PIMCO offers a wide array of mutual funds across all asset classes, designed to help investors meet a range of portfolio needs — from true core holdings to innovative strategies that seek to enhance diversification and return opportunities.
Lipper Rankings are based on total return performance.
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Share Class
All data as of 06/18/13
Absolute Return Bond
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PCARXPIMCO Credit Absolute Return Fund
-
2.27% 03/31/20132.23% $10.58 -$0.01-0.09% 0.52% 6.39%
-
-
-
PMZIXPIMCO Mortgage Opportunities Fund
-
3.98% 2.81% $11.08 $0.000.01% 2.36%
-
-
-
-
PFIUXPIMCO Unconstrained Bond Fund
-
1.06% 1.41% $11.39 -$0.01-0.09% -0.34% 3.28% 3.85%
-
-
PUTIXPIMCO Unconstrained Tax Managed Bond Fund
-
1.14% 1.47% $10.73 $0.000.00% -0.02% 3.56% 2.91%
-
-
Alternative
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PCPIXPIMCO CommoditiesPLUS Short Strategy Fund
-
15.00% -0.42% $8.18 -$0.01-0.12% 5.68% -1.92%
-
-
-
PCLIXPIMCO CommoditiesPLUS Strategy Fund
-
0.53% -0.09% $10.66 $0.020.19% -2.47% 10.74% 7.84%
-
-
PCRIXPIMCO CommodityRealReturn Strategy Fund
-
2.28% 2.21% $6.01 $0.010.17% -9.05% -0.49% 4.90% -7.53% 5.42%
PFATXPIMCO Fundamental Advantage Absolute Return Strategy Fund
-
2.08% 1.06% $4.44 $0.000.00% 2.69% 9.34% 5.37% 8.52%
-
PRRSXPIMCO RealEstateRealReturn Strategy Fund
-
13.65% 2.13% $4.82 $0.040.84% -1.11% 6.14% 22.38% 11.91%
-
PWWIXPIMCO Worldwide Fundamental Advantage AR Strategy Fund
-
2.75% 0.56% $10.05 $0.010.10% 0.40%
-
-
-
-
Asset Allocation – Global
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PFSIXPIMCO Emerging Markets Full Spectrum Bond Fund
-
4.12% 4.19% $9.37 -$0.08-0.84%
-
-
-
-
-
PEAWXPIMCO Emerging Multi-Asset Fund
-
2.90% 12/31/20122.41% $8.81 -$0.03-0.34% -5.37% 5.66%
-
-
-
PGAIXPIMCO Global Multi-Asset Fund
-
2.77% 03/31/20132.51% $10.84 -$0.03-0.28% -4.55% 2.43% 5.08%
-
-
Asset Allocation - Real Return
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PAUIXPIMCO All Asset All Authority Fund
-
5.31% 4.61% $10.56 -$0.04-0.38% -3.93% 7.72% 6.95% 7.00%
-
PAAIXPIMCO All Asset Fund
-
4.97% 4.64% $12.36 -$0.02-0.16% -0.89% 9.82% 8.18% 6.73% 7.03%
PIRMXPIMCO Inflation Response Multi-Asset Fund
-
1.45% 1.24% $9.68 -$0.01-0.10% -5.38% -0.66%
-
-
-
Convertibles
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PFCIXPIMCO Convertible Fund
-
5.92% 1.81% $14.40 $0.070.49% 9.02% 15.01% 8.87% 5.52% 7.12%
Core
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PEDIXPIMCO Extended Duration Fund
-
2.79% 2.78% $7.37 $0.020.28% -9.41% -14.28% 11.95% 12.90%
-
PLRIXPIMCO Long Duration Total Return Fund
-
3.70% 3.31% $11.31 -$0.01-0.08% -4.69% -1.57% 9.19% 10.57%
-
PTLDXPIMCO Low Duration Fund
-
