Delaware Diversified Income Instl Delaware Group Adviser Funds IncOne Commerce Square,2005 Market StreetPhiladelphia, PA 19103 Map Phone: 800-362-7500
| Category: | Intermediate-Term Bond | | Fund Family: | Delaware Investments | | Net Assets: | 9.25B | | Year-to-Date Return: | 0.15% | | Yield: | 3.81% | | Morningstar Rating: |  | | Fund Inception Date: | Oct 27, 2002 |
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Paul Grillo Lead Manager since Feb 27, 2001 | | | Paul Grillo, CFA
Senior Vice President, Co-Chief Investment Officer â Total Return Fixed Income Strategy
Paul Grillo is a member of the firmâs taxable fixed income portfolio management team with primary responsibility for portfolio construction and strategic asset allocation. He is also a member of the firmâs asset allocation committee, which is responsible for building and managing multi-asset class portfolios. He joined Delaware Investments in 1992 as a mortgage-backed and asset-backed securities analyst, assuming portfolio management responsibilities in the mid-1990s. Grillo serves as co-lead portfolio manager for the firmâs Diversified Income products and has been influential in the growth and distribution of the firmâs multisector strategies. Prior to joining Delaware Investments, Grillo served as a mortgage strategist and trader at Dreyfus Corporation. He also worked as a mortgage strategist and portfolio manager at Chemical Investment Group and as a financial analyst at Chemical Bank. Grillo holds a bachelorâs degree in business management from North Carolina State University and an MBA with a concentration in finance from Pace University. |
| Min Initial Investment: | 1,000,000 | | Min Initial Investment, IRA: | N/A | | Min Initial Investment, AIP: | N/A | | Min Subsequent Investment: | N/A | | Min Subsequent Investment, IRA: | N/A | | Min Subsequent Investment, AIP: | N/A |
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| The investment seeks maximum long-term total return, consistent with reasonable risk.
The fund invests in the following four sectors of the fixed-income securities markets: the U.S. investment grade sector, the U.S. high-yield sector, the international developed markets sector and the emerging markets sector. It normally invests at least 80% of net assets in fixed-income securities. The fund's investments in emerging markets will, in the aggregate, be limited to no more than 25% of the fund's total assets. |
| Last Dividend
(Apr 21, 2013)
:
| 0.00 | | Last Cap Gain
:
| 0.00 | | Annual Holdings Turnover
(May 15, 2013)
:
| 238.00% | | Average for Category: | 167.72% |
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| Expense | DPFFX | Category Avg |
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| Annual Report Expense Ratio (net): | 0.65% | 0.89% | | Prospectus Net Expense Ratio: | 0.65% | N/A | | Prospectus Gross Expense Ratio: | 0.65% | N/A | | Max 12b1 Fee: | N/A | N/A | | Max Front End Sales Load: | N/A | 4.08% | | Max Deferred Sales Load:
| N/A | 2.32% | | 3 Yr Expense Projection*: | 208 | 430 | | 5 Yr Expense Projection*: | 362 | 664 | | 10 Yr Expense Projection*: | 810 | 1,321 |
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