RYSIX - RYDEX SRS TRUST ELECTRONICS FD I: Mutual Fund Quote
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RYSIX - RYDEX SRS TRUST ELECTRONICS FD I: Mutual Fund Quote

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 Fund Information
  Profile  |  Performance   |   Class Information   |   Holdings
Rydex Electronics Inv (RYSIX)

General Information
 As of 05/25/2012

NAV $46.7
NAV Daily Change $0.48
% Yield 0
% SEC Yield N/A
% YTD Return (as of 04/30/2012) 10.50
Objective* Equity - Sector Technology
Peer* TC MG
* Key

Portfolio Statistics

% Unrealized Gain YTD 52.81
Net Assets (Mil $) N/A 5.12
% Turnover N/A 1171.00

Fees

% Max Sales Load .00
% Min Sales Load .00
% Max Deferred Load .00

Expenses

% Max 12b-1 Fee .00
% Max Management Fee .85
% Redemption Fee .00
% Expense Ratio 1.37

Allocation

Large Growth 29.73
Large Value 39.05
Small Growth .00
Small Value .00
Foreign Stock .00
Emerging Market .00
Precious Metals .00
Intermediate Bond .00
Foreign Bond .00
High Yield Bond .00

Portfolio Information

Composition
As of N/A % of Net Assets
Stock 99.50
Cash .00
Bonds .00
Preferred .00
Convertibles .00
Foreign Stock 8.11
Foreign Bonds .00
Hedge .00
Other .50

Sector / Country Weightings

As of 12/31/2011 % of Portfolio
Technology 92.50
Industrial Cyclical 5.44
Consumer Durables 1.56
Other .50
N/A N/A
N/A N/A
N/A N/A
N/A N/A
N/A N/A

Portfolio Holdings

Top Equity Holdings
(As of 12/31/2011)
% of Portfolio Value (Mil$)
INTEL CORP 11.12 .38
TEXAS INSTRUMENTS INC 5.66 .20
BROADCOM CORP 3.98 .14
APPLIED MATERIALS INC 3.77 .13
ALTERA CORP 3.52 .12
ANALOG DEVICES INC 3.23 .11
NVIDIA CORP 2.93 .10
XILINX INC 2.86 .10
KLA TENCOR CORP 2.85 .10
N/A N/A N/A

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Fund Description

The fund was incepted in April 1998 and is managed by Rydex Global Advisors. The fund seeks capital appreciation by investing in companies that are involved in the electronics sector, including semiconductor manufacturers and distributors, and makers and vendors of other electronic components and devices (electronics companies). The fund invests substantially all of its assets in equity securities of electronics companies that are traded in the United States. The fund may also engage in futures and options transactions, purchase ADRs and U.S. government securities, and enter into repurchase agreements. Dividends and capital gains, if any, are distributed annually.

NEWS

No data available.

Stock Holding Statistics
 % of Net Assets

As Of N/A
Total Issues 45
Avg. P/E 46.48
Avg. P/Book 4.92
Avg. EPS Growth 9.29
Avg. Market Value (Mil $) 23,669

Risk

3 Year 5 Year 10 Year
Beta 1.48 1.30 1.61
Alpha -12.68 -3.32 -6.15
R Squared 0.75 0.73 0.62
Std. Dev. 26.82 29.18 32.53
Sharpe 0.58 -0.09 5.00


Shareholder Information

Manager Team Managed
Since N/A
Manager Rating * SEE EXPLANTION N/A
Inception Date 04/01/1998
Shareholders 1,915
Dividends Paid A
Minimum Initial Investment $2,500
Minimum Subsequent Investment $0
IRA Minimum $1000

IRA Available Y Check Writing N Phone Invest Y
Phone Exchange Y Phone Redeem Y Auto Invest Y
Wire Redeem Y Wire Fee Y Wire Transfer Y

Contact Information

Family Security Funds
Address 1 Security Benefit Place
Topeka, KS 66636
Phone 800 888-2461



 
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