Artio™ US Multicap Fund

  • Overview

  • Performance

  • Prospectus/Reports

  • Distributions/Tax Info

  • Strategy & Risks

Share Class Ticker Symbol CUSIP Category Investment Minimum† Benchmark
A JMLAX 04315J720 US Multicap Equity $1,000 Russell 3000 Index
I JMLIX 04315J712 US Multicap Equity $1 million Russell 3000 Index
† Represents the minimum initial investment for regular accounts. The Fund permits complex-wide aggregation of Class I shares so that a shareholder can meet the minimum initial investment in any one Fund if they have $1 million combined investment in the Fund complex. For additional information, please refer to the prospectus. Class A shareholders may make additional investments in the Fund at a minimum of $1,000, invest in an Individual Retirement Account (IRA) or in a tax-deferred retirement plan other than an IRA for a minimum of $100.

 

Fact Sheet: Performance (fund and benchmark), Portfolio Characteristics, Sector Allocation, Top Ten Equity Holdings

Commentary

 

Investment Manager

Sam Dedio

Samuel Dedio serves as Head of US Equities at Artio Global Management LLC ("Artio Global"). Prior to joining the firm in 2006, Sam spent six years at Deutsche Asset Management, most recently as Managing Director, Lead Portfolio Manager and Head of US Small and Midcap Investment Management. His previous positions also include Senior Industry Analyst at Ernst & Young, LLP and Equity Analyst with both Evergreen Asset Management and Standard & Poor's Corp. Samuel received a Masters of Science in Accounting from American University's Kogod School of Business and a BA in Business Administration from William Paterson University.

Investment Objective

The Artio US Multicap Fund ("US Multicap Fund" or "Fund") seeks to achieve long-term growth of capital.

Strategy Overview

The US Multicap Fund invests in US equity securities of all market capitalization sizes. The Fund is managed as a core domestic equity product and is not constrained by a particular style, investing in both "growth" and "value" securities. Investments are selected utilizing an active process that combines financial analysis with company meetings to evaluate management and their strategies. The Fund’s analyst team prides itself on conducting extensive, independent research in an effort to gain insight into potential investments. A thorough understanding of each company’s business model and operating environment is achieved through discussions with management, customers, suppliers, merchants and competitors.

Month-end Performance (%) as of 4/30/12

Share Class 1 Mo
3 Mo
YTD
1 Yr
3 Yr*
5 Yr*
10 Yr*
Since Inception*
Inception Date
A -2.51 7.40 15.56 2.10 21.27 2.35 - 5.68 07/24/06
I -2.57 7.42 15.63 2.43 21.69 2.69 - 6.02 07/24/06
* Annualized

 

Quarter-end Performance (%) as of 3/31/12

Share Class 1 Mo
3 Mo
YTD
1 Yr
3 Yr*
5 Yr*
10 Yr*
Since Inception*
Inception Date
A 2.99 18.53 18.53 8.06 27.93 3.68 - 6.24 07/24/06
I 3.06 18.68 18.68 8.56 28.40 4.03 - 6.60 07/24/06
* Annualized

 

Annual Performance (%)

Share Class 2011 2010 2009 2008 2007 2006 2005 2004 2003 Inception Date
A -2.35 17.96 47.01 -42.58 4.13 3.37¹ - - - 07/24/06
I -1.97 18.37 47.36 -42.37 4.49 3.54¹ - - - 07/24/06
1. Partial year—since share class inception

The performance quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance of the Fund may be higher or lower than the performance quoted.

Investment performance reflects fee waivers. In the absence of such waivers, total return would be reduced.

Morningstar Ratings as of 3/31/12

Share Class Overall 3 Yr 5 Yr 10 Yr
A StarStarStar StarStarStarStar StarStarStar N/A
I StarStarStar StarStarStarStar StarStarStar N/A

Morningstar rated this Fund among 1,459, 1,459 and 1,266 US Large Growth Funds for the overall, 3-, and 5-year periods, as of the above referenced date (based on risk adjusted total returns). The Overall Morningstar Rating™ for a fund is derived from a weighted average of the performance figures associated with its 3-, 5- and 10-year (if applicable) Morningstar Rating™ metrics.

