Category
A category is a way to group investments based on similar risk, return, and behavior profiles.
The Morningstar Rating for Funds (commonly called the ‘star rating’) is a fund’s rating based on its risk-adjusted returns compared with its category peers. Here we highlight the funds with a 5-star overall rating.
1 to 25 of 29 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
|
|---|---|---|---|---|---|---|---|---|---|---|
| Nomura Growth and Income Fund Class R6 | FGIQX | Large Value | 24.34% | 2 | 0.690% | Above Average | Retirement, Large | $0 | ||
| Nomura Tax-Free Oregon Fund Institutional Class | FTOTX | Muni Single State Long | — | −3.50% | 22 | 0.630% | High | Institutional | $0 | |
| Nomura Real Estate Securities Fund Class A | IRSAX | Real Estate | 10.25% | 9 | 1.080% | Below Average | Front Load | $1,000 | ||
| Nomura Tax-Free Idaho Fund Institutional Class | DTIDX | Muni Single State Long | — | −3.39% | 15 | 0.610% | High | Institutional | — | |
| Nomura Tax-Free Colorado Fund Institutional Class | DCOIX | Muni Single State Long | — | −3.00% | 3 | 0.570% | Above Average | Institutional | — | |
| Nomura Emerging Markets Fund Class A | DEMAX | Diversified Emerging Mkts | 102.08% | 1 | 1.400% | Above Average | Front Load | $1,000 | ||
| Nomura Emerging Markets Fund Institutional Class | DEMIX | Diversified Emerging Mkts | 102.47% | 1 | 1.150% | High | Institutional | $0 | ||
| Nomura Floating Rate Fund Institutional Class | DDFLX | Bank Loan | — | 3.72% | 13 | 0.670% | Below Average | Institutional | $0 | |
| Nomura Floating Rate Fund Class R6 | DDFZX | Bank Loan | — | 3.79% | 12 | 0.600% | Low | Retirement, Large | $0 | |
| Nomura Asset Strategy Fund Class R | IASRX | Global Moderate Allocation | 4.71% | 93 | 1.370% | High | Retirement, Medium | $0 | ||
| Nomura Real Estate Securities Fund Class Y | IRSYX | Real Estate | 10.30% | 10 | 1.080% | High | Institutional | $0 | ||
| Nomura Growth and Income Fund Class A | FGINX | Large Value | 23.98% | 2 | 1.020% | Average | Front Load | $1,000 | ||
| Nomura Healthcare Fund Class A | DLHAX | Health | 3.95% | 73 | 1.210% | Average | Front Load | $1,000 | ||
| Nomura Tax-Free New York Fund Institutional Class | DTNIX | Muni New York Long | — | −3.28% | 20 | 0.550% | Average | Institutional | — | |
| Nomura Tax-Free Pennsylvania Fund Institutional Class | DTPIX | Muni Pennsylvania | — | −3.32% | 29 | 0.580% | Above Average | Institutional | — | |
| Nomura Asset Strategy Fund Class Y | WASYX | Global Moderate Allocation | 4.96% | 90 | 1.120% | High | Institutional | $0 | ||
| Nomura Real Estate Securities Fund Class I | IREIX | Real Estate | 10.40% | 7 | 0.830% | Average | Institutional | $0 | ||
| Nomura Tax-Free California Fund Institutional Class | DCTIX | Muni California Long | — | −4.21% | 73 | 0.550% | Average | Institutional | — | |
| Nomura Minnesota High-Yield Municipal Bond Fund Institutional Class | DMHIX | Muni Minnesota | — | −4.03% | 25 | 0.590% | Above Average | Institutional | — | |
| Nomura Healthcare Fund Class I | DLHIX | Health | 4.17% | 73 | 0.960% | Above Average | Institutional | $0 | ||
| Nomura Asset Strategy Fund Class R6 | IASTX | Global Moderate Allocation | 5.23% | 86 | 0.770% | Above Average | Retirement, Large | $0 | ||
| Nomura Emerging Markets Fund Class R6 | DEMZX | Diversified Emerging Mkts | 102.63% | 1 | 1.060% | High | Retirement, Large | $0 | ||
| Nomura Real Estate Securities Fund Class R6 | IRSEX | Real Estate | 10.56% | 6 | 0.680% | Low | Retirement, Large | $0 | ||
| Nomura Asset Strategy Fund Class A | WASAX | Global Moderate Allocation | 4.95% | 90 | 1.120% | Above Average | Front Load | $1,000 | ||
| Nomura Asset Strategy Fund Class I | IVAEX | Global Moderate Allocation | 5.13% | 87 | 0.870% | Above Average | Institutional | $0 |
This list shows only funds that are open to new purchases or limited and does not include funds that are closed to new investments.