2.02% 1.06% $10.37 $0.000.00% -0.35% 2.63% 3.29% 4.57% 3.97%
PLDTXPIMCO Low Duration Fund II
-
1.30% 0.67% $9.93 $0.010.10% -0.39% 1.70% 2.55% 3.57% 3.38%
PLDIXPIMCO Low Duration Fund III
-
1.89% 1.12% $9.84 $0.000.00% -0.40% 2.50% 3.47% 4.15% 3.68%
PMDRXPIMCO Moderate Duration Fund
-
2.14% 1.37% $10.74 $0.000.01% -0.27% 3.71% 5.22% 7.04% 5.37%
PTTRXPIMCO Total Return Fund
-
2.66% 1.84% $10.97 -$0.01-0.09% -1.20% 3.31% 5.66% 7.69% 6.12%
PMBIXPIMCO Total Return Fund II
-
2.41% 1.48% $10.44 $0.010.10% -1.21% 2.21% 4.87% 7.04% 5.56%
PTSAXPIMCO Total Return Fund III
-
2.58% 1.57% $9.68 $0.000.01% -1.01% 2.92% 5.34% 7.56% 5.88%
PTUIXPIMCO Total Return Fund IV
-
1.60% 1.20% $10.69 -$0.01-0.09% -0.70% 3.66%
-
-
-
Domestic Equity
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PXTIXPIMCO Fundamental IndexPLUS AR Fund
-
12.21% 0.61% $6.92 $0.050.73% 19.50% 35.57% 23.67% 15.24%
-
PSCSXPIMCO Small Cap StocksPLUS AR Strategy Fund
-
7.60% 0.80% $9.43 $0.101.07% 17.81% 36.06% 21.42% 15.83%
-
PCFIXPIMCO Small Company Fundamental IndexPLUS AR Strategy Fund
-
14.88% 0.97% $13.89 $0.161.17% 19.07% 39.59%
-
-
-
PSPTXPIMCO StocksPLUS Absolute Return Fund
-
6.42% 0.86% $10.37 $0.060.58% 15.87% 28.70% 21.26% 10.81% 9.39%
PSTIXPIMCO StocksPLUS AR Short Strategy Fund
-
1.57% 0.95% $3.13 -$0.02-0.63% -14.80% -17.84% -12.26% -4.32%
-
PSTKXPIMCO StocksPLUS Fund
-
3.64% 0.75% $9.72 $0.070.73% 17.27% 28.83% 18.83% 7.72% 7.42%
PSLDXPIMCO StocksPLUS Long Duration Fund
-
4.68% 2.73% $9.01 $0.050.56% 11.22% 22.69% 26.75% 15.56%
-
Global Bond
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PELBXPIMCO Emerging Local Bond Fund
-
4.88% 3.38% $10.05 -$0.13-1.26% -6.50% 3.55% 5.65% 7.16%
-
PEBIXPIMCO Emerging Markets Bond Fund
-
4.87% 3.69% $11.55 -$0.09-0.76% -5.48% 3.97% 7.94% 8.11% 8.69%
PLMIXPIMCO Emerging Markets Currency Fund
-
1.42% 0.87% $10.26 -$0.06-0.58% -1.93% 4.18% 3.11% 1.42%
-
PFORXPIMCO Foreign Bond Fund (U.S. Dollar-Hedged)
-
2.16% 1.84% $10.62 -$0.02-0.18% -0.58% 7.11% 6.59% 8.39% 6.02%
PFUIXPIMCO Foreign Bond Fund (Unhedged)
-
2.30% 1.97% $10.30 -$0.06-0.57% -4.48% 0.97% 7.48% 6.92%
-
PSAIXPIMCO Global Advantage Strategy Bond Fund
-
2.38% 1.64% $11.36 -$0.05-0.43% -1.93% 3.01% 6.12%
-
-
PGBIXPIMCO Global Bond Fund (U.S. Dollar-Hedged)
-
2.16% 1.87% $10.30 -$0.02-0.19% -0.92% 5.00% 6.59% 7.56% 5.58%
PIGLXPIMCO Global Bond Fund (Unhedged)
-
2.32% 1.85% $9.57 -$0.05-0.51% -3.52% 1.83% 7.45% 6.94% 6.25%
Global Equity
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PQIIXPIMCO Dividend and Income Builder Fund
-
3.75% 2.88% $11.93 $0.030.27% 8.58% 20.10%
-
-
-
PEFIXPIMCO EM Fundamental IndexPLUS AR Strategy Fund
-
5.91% 0.63% $9.22 -$0.03-0.32% -11.35% 5.99% 5.85%
-
-
PQDIXPIMCO EqS Dividend Fund
-
3.32% 2.22% $12.22 $0.040.34% 11.19% 22.80%
-
-
-