Growth of a $10,000 Investment

(Class A Shares: 7/24/06–3/31/12)

Growth Chart

Fees (%) as stated in the prospectus dated 3/1/12

Share Class Sales Load Gross Expense Ratio Net Expense Ratio
A No-load 2.28 1.30¹
I No-load 2.04 1.00¹
While the Fund is no-load, management and distribution fees and other expenses still apply.
1. From January 1 to February 28, more current information may also be found in the Financial Highlights section of the Fund's Annual Report dated October 31. The Investment Adviser has contractually agreed to reimburse certain expenses of the Fund through 2/28/13. The Investment Adviser has also agreed to waive a portion of its management fees; this waiver may be discontinued at any time by the Fund's board. Additional expenses are net of reductions related to custody offset arrangements.

 

Prospectus (PDF)
(XBRL available on Literature Summary)

Fact Sheet: Performance (fund and benchmark), Portfolio Characteristics, Sector Allocation, Top Ten Equity Holdings

Commentary

Prospectus (PDF)
(XBRL available on Literature Summary)

Statement of Additional Information (SAI)

Annual Report (fiscal year end 10/31/11)

Semi-annual Report (fiscal period ending 4/30/11)

Form NQ (as of 1/31/12)

Holdings Report Holdings are subject to change and should not be considered a recommendation to buy or sell any security.

Form N-PX (Annual Report of Proxy Voting)

Proxy Procedures - US: Artio Global Management LLC, the Adviser for the Artio Global Funds, has outsourced its proxy voting to Institutional Shareholder Services (ISS). The Funds have thus adopted ISS's policies as their own.

Privacy Policy

Artio Global Funds' 2011 Final Distributions

ICI Primary for the Artio Global Funds Year-end Distributions

Supplemental Tax Information for the Artio Global Funds

 

Distributions-Class A

    Income   Capital Gains   Total
Year Record
Date
Ex-dividend
Date
Payable
Date
  Distribution
($)
  Short Term
($)
Long Term
($)
  Distribution
($)
2011 12/27/11 12/28/11 12/29/11   0.0   0.0 2.14460   2.14460
2010 12/28/10 12/29/10 12/30/10   0.00057   0.0 0.0   0.00057
2009 12/28/09 12/29/09 12/30/09   0.02783   0.0 0.0   0.02783
2008 N/A N/A N/A   0.0   0.0 0.0   0.0
2007 12/26/07 12/27/07 12/28/07   0.0   0.92497 0.21753   1.14250
2006 12/26/06 12/27/06 12/27/06   0.13538   0.04506 0.0   0.18044

 

Distributions-Class I

    Income   Capital Gains   Total
Year Record
Date
Ex-dividend
Date
Payable
Date
  Distribution
($)
  Short Term
($)
Long Term
($)
  Distribution
($)
2011 12/27/11 12/28/11 12/29/11   0.0   0.0 2.14460   2.14460
2010 12/28/10 12/29/10 12/30/10   0.02331   0.0 0.0   0.02331
2009 12/28/09 12/29/09 12/30/09   0.04927   0.0 0.0   0.04927
2008 12/26/08 12/29/08 12/30/08   0.00262   0.0 0.0   0.00262
2007 12/26/07 12/27/07 12/28/07   0.03007   0.92497 0.21753   1.17257
2006 12/26/06 12/27/06 12/27/06   0.16012   0.04506 0.0   0.20518

 

Principal Strategies

The US Multicap Fund invests in a broad range of stocks and other securities issued primarily within the United States. Stocks are selected using an active fundamental process which combines financial analysis with first-hand company meetings and on-site visits to evaluate management teams and their strategies. Artio Global Management LLC (the "Adviser" or "Artio Global") generally uses a "bottom-up" approach when recommending and selecting securities, focusing on individual stock selection rather than attempting to time the highs and lows of the market or concentrating investments in certain sectors or industries. The Fund is not constrained by a particular investment style and may invest in "growth" or "value" securities.

Normally, the Fund will invest at least 80% of its net assets (including equity related futures, options, swaps, equity related instruments and borrowings for investment purposes) in US equity securities. The Fund may also engage in active and frequent trading of portfolio securities to achieve its investment objective.

Risks

Please read the Fund's risks or consult the Fund's prospectus for more complete information on the special risks associated with investing in the US Multicap Fund, including, but not limited to: stock market risk, small and mid-sized companies risk, liquidity risk, redemption risk and active trading risk.