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ClassCUSIPTicker
A76628R532SXSAX
C76628R524STTFX
I76628R540STTAX

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and net asset value will fluctuate so that an investor's shares, when redeemed may be worth more or less than the original cost.

Investment performance may reflect voluntary fee waivers which may be discontinue at any time. Without these fee waivers performance would have been lower.

Equity securities (stocks) are more volatile and carry more risk than other forms of investments, including investments in high-grade fixed income securities. The net asset value per share of this Fund will fluctuate as the value of the securities in the portfolio changes. Common stocks, and funds investing in common stocks, generally provide greater return potential when compared with other types of investments.

Daily as of 11/18/08

Class CUSIP Ticker Inception NAV POP NAV Change
A 76628R532 SXSAX 10/14/2003 19.10 20.27 0.17
C 76628R524 STTFX 12/15/1998 17.60 17.60 0.15
I 76628R540 STTAX 12/31/1995 19.29 19.29 0.16

Monthly as of 10/31/08

Class CUSIP Ticker Inception MTD (%) QTD (%) YTD (%) 1 Year (%) 3 Years (%) 5 Years (%) 10 Years (%) Since Inception (%)
A 76628R532 SXSAX 10/14/2003 POP
NAV
-15.56
-20.43
-23.60
-28.00
-32.99
-36.85
-33.80
-37.61
-4.45
-6.32
-0.87
-2.03
-0.75
-1.33
3.72
3.24
C 76628R524 STTFX 12/15/1998 POP
NAV
-15.62
-16.46
-23.76
-24.52
-33.39
-34.06
-34.28
-34.94
-5.14
-5.14
-1.55
-1.55
-1.59
-1.59
3.03
3.03
I 76628R540 STTAX 12/31/1995 POP
NAV
-15.57
 
-23.57
 
-32.84
 
-33.64
 
-4.18
 
-0.55
 
-0.59
 
3.84
 

Quarterly as of 9/30/08

Class CUSIP Ticker Inception YTD (%) 1 Year (%) 3 Years (%) 5 Years (%) 10 Years (%) Since Inception (%) Gross Expense Ratio (%) Net Expense Ratio (%)
A 76628R532 SXSAX 10/14/2003 POP
NAV
-20.64
-25.21
-18.19
-22.90
0.41
-1.55
3.63
2.42
1.65
1.05
5.13
4.64
1.25 1.25
C 76628R524 STTFX 12/15/1998 POP
NAV
-21.06
-21.85
-18.80
-19.61
-0.31
-0.31
2.92
2.92
0.79
0.79
4.43
4.43
1.95 1.95
I 76628R540 STTAX 12/31/1995 POP
NAV
-20.46
 
-17.97
 
0.69
 
3.96
 
1.80
 
5.26
 
0.95 0.95

Class A Shares have a maximum sales charge imposed on purchases (as a percentage of offering price) of 5.75%. This sales charge varies depending upon how much you invest. You may buy A Shares in amounts of $1,000,000 or more at net asset value (without an initial sales charge), but if you redeem those shares within one year of your purchase, you will pay a deferred sales charge of 1.00%.
Class C purchased on or after August 1, 2005, have a 1% sales charge imposed if you sell within one year of your purchase. A 2% sales charge is imposed if you sell purchased before August 1, 2005 within one year of your purchase.
A 1% sales charge is imposed if you sell C Shares purchased on or after August 1, 2005 within one year of your purchase. A 2% sales charge is imposed if you sell C Shares purchased before August 1, 2005 within one year of your purchase.
I Shares have no sales charge.
All Share Classes have a redemption fee (as a percentage of net asset value) of 2.00%. This redemption fee will be imposed on shares redeemed within seven days of purchase unless the redemption is excluded under the Redemption Fee Policy.

POP (Public Offering Price) – The price at which a new securities offering is made available to the public.
NAV (Net Asset Value) – The dollar value of a single mutual fund share, based on the value of the underlying assets of the fund minus its liabilities, divided by the number of shares outstanding. Calculated at the end of each business day.

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