PEQWXPIMCO EqS Emerging Markets Fund
-
1.01% 12/31/20120.26% $8.50 $0.020.24% -4.17% 9.79%
-
-
-
PMHIXPIMCO EqS Long/Short Fund
-
0.39% 12/31/20120.77% $11.07 $0.020.18% 18.02% 15.65%
-
-
-
PTHWXPIMCO EqS Pathfinder Fund
-
2.96% 12/31/20120.98% $11.18 $0.040.36% 7.81% 15.80% 7.11%
-
-
PTSIXPIMCO International Fundamental IndexPLUS AR Strategy Fund
-
14.37% 1.01% $11.86 $0.010.08% 8.05% 32.87%
-
-
-
PISIXPIMCO International StocksPLUS AR Strategy Fund (U.S. Dollar-Hedged)
-
9.46% -0.02% $7.60 $0.081.06% 9.74% 32.80% 11.98% 8.11%
-
PSKIXPIMCO International StocksPLUS AR Strategy Fund (Unhedged)
-
6.69% 0.81% $6.95 $0.050.72% 6.73% 31.57% 14.52% 4.80%
-
Government
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PDMIXPIMCO GNMA Fund
-
2.87% 0.42% $11.29 $0.010.10% -1.46% -0.23% 3.89% 6.15% 5.41%
PGOVXPIMCO Long-Term U.S. Government Fund
-
2.47% 2.33% $10.36 $0.000.01% -5.14% -6.88% 8.89% 9.91% 6.63%
PTRIXPIMCO Mortgage-Backed Securities Fund
-
2.03% 1.47% $10.44 $0.000.01% -0.74% 1.94% 4.01% 6.33% 5.47%
Income
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PDIIXPIMCO Diversified Income Fund
-
4.43% 2.68% $11.78 -$0.04-0.32% -1.65% 6.17% 8.43% 8.96%
-
PFIIXPIMCO Floating Income Fund
-
4.19% 2.31% $8.77 -$0.02-0.22% -0.01% 8.06% 4.34% 3.75%
-
PHIYXPIMCO High Yield Fund
-
5.80% 3.67% $9.58 $0.000.02% 2.16% 11.29% 9.93% 8.76% 7.79%
PHSIXPIMCO High Yield Spectrum Fund
-
5.99% 4.49% $10.95 $0.010.11% 3.30% 15.07%
-
-
-
PIMIXPIMCO Income Fund
-
4.85% 3.27% $12.47 -$0.02-0.14% 3.39% 17.20% 13.96% 13.11%
-
PIGIXPIMCO Investment Grade Corporate Bond Fund
-
3.88% 2.83% $10.84 -$0.02-0.17% -0.71% 6.74% 9.31% 10.55% 7.19%
PTCIXPIMCO Long-Term Credit Fund
-
5.07% 3.92% $12.48 -$0.02-0.15% -2.64% 6.04% 13.21%
-
-
PSRIXPIMCO Senior Floating Rate Fund
-
3.68% 2.72% $10.31 $0.000.01% 2.43% 7.22%
-
-
-
International Bond
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PEMIXPIMCO Emerging Markets Corporate Bond Fund
-
3.55% 3.18% $11.66 -$0.03-0.25% -2.80% 6.88% 7.13%
-
-
Money Market
SymbolFund Name Max.
Sales
Charge
NAVCHG ($)CHG (%) 7-Day Yield
as of 06/18/2013
YTD
Return
1 YR3 YR5 YR10 YR
PMIXXPIMCO Money Market Fund
-
$1.00 $0.000.00% 0.00% 0.01% 0.03% 0.05% 0.24% 1.68%
Municipal
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PCIMXPIMCO California Intermediate Municipal Bond Fund
-
2.28% 1.58% $9.67 -$0.01-0.10% -1.13% 2.24% 4.09% 4.20% 3.28%
PCTIXPIMCO California Municipal Bond Fund
-
2.05% 2.04% $9.90 -$0.01-0.10% -2.61% 1.49%
-
-
-
PCDIXPIMCO California Short Duration Municipal Income Fund
-
1.06% 0.51% $9.95 $0.000.00% 0.26% 0.47% 0.71% 1.77%
-
PHMIXPIMCO High Yield Municipal Bond Fund
-
4.48% 3.79% $8.64 -$0.02-0.22% -0.85% 6.40% 7.34% 4.49%
-
PFMIXPIMCO Municipal Bond Fund
-
3.18% 2.57% $9.45 -$0.02-0.20% -1.74% 3.82% 5.86% 3.66% 3.26%
