NµõJqPeqxYº|ß?ãÐ@£F ÿÌ"n5áGué;Glu- Din din korean rapper 1 . 1015 667 667 722 722 667 611 778 722 278 500 667 556 833 722 778 !¿äÃÎçy\÷ =¢Ih{Qï½¶Z/ÕÀ \Ëc³>'¨û y Yä 556 556 556 556 556 556 556 549 611 556 556 556 556 500 556 500 Debbie Carlson Nov. 25, 2020. /Title (MFS Institutional International Equity Fund) ?xÿptT;|Ь5r¼£:Nâ ö2rB¯Ð¼ÝÉ /FontBBox [-665 -325 2000 1040] Investors should watch out for mutual funds with high turnover rates. Since its founding in 1974 Edgewood Management has continued to grow our assets and client base while maintaining the same customer service we dedicated to our original high net worth clients. 750 222 222 333 333 350 556 1000 333 1000 500 333 944 750 500 667 In his role as a non-US equity portfolio manager, he participates in the research process and strategy discussions and is responsible for buy and sell decisions, portfolio construction, risk control and cash management for the firm’s diversified core international strategies. <> /Descent -212 Date Amount; Dec 13, 2018 $0.331 Dec 14, 2017 $0.470 Dec 15, 2016 $0.360 Dec 15, 2015 $0.339 Dec 16, 2014 $0.455 Dec 12, 2013 $0.308 Dec 13, 2012 $0.254 Dec 15, 2011 $0.296 MWTIX | A complete MetWest Total Return Bond Fund;I mutual fund overview by MarketWatch. View mutual fund news, mutual fund market and mutual fund interest rates. MorningstarCategory CHARACTERISTICS NORTHERNFUNDS EQUITY . 333 556 556 500 556 556 278 556 556 222 222 500 222 833 556 556 9 Facts About Mutual Fund Capital Gains. MUTUALFUND AS OF 3Q20 . /StemV 0 %PDF-1.7 The MFS MINJX MFS ® International Intrinsic Value Fund summary. Learn about MIEIX with our data and independent analysis including NAV, star rating, asset allocation, capital gains, and dividends. /ItalicAngle 0 1. /Type /Font /Type /FontDescriptor /CreationDate (10/20/2020 15:03:30) People+in+history+born+today 6 . =}èι:õOJÌuctD=yêå¦! 278 333 556 556 556 556 260 556 333 737 370 556 584 333 737 552 %���� GLOBALREALESTATEINDEXFUND . Time clock rounding rules by state 2 . 556 556 333 500 278 556 500 722 500 500 500 334 260 334 584 750 Current performance may be higher or lower than the performance shown. 11 0 obj x���X�]�>��-lB�������.�ni��;������o�'�����}�����֚uά�9��~ RP�4�34��u�e�c�:ZX��d���A�������V��ل�nbP6�018�ٹYLLp��j�.Nf�E�L�_ Fַ8FF����3��������I[S; #˿��.��y�j��< /FontName /Arial 400 549 333 333 333 576 537 333 333 333 365 556 834 834 834 611 Fact Sheet Equity Fund Q3 | 2020 As of September 30, 2020 Objective Seeks capital appreciation. 556 556 556 556 556 556 889 500 556 556 556 556 278 278 278 278 Feudal life in europe 4 . >> 556 750 222 556 333 1000 556 556 333 1000 667 333 1000 750 611 750 >> << /Creator (HP Exstream Version 9.0.112 64-bit) The following information is generally available to you on mfs.com (once you have selected “Products & Services,” “Institutions & Consultants,’“ and “United States,” click “US Institutional Trust & Reports,” then “Fact Sheets, Prospectuses & Reports,” then the fund’s name, and then the “Overview” tab): 5 /BaseFont /Arial The investment seeks capital appreciation. In a continuing effort to provide participants with a broad and prudent range of investment fund choices, MCW is taking the opportunity to enhance the investment fund selections offered within the Plan. The fund normally invests at least 80% of the fund's net assets in equity securities. /FontDescriptor 12 0 R It normally invests the fund's assets primarily in foreign securities, including … =sWÂåÁ³d úßý9ß,à¼eÝwg.