocation C PIDCX 14.0% 191 2.16%
PL Port Optimization Moderate B POMBX 6.8% 1,000 2.08%
PL Port Optimization Moderate C POMCX 6.8% 1,000 2.08%
PL Port Optimization Moderate R POCRX 6.8% 1,000 1.58%
PL Portfolio Optimization Moderate Fund Class A POCSZ 6.8% 1,000 1.33%
Principal Diversified Real Asset A PRDAX 59.7% 1,100 1.25%
Principal Diversified Real Asset Inst PDRDX 59.7% 1,100 0.87%
Principal SAM Balanced A SABPX 29.6% 3,400 1.35%
Principal SAM Balanced R5 PSBFX 29.6% 3,400 1.25%
Prudential Asset Allocation A PIBAX 230.0% 314 1.16%
Prudential Asset Allocation B PBFBX 230.0% 314 1.86%
Prudential Asset Allocation C PABCX 230.0% 314 1.86%
Prudential Asset Allocation L DYQ1Z 230.0% 314 1.36%
Prudential Asset Allocation X DYX1Z 230.0% 314 1.86%
Prudential Asset Allocation Z PABFX 230.0% 314 0.86%
Prudential Moderate Allocation A JDTAX 19.0% 140 1.71%
Prudential Moderate Allocation Z JDMZX 19.0% 140 1.46%
Putnam Capital Spectrum Fund Class A PVSAX 117.0% 1,000 1.38%
Putnam Capital Spectrum Fund Class Y PVSYX 117.0% 1,000 1.13%
Putnam Dynamic Asset Allocation Bal A PABAX 158.0% 1,200 1.07%
Putnam Dynamic Asset Allocation Bal B PABBX 158.0% 1,200 1.82%
Putnam Dynamic Asset Allocation Bal C AABCX 158.0% 1,200 1.82%
Putnam Dynamic Asset Allocation Bal M PABMX 158.0% 1,200 1.57%
Putnam Dynamic Asset Allocation Bal Y PABYX 158.0% 1,200 0.82%
RidgeWorth Moderate Allocation Strat A SVMAX 38.0% 167 1.25%
RidgeWorth Moderate Allocation Strat C SVGLX 38.0% 167 1.95%
Russell LifePoints Bal Strat A RBLAX 9.0% 4,000 1.34%
Russell LifePoints Bal Strat C RBLCX 9.0% 4,000 2.09%
Russell LifePoints Bal Strat E RBLEX 9.0% 4,000 1.34%
Russell LifePoints Bal Strat R1 RBLRX 9.0% 4,000 0.94%
Russell LifePoints Bal Strat R2 RBLTX 9.0% 4,000 1.19%
Russell LifePoints Bal Strat S RBLSX 9.0% 4,000 1.09%
Russell LifePoints Bal Strat S RBLSZ 9.0% 4,000 1.09%
Schwab Balanced SWOBX 53.0% 102 0.64%
Schwab MarketTrack Balanced Investor SWBGX 25.0% 414 0.69%
Sentinel Balanced A SEBLX 162.0% 230 1.13%
Sentinel Balanced A SEBSZ 162.0% 230 1.13%
Sentinel Balanced C SBACX 162.0% 230 1.94%
Sentinel Balanced I SIBLX 162.0% 230 1.09%
T. Rowe Price Balanced RPBAX 57.9% 3,100 0.66%
T. Rowe Price Capital Appreciation PRWCX 81.3% 12,300 0.72%
T. Rowe Price Capital Appreciation Adv PACLX 81.3% 12,300 1.01%
T. Rowe Price Personal Strat Balanced TRPBX 55.1% 1,500 0.76%
Target Conservative Allocation A PCGAX 188.0% 116 1.53%
Target Conservative Allocation R SPCTZ 188.0% 116 1.78%
Target Conservative Allocation Z PDCZX 188.0% 116 1.28%
TIAA-CREF Managed Allc Inst TIMIX 10.0% 562 0.42%
TIAA-CREF Managed Allc Retail TIMRX 10.0% 562 0.67%
Transamerica Asset Allc Moderate A IMOAX 23.0% 2,100 1.40%
Transamerica Asset Allc Moderate C IMOLX 23.0% 2,100 2.06%
Transamerica Asset Allc Moderate I TMMIX 23.0% 2,100 1.10%
Transamerica Multi-Mgd Balanced A IBALX 263.0% 348 1.44%
Transamerica Multi-Mgd Balanced I TBLIX 263.0% 348 1.01%
UBS US Allocation Y PWTYX 157.0% 276 0.73%
Value Line Income & Growth VALIX 57.0% 294 1.15%
Vanguard Balanced Index Instl VBAIX 67.0% 15,900 0.08%
Vanguard Balanced Index Inv VBINX 67.0% 15,900 0.24%
Vanguard Balanced Index Signal VBASX 67.0% 15,900 0.10%
Vanguard LifeStrategy Moderate Gr Inv VSMGX 32.0% 8,200 0.16%
Vanguard STAR Inv VGSTX 24.0% 14,000 0.34%
Vanguard Wellington Adm VWENX 38.0% 59,300 0.19%
Vanguard Wellington Inv VWELX 38.0% 59,300 0.27%
Villere Balanced Inv VILLX 40.0% 161 0.99%
Wells Fargo Advantage Growth Balanced A WFGBX 70.0% 279 1.20%
Wells Fargo Advantage Growth Balanced Ad NVGBX 70.0% 279 0.95%
Wells Fargo Advantage Growth Balanced B NVGRX 70.0% 279 1.95%
Wells Fargo Advantage Growth Balanced C WFGWX 70.0% 279 1.95%



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Why Are These Metrics Important?


Turnover
Turnover represents how much of a mutual fund's holdings are changed over the course of a year through buying and selling. Active mutual funds have an average turnover rate of about 85%, meaning that funds are turning over nearly all of their holdings every year. A high turnover means you could make lower returns because: 1) buying and selling stocks costs money through commissions and spreads and 2) the fund will distribute yearly capital gains which increases your taxes. Look for funds with turnover rates below 50%. For comparison, ETF turnover rates average around 10% or lower.

Assets
Generally, smaller funds do better than larger ones. The more assets in a mutual fund, the lower the chance that it will beat its index. Managers outperform an index by choosing stocks that are undervalued. In order to find these undervalued stocks, the manager has to know more than his competitors to develop an "edge." There are only a finite number of stocks a mutual fund manager can reasonably analyze and actively track to gain such a competitive edge. When the fund has more assets, the manager must analyze large companies because he needs to take larger positions. Large companies are more efficiently priced in the market and it becomes increasingly difficult to get an edge.