PMNIXPIMCO National Intermediate Municipal Bond Fund
-
1.69% 1.71% $10.07 -$0.01-0.10% -1.92% 1.97%
-
-
-
PNYIXPIMCO New York Municipal Bond Fund
-
3.30% 1.99% $11.07 -$0.01-0.08% -1.54% 2.69% 4.23% 4.49% 3.94%
PSDIXPIMCO Short Duration Municipal Income Fund
-
0.89% 0.39% $8.48 $0.000.00% 0.33% 0.90% 1.06% -0.66% 0.73%
Real Return
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PRAIXPIMCO Real Return Asset Fund
-
2.95% 2.85% $8.70 $0.030.35% -10.86% -7.64% 8.71% 8.07% 7.08%
PRRIXPIMCO Real Return Fund
-
1.18% 2.67% $11.52 $0.020.18% -5.61% -2.98% 5.90% 5.99% 5.79%
PTMIXPIMCO Tax Managed Real Return Fund
-
1.66% 0.79% $10.58 $0.020.19% -3.08% -0.35% 3.65%
-
-
Retirement Income
    YieldsDaily NAV and Change Annualized
SymbolFund NameReal Distribution Rate(Daily) Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PRIFXPIMCO Real Income 2019 Fund14.95%
-
14.78% 2.35% $7.44 $0.000.04% -2.16% -1.03% 3.68%
-
-
PRIIXPIMCO Real Income 2029 Fund5.92%
-
5.80% 2.13% $10.26 $0.030.31% -5.83% -4.09% 6.03%
-
-
Retirement Solutions
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 03/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PTNIXPIMCO RealRetirement 2015 Fund
-
4.56% 2.97% $10.17 $0.020.20% -0.07% 4.88%
-
-
-
PRWIXPIMCO RealRetirement 2020 Fund
-
5.04% 3.12% $8.32 $0.010.12% 0.37% 5.80% 6.02% 4.20%
-
PENTXPIMCO RealRetirement 2025 Fund
-
4.97% 3.66% $10.11 $0.030.30% 0.96% 7.57%
-
-
-
PRLIXPIMCO RealRetirement 2030 Fund
-
5.40% 3.85% $7.94 $0.030.38% 1.79% 9.47% 6.74% 3.62%
-
PIVIXPIMCO RealRetirement 2035 Fund
-
5.56% 4.16% $10.11 $0.050.50% 2.67% 11.07%
-
-
-
PROIXPIMCO RealRetirement 2040 Fund
-
6.19% 4.25% $7.82 $0.040.51% 3.04% 11.91% 8.14% 4.17%
-
PFZIXPIMCO RealRetirement 2045 Fund
-
5.78% 4.52% $10.57 $0.050.48% 3.36% 13.24%
-
-
-
PRMIXPIMCO RealRetirement 2050 Fund
-
6.08% 4.54% $8.09 $0.050.62% 3.23% 12.64% 7.90% 4.44%
-
PRIEXPIMCO RealRetirement Income and Distribution Fund
-
4.61% 2.83% $8.71 $0.000.00% -0.20% 4.74% 6.27% 5.26%
-
Short Term
   YieldsDaily NAV and Change Annualized
SymbolFund Name Max.
Sales
Charge
Distribution Yield
as of 05/31/2013
30-Day
SEC
as of 05/31/2013
NAVCHG ($)1 Day Return YTD
Return
1 YR3 YR5 YR10 YR
PAIDXPIMCO Short Asset Investment Fund
-
0.80% 0.85% $10.07 $0.000.00% 0.36% 1.42%
-
-
-
PTSHXPIMCO Short-Term Fund
-
1.01% 0.81% $9.86 $0.000.00% 0.31% 1.88% 1.71% 2.49% 2.79%
Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. This and other information are contained in the fund’s prospectus and summary prospectus, if available, which may be obtained by contacting your financial advisor or PIMCO representative.  Click here for a complete list of the PIMCO Funds prospectuses and summary prospectuses. Please read them carefully before you invest or send money.

