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Friday, December 18, 2009, 5:07PM ET - U.S. Markets Closed. Dow Up 0.20% Nasdaq Up 1.45%
First American Core Bond Y (FFIIX)On Dec 17: 11.04  Up 0.05 (0.45%)  
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Profile  As of 30-Nov-09Get Profile for:
First American Core Bond Y
800 Nicollet Mall Bc-mn-h04n Minneapolis MN 55402
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Phone: 800-677-3863
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FUND OVERVIEW 
Category:Intermediate-Term Bond
Fund Family:First American
Net Assets:1.23B
Year-to-Date Return:23.82%
Yield:5.48%
Morningstar Rating:3 stars
Fund Inception Date:04-Feb-94
MORNINGSTAR STYLE BOX 
Intermediate-Term Bond
[View Category Definition]
View Top Intermediate-Term Bond Funds
About the Morningstar Style Box
MANAGEMENT INFORMATION 
Chris J. Neuharth
Lead Manager since 01-Oct-02
Chris is a senior fixed-income portfolio manager who oversees the long-term taxable group. He leads the Securitized Debt team and is a member of the Fixed Income Strategy Committee, which establishes investment policy for all long-term taxable fixed-income products. He has 25 years of financial industry experience, including 21 years in portfolio management. Chris, who rejoined the firm in 2000, previously worked at Brinson Partners as a director and senior portfolio manager.
INVESTMENT INFORMATION 
Min Initial Investment:$0
Min Initial Investment, IRA:NaN
Min Initial Investment, AIP:NaN
Min Subsequent Investment:NaN
Min Subsequent Investment, IRA:N/A
Min Subsequent Investment, AIP:N/A
FFIIX can be purchased from brokerages.
FUND SUMMARY 
The investment seeks high current income. The fund normally invests at least 80% of net assets in debt securities. It may invest up to 10% of total assets in the debt securities rated lower than investment grade; non-dollar denominated debt obligation of foreign corporations and governments and debt obligations issued by governmental and corporate issuers located in emerging-market countries. It may invest up to 25% of total assets in U.S. dollar denominated debt obligations of foreign corporations and governments that are not located in emerging-market countries.
FUND OPERATIONS 
Last Dividend (30-Nov-09): 0.05
Last Cap Gain (15-Dec-05): 0.07
Annual Holdings Turnover 160.00%
Average for Category: 226.70%
FEES & EXPENSES 
ExpenseFFIIXCategory
Avg
Total Expense Ratio:% 0.96%
Max 12b1 Fee:% N/A
Max Front End Sales Load:% 4.17%
Max Deferred Sales Load:% 2.65%
3 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$460
5 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$712
10 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$1,435
* Per $10,000 invested


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