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HDCVX

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Dividend & Income Builder Fund

Seeking High Income and Capital Growth
NAV As of 12/07/18 $12.24

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Fund Facts

Details Yields Morningstar (As of 11/30/18)
08/01/12 Inception Date
$181.23M Total Net Assets (As of 10/31/18)
GROSS 1.91%
NET 1.90%
Annual Expense Ratio
(As of fiscal year end 06/30/18)
Morningstar Fee Level (As of 11/30/18)
Fee Level Group
World Allocation Level Load
(out of 79 funds)
Morningstar Fee Level Below Average
View Morningstar Fee Level
2.25% Distribution Yield at NAV
(As of 09/30/18)
30 Day SEC Yield (As of 10/31/18)
With Waivers 2.12%
Without Waivers 2.11%
Quarterly Distribution Frequency
Performance (As of 12/07/18)
-0.81% 1 Day Return %
-7.93% YTD Return @NAV
-8.83% YTD Return @CDSC
Category
World Allocation
LARGE VALUE
LARGE BLEND
LARGE GROWTH
MID VALUE
MID BLEND
MID GROWTH
SMALL VALUE
SMALL BLEND
SMALL GROWTH
Equity Style Box *
Important Morningstar Information

Overview

Client Commitment

A globally diversified portfolio of income-producing securities. The Fund combines dividend-paying equities of U.S. and non-U.S. companies with an allocation to fixed income securities, including but not exclusively, high-yield and investment-grade corporate bonds. The Fund employs a bottom-up stock selection process with asset allocation decisions driven by an assessment of the relative attractiveness of income opportunities and views on the market environment.

Why Invest in the Fund

    Seeks High & Rising Income

  1. We seek to provide a level of income which exceeds the average yield of global stocks and aims to provide a growing stream of income over time.
  2. Risk-Aware Asset Allocation

  3. The fixed income allocation is used opportunistically to potentially preserve capital when the portfolio management team thinks the macro environment dictates. This allows the team to seek to reduce volatility further where appropriate.
  4. Experienced Management Team

  5. Respected equity and fixed income teams with extensive investment management experience.

Featured Insights

Performance

RETURNS

(As of 09/30/2018)
(As of 11/30/2018)
Inception: Aug 01, 2012 3M YTD 1YR 3YR 5YR 10YR Since Inception
Class C Shares @NAV 2.10% -0.85% 1.57% 7.59% 5.13% - 7.23%
Class C Shares @CDSC 1.10% -1.83% 0.58% 7.59% 5.13% - 7.23%
MSCI World Index℠ 4.98% 5.43% 11.24% 13.54% 9.28% 8.56% 11.70%
75% MSCI World/25% BBgBarc Global Agg Credit (USD Hedged) Index 3.91% 3.90% 8.46% 11.00% 7.93% - 9.61%
Inception: Aug 01, 2012 3M YTD 1YR 3YR 5YR 10YR Since Inception
Class C Shares @NAV -4.03% -5.37% -4.63% 4.29% 3.20% - 6.24%
Class C Shares @CDSC -4.98% -6.30% -5.57% 4.29% 3.20% - 6.24%
MSCI World Index℠ -5.77% -1.20% 0.14% 8.50% 6.67% 10.89% 10.24%
75% MSCI World/25% BBgBarc Global Agg Credit (USD Hedged) Index -4.58% -1.21% -0.08% 7.14% 5.89% - 8.47%
Returns quoted are past performance and do not guarantee future results; current performance may be lower or higher. Investment returns and principal value will vary; there may be a gain or loss when shares are sold.
CDSC returns include a 1% contingent deferred sales charge (CDSC) on Shares redeemed within 12 months of purchase. Net Asset Value (NAV) returns exclude this charge, which would have reduced returns.
View Fees and Expenses
Performance for Class C Shares that includes periods prior to 6/5/17 reflects the performance of a share class of a predecessor fund, adjusted, where applicable and permitted, for differing fees and expenses. See the Fund’s prospectus for further details.

MORNINGSTAR PERCENTILE

(As of 09/30/2018)
(As of 11/30/2018)
1 YR 3 YR 5 YR 10 YR SINCE INCEPTION
Percentile Ranking (%) 78 44 40 - 23
World Allocation Category
Rank/Count
370/481 175/447 160/410 -/- 78/394
1 YR 3 YR 5 YR 10 YR SINCE INCEPTION
Percentile Ranking (%) 83 62 48 - 25
World Allocation Category
Rank/Count
399/470 261/438 197/401 -/- 94/384

CALENDAR YEAR PERFORMANCE

GROWTH OF A $10,000 HYPOTHETICAL INVESTMENT

Source: Morningstar, Inc.
This graph compares fund performance to that of the fund’s Morningstar category average and benchmark(s).

RETURNS-BASED STATISTICS

(As of 10/31/18 CLASS I SHARES)

RISK / REWARD
VS. MSCI WORLD INDEX℠

3 YEAR 5 YEAR
Information Ratio -0.86 -0.70
Alpha -1.37 -1.22
Tracking Error 4.00 3.64
Beta 0.75 0.81
R-Squared (%) 83.02 87.70

UP AND DOWN MARKET CAPTURE (%)
VS. MSCI WORLD INDEX℠

3 YEAR 5 YEAR
Up Capture Ratio 67.29 76.41
Down Capture Ratio 79.91 87.71

STANDARD DEVIATION

3 YEAR 5 YEAR
Dividend & Income Builder Fund 7.79 8.81
MSCI World Index℠ 9.49 10.17

SHARPE RATIO

3 YEAR 5 YEAR
Dividend & Income Builder Fund 0.46 0.42
MSCI World Index℠ 0.74 0.62

ANNUAL FEES & EXPENSES

(As of Fiscal Year End, 06/30/18)

CLASS C SHARES
Management Fees 0.75%
12b-1 Fees 1.00%
Other Expenses 0.16%
Total Gross Expenses 1.91%
Waivers -0.01%
Total Net Expenses 1.90%
Information Regarding Sales Charge Reductions and Waivers
Net expense ratios reflect the expense waiver, if any, contractually agreed to through 11/1/19.

Characteristics

Index represents the MSCI World Index℠.

TOP HOLDINGS

(As of 10/31/2018)

% of Fund
Microsoft Corp 3.55
Nestle SA 2.62
Pfizer Inc 2.57
BP PLC 1.79
RELX PLC 1.68
Royal Dutch Shell PLC 1.65
BHP Billiton PLC 1.63
TOTAL SA 1.63
Novartis AG 1.63
Chevron Corp 1.61
TOTAL 20.36

PORTFOLIO CHARACTERISTICS

(As of 10/31/18)

FUND INDEX
Number of Holdings - Equity Issues 77 1635
Number of Holdings - Debt Issues 44 0
Market Capitalization
Weighted Average
$133.64B
$158.14B
Portfolio Turnover Rate
(1-year trailing)
33.41%
-
Price/Earnings Ratio
(1-year forward)
14.20
17.59
Price/Book Ratio
(1-year forward)
3.43
3.79
Earnings Growth Rate
(1-year forward)
8.74%
16.41%
Weighted Average Maturity
(years)
9.96
7.76
Effective Duration
(years)
4.45
0.00

MARKET CAPITALIZATION RANGE OF EQUITY HOLDINGS

(As of 10/31/2018)

% OF FUND % OF INDEX
Over $100B 28.35 36.20
$50B to $100B 16.52 19.04
$10B to $50B 26.47 35.98
$5B to $10B 4.09 6.99
$1B to $5B 2.96 1.55

MATURITY BREAKDOWN OF FIXED INCOME HOLDINGS

(As of 10/31/18)

% OF FUND % OF INDEX
1 - 3 yrs 2.69 -
3 - 5 yrs 3.01 -
5 - 7 yrs 2.77 -
7 - 10 yrs 7.11 -
10 - 20 yrs 0.61 -
> 20 yrs 1.35 -
N/A 0.47 -

REGIONAL ALLOCATION

(As of 10/31/18)

% OF FUND % OF INDEX
Europe 51.80 21.73
North America 41.62 65.57
Japan 1.67 8.45
Asia/Pacific Ex Japan 1.31 4.03
Cash & Equivalents 3.60 -

Commentary & Literature