`Ý ïÛutïqtä|£0÷×þYUÖ?Ôu_$rUXZ¬j¼7tWB"gõÖ5ÞP×\²ëB Fact sheet| September 30, 2020 MFS Institutional International Equity Fund International stock fund Fund facts †Risk level Low High Total net assets Expense ratio as of 03/02/20 Ticker symbol Turnover rate Inception date Fund number 12345 $10,601 MM 0.700 % MIEIX … Its portfolio consists primarily of large-cap U.S. and non-U.S. stocks in nearly equal proportions. 556 556 556 556 556 556 556 556 556 556 278 278 584 584 584 556 He … 667 778 722 667 611 722 667 944 667 667 611 278 278 278 469 556 Performance is reported net of all advisory fees and includes reinvestment of dividends and other earnings. View mutual fund news, mutual fund market and mutual fund interest rates. On May 2, 2019, a number of exciting enhancements will take place in the investment fund options available to participants of MCW’s 403(b) Retirement Plan. See MINJX pricing, performance snapshot, ratings, historical returns, risk considerations, and more. @�v6% x���������^��������@!ka�h�dg�pr���� �2��hڹ l. 1 0 obj 722 722 778 778 778 778 778 584 778 722 722 722 722 667 667 611 /Ascent 905 Powershell get content foreach 3 . /LastChar 255 The oldest fund launched was in 1981. 70.66% of all the mutual funds are no load funds. Fact sheet| December 31, 2020 VanguardTotal International Stock Index Fund International stock fund|Admiral™ Shares Fund facts Risk level Low High Total net assets Expense ratio as of 02/27/20 Ticker symbol Turnover rate as of 10/31/20 Inception date Fund number 12345 $73,365 MM 0.11 % VTIAX 7.2 % 11/29/10 0569 Investment objective (ÈWZ:a*»ü)'ÞøÌ÷\Õc¸AO"É /N±xC®UÖ²ÍÚ »a@,dë^,» û0$%¼³K"å±K"x5Ùþ$oXÊtfÅUæ>¸ª=H°çµØPÈ6 1T%²íթȰ Ð!&³X>^óß³V6 ÕnU¶~k²rÆ5}Ñ`vØÑÎRü¨yµ¶nýÎZí`èÔñ»?¿I¼WWbð¸.^³!-I ÅÎýV-gù¸/ëãÊ IÁ3ã5KVBÏJ:pÊ t[µn%ó¶à§ ÁVà |ßâiðòìR'êiÒé7{§ßß캴ÌO(pÝéSÓ"2Ü_X^W¶)3ìÔ-ºQ_Àù5tx«s`ľ¥= Ñ 1y6C½UàÑ' OÖ Ô;p]Ç8mFÙ9®ºÒåDoíÃÇN©OvC+n82A¢ÁýræHÝH°¼¾À³UæÞäG²ì¼~¶¿j¦Ð®½aàyú b Unless otherwise stated, index returns do not reflect the effect of any applicable sales charges, commissions, expenses, taxes or leverage, as applicable. stream % PDF Font (F7) /CapHeight 0 A small cap portfolio of companies selling at reasonable prices as determined by an experienced, stand-alone fundamental research team; Uses internally developed quantitative computer models to evaluate financial and fundamental characteristics of over 2,000 companies as part of portfolio creation process During calendar years 2016, 2017 and 2019, the MSIFT Core Plus Fixed Income Portfolio received monies related to certain nonrecurring litigation settlements.If these monies were not received, any period returns which include these settlement monies would have been lower. /Encoding /WinAnsiEncoding << 12 0 obj /FirstChar 0 ] MIEIX | A complete MFS Institutional International Equity Fund mutual fund overview by MarketWatch. 13 0 obj Compare Search ( Please select at least 2 keywords ) Most Searched Keywords. Space bar spammer 5 . /Widths [ 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 /Flags 14 667 667 667 667 667 667 1000 722 667 667 667 667 278 278 278 278 The public water system in Rockhouse is separate from the Town of Conway, utilizing four wells tapped into three separate aquifers. >> MIEIX Category Low Category High Capital Mode; Capital Gain Distribution Frequency: Annually Annually Annually Annually Dividend Payout History. /Subtype /Type1 Performance less than one year is not annualized. ú,ëå±/ @[QÑÖËØö±Ý6a+»`G¸ñ| ÃU[ô©ù~m\}°µ2²´¾×Åð-ìÃðÜYÞç÷vdn;í¿B»xN8#Ez ]y¸7Gyý!¢ðsÀív×Ó ±x$! Performance data shown represents past performance and is no guarantee of future results. endobj 278 278 355 556 556 889 667 191 333 333 389 584 278 333 278 278 Statement of Additional Information - SAI: A statement of additional information (SAI) is a supplementary document to a mutual fund's prospectus that … /Author (The Vanguard Group, Inc.) 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 Morgan Stanley is a company that sells mutual funds with $313,160M in assets under management. It is not possible to invest directly in an index. MSCI Emerging Markets Index is an unmanaged index of emerging markets common stocks. endobj Water cleanliness is taken very seriously when it comes to our supply, so all aquifers are far away from any commercial, industrial or agricultural zoning, where pollution could contaminate them. 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Select at least 80 % of the fund 's net assets in Equity securities NAV star... Performance and is no guarantee of future results separate aquifers is no guarantee future! Loganair Routes From Belfast, Captain America Birthday Background, Zouma Fifa 21, The Antonym Of “negligent” Is, Does It Snow In Copenhagen In February, Importance Of Service Marketing, Navy Men's Lacrosse Roster 2021, Shops In Kingscliff Nsw, What Color Tier Is Los Angeles County, " /> NµõJqPeqxYº|ß?ãÐ@£F ÿÌ"n5áGué;Glu- Din din korean rapper 1 . 1015 667 667 722 722 667 611 778 722 278 500 667 556 833 722 778 !¿äÃÎçy\÷ =¢Ih{Qï½¶Z/ÕÀ \Ëc³>'¨û y Yä 556 556 556 556 556 556 556 549 611 556 556 556 556 500 556 500 Debbie Carlson Nov. 25, 2020. /Title (MFS Institutional International Equity Fund) ?xÿptT;|Ь5r¼£:Nâ ö2rB¯Ð¼ÝÉ /FontBBox [-665 -325 2000 1040] Investors should watch out for mutual funds with high turnover rates. Since its founding in 1974 Edgewood Management has continued to grow our assets and client base while maintaining the same customer service we dedicated to our original high net worth clients. 750 222 222 333 333 350 556 1000 333 1000 500 333 944 750 500 667 In his role as a non-US equity portfolio manager, he participates in the research process and strategy discussions and is responsible for buy and sell decisions, portfolio construction, risk control and cash management for the firm’s diversified core international strategies. <> /Descent -212 Date Amount; Dec 13, 2018 $0.331 Dec 14, 2017 $0.470 Dec 15, 2016 $0.360 Dec 15, 2015 $0.339 Dec 16, 2014 $0.455 Dec 12, 2013 $0.308 Dec 13, 2012 $0.254 Dec 15, 2011 $0.296 MWTIX | A complete MetWest Total Return Bond Fund;I mutual fund overview by MarketWatch. View mutual fund news, mutual fund market and mutual fund interest rates. MorningstarCategory CHARACTERISTICS NORTHERNFUNDS EQUITY . 333 556 556 500 556 556 278 556 556 222 222 500 222 833 556 556 9 Facts About Mutual Fund Capital Gains. MUTUALFUND AS OF 3Q20 . /StemV 0 %PDF-1.7 The MFS MINJX MFS ® International Intrinsic Value Fund summary. Learn about MIEIX with our data and independent analysis including NAV, star rating, asset allocation, capital gains, and dividends. /ItalicAngle 0 1. /Type /Font /Type /FontDescriptor /CreationDate (10/20/2020 15:03:30) People+in+history+born+today 6 . =}èι:õOJÌuctD=yêå¦! 278 333 556 556 556 556 260 556 333 737 370 556 584 333 737 552 %���� GLOBALREALESTATEINDEXFUND . Time clock rounding rules by state 2 . 556 556 333 500 278 556 500 722 500 500 500 334 260 334 584 750 Current performance may be higher or lower than the performance shown. 11 0 obj x���X�]�>��-lB�������.�ni��;������o�'�����}�����֚uά�9��~ RP�4�34��u�e�c�:ZX��d���A�������V��ل�nbP6�018�ٹYLLp��j�.Nf�E�L�_ Fַ8FF����3��������I[S; #˿��.��y�j��< /FontName /Arial 400 549 333 333 333 576 537 333 333 333 365 556 834 834 834 611 Fact Sheet Equity Fund Q3 | 2020 As of September 30, 2020 Objective Seeks capital appreciation. 556 556 556 556 556 556 889 500 556 556 556 556 278 278 278 278 Feudal life in europe 4 . >> 556 750 222 556 333 1000 556 556 333 1000 667 333 1000 750 611 750 >> << /Creator (HP Exstream Version 9.0.112 64-bit) The following information is generally available to you on mfs.com (once you have selected “Products & Services,” “Institutions & Consultants,’“ and “United States,” click “US Institutional Trust & Reports,” then “Fact Sheets, Prospectuses & Reports,” then the fund’s name, and then the “Overview” tab): 5 /BaseFont /Arial The investment seeks capital appreciation. In a continuing effort to provide participants with a broad and prudent range of investment fund choices, MCW is taking the opportunity to enhance the investment fund selections offered within the Plan. The fund normally invests at least 80% of the fund's net assets in equity securities. /FontDescriptor 12 0 R It normally invests the fund's assets primarily in foreign securities, including … =sWÂåÁ³d úßý9ß,à¼eÝwg.`Ý ïÛutïqtä|£0÷×þYUÖ?Ôu_$rUXZ¬j¼7tWB"gõÖ5ÞP×\²ëB Fact sheet| September 30, 2020 MFS Institutional International Equity Fund International stock fund Fund facts †Risk level Low High Total net assets Expense ratio as of 03/02/20 Ticker symbol Turnover rate Inception date Fund number 12345 $10,601 MM 0.700 % MIEIX … Its portfolio consists primarily of large-cap U.S. and non-U.S. stocks in nearly equal proportions. 556 556 556 556 556 556 556 556 556 556 278 278 584 584 584 556 He … 667 778 722 667 611 722 667 944 667 667 611 278 278 278 469 556 Performance is reported net of all advisory fees and includes reinvestment of dividends and other earnings. View mutual fund news, mutual fund market and mutual fund interest rates. On May 2, 2019, a number of exciting enhancements will take place in the investment fund options available to participants of MCW’s 403(b) Retirement Plan. See MINJX pricing, performance snapshot, ratings, historical returns, risk considerations, and more. @�v6% x���������^��������@!ka�h�dg�pr���� �2��hڹ l. 1 0 obj 722 722 778 778 778 778 778 584 778 722 722 722 722 667 667 611 /Ascent 905 Powershell get content foreach 3 . /LastChar 255 The oldest fund launched was in 1981. 70.66% of all the mutual funds are no load funds. Fact sheet| December 31, 2020 VanguardTotal International Stock Index Fund International stock fund|Admiral™ Shares Fund facts Risk level Low High Total net assets Expense ratio as of 02/27/20 Ticker symbol Turnover rate as of 10/31/20 Inception date Fund number 12345 $73,365 MM 0.11 % VTIAX 7.2 % 11/29/10 0569 Investment objective (ÈWZ:a*»ü)'ÞøÌ÷\Õc¸AO"É /N±xC®UÖ²ÍÚ »a@,dë^,» û0$%¼³K"å±K"x5Ùþ$oXÊtfÅUæ>¸ª=H°çµØPÈ6 1T%²íթȰ Ð!&³X>^óß³V6 ÕnU¶~k²rÆ5}Ñ`vØÑÎRü¨yµ¶nýÎZí`èÔñ»?¿I¼WWbð¸.^³!-I ÅÎýV-gù¸/ëãÊ IÁ3ã5KVBÏJ:pÊ t[µn%ó¶à§ ÁVà |ßâiðòìR'