Performance quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than average annual returns shown. Investment return and the principal value of an investment will fluctuate. Shares may be worth more or less than original cost when redeemed.

The 7-day yield is updated daily; it reflects the yield as of the previous business day. The yield quotations more closely reflect the current earnings of the following money market funds than the quotations of total return. An investment in these money market funds is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the funds seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the funds.

* Ex-interest expenses reflect the accounting treatment of certain investments (e.g., reverse repurchase agreements) but do not reflect actual expenses paid to PIMCO. The net expense ratios for the CommoditiesPLUS Short Strategy Fund, CommoditiesPLUS Strategy Fund, and CommodityRealReturn Strategy Fund reflect a contractual expense reduction agreement so long as a contract with a PIMCO subsidiary is in place.

Returns measure performance from the inception of the actual share class to the present and assume that all dividend and capital gain distributions were reinvested on the payable date. The returns shown do not take into account sales charges or the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares.
 
A word about risk:
Mutual fund investing involves risk. Please see each fund profile page for more complete information, including fund-specific risks.
 
The SEC yield is an annualized yield based on the most recent 30 day period.
 
The distribution yield for monthly paying Funds is calculated by annualizing actual dividends distributed for the monthly period ended on the date shown and dividing by the net asset value on the last business day for the same period. The distribution yield for quarterly paying Funds is calculated by taking the average of the prior four quarterly distribution yields. The quarterly distribution yields are calculated by annualizing actual dividends distributed for the quarterly period ended on the most recent quarterly distribution date and dividing by the net asset value for the same date. The yield does not include long- or short-term capital gains distributions.
 
The Real Distribution Rate (RDR), calculated daily, gives new investors an indication of their payment level in addition to adjustments for inflation. The RDR is the current annualized fund distribution divided by the current Net Asset Value per share (NAV). Unlike the real interest rates seen in the TIPS markets, this rate also includes principal that is returned to investor over the life of the Funds. As a result, the RDR will increase as the maturity date approaches because a new investor would receive their principal back over a shorter time horizon. The Fund’s distributions are adjusted monthly for changes in Consumer Price Index for all Urban Consumers before seasonal adjustment (calculated by the Bureau of Labor Statistics). Also, the monthly distribution may be adjusted during the term of the Fund to better enable the Fund to provide regular monthly distributions until the final maturity date. The Fund’s distributions are not guaranteed.
 
The Lipper Category returns and rankings are calculated by Lipper Inc., a Reuters Company, which is a nationally recognized organization that compares the performance of mutual funds with similar investment objectives. The Category returns represent the average performance of included funds, while rankings compare an individual fund's returns to those of the other funds in its category. Both are based on total return performance, with capital gains and dividends reinvested, with annual operating expenses deducted, but without including front- or back-end sales charges. Rankings begin with the actual share class inception. Rankings are relative to a peer group and do not necessarily mean that the fund had high total returns.
 
This material has been distributed for informational purposes only and should not be considered as investment advice or a recommendation of any particular security, strategy or investment product. No part of this material may be reproduced in any form, or referred to in any other publication, without express written permission.
 
Past performance is not a guarantee or a reliable indicator of future results. For funds with at least a 3-yr history, Morningstar calculates a Morningstar Rating based on a risk-adjusted return measure that accounts for variation in a fund’s monthly performance (including the effects of sales charges, loads and redemption fees) with an emphasis on downward variations and consistent performance. The top 10% of funds in each category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars and the bottom 10% receive 1 star. The Overall Morningstar Rating is a weighted average of the performance figures for its 3-, 5- and 10-yr (if applicable) Morningstar Rating metrics. Morningstar, Inc.® 2011. All rights reserved. The information contained herein; (1) is proprietary to Morningstar and/or its affiliates; (2) may not be copied or distributed; (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. Hollow stars represent a class of shares with inception dates that is different than the inception date of the fund. For the period prior to the inception date of these shares, performance information is based on the performance of the fund’s Institutional Class shares, adjusted to reflect the actual distribution and/or service (12b-1) fees and other expenses paid by the newer share class.