Category
A category is a way to group investments based on similar risk, return, and behavior profiles.
1 to 12 of 12 Results
|
Name
|
Ticker
|
Morningstar Category
|
Morningstar Rating for Funds
Overall
|
Portfolio ESG Risk Rating
|
Total Return
YTD
|
Total Return Rank in Category (Day End)
YTD, Day End
|
Adjusted Expense Ratio
|
Fee Level
Distribution
|
Share Class Type
|
Minimum Initial Investment
|
|---|---|---|---|---|---|---|---|---|---|---|
| FPA Crescent Fund Investor Class | FPFRX | Global Moderate Allocation | 6.43% | 61 | 1.150% | High | No Load | $1,500 | ||
| FPA Crescent Fund | FPACX | Global Moderate Allocation | 6.50% | 60 | 1.050% | High | No Load | $1,500 | ||
| FPA Queens Road Small Cap Value Fund Investor Class | QRSVX | Small Value | 18.93% | 18 | 0.950% | Below Average | No Load | $1,500 | ||
| FPA Queens Road Small Cap Value Fund Institutional Class | QRSIX | Small Value | 19.07% | 18 | 0.810% | Below Average | Institutional | $100,000 | ||
| FPA Queens Road Small Cap Value Fund Advisor Class | QRSAX | Small Value | 18.98% | 18 | 0.880% | Below Average | No Load | $1,500 | ||
| FPA Crescent Fund Supra Institutional Class | FPCSX | Global Moderate Allocation | 6.56% | 60 | 0.990% | High | Institutional | $100M | ||
| FPA Flexible Fixed Income Fund | FPFIX | Nontraditional Bond | — | −1.27% | 80 | 0.550% | Low | Institutional | $100,000 | |
| FPA New Income - Institutional | FPNIX | Short-Term Bond | — | −0.73% | 90 | 0.450% | Below Average | No Load | $1,500 | |
| FPA Flexible Fixed Income Fund Advisor Class | FFIAX | Nontraditional Bond | — | −1.21% | 79 | 0.600% | Low | No Load | $1,500 | |
| FPA New Income - Investor | FPNRX | Short-Term Bond | — | −0.74% | 90 | 0.550% | Average | No Load | $1,500 | |
| FPA Flexible Fixed Income Fund Investor Class | FFIRX | Nontraditional Bond | — | −1.36% | 82 | 0.650% | Below Average | No Load | $1,500 | |
| FPA Queens Road Value Fund | QRVLX | Large Value | 9.22% | 72 | 0.740% | Above Average | Institutional | $100,000 |
This list shows only funds that are open to new purchases or limited and does not include funds that are closed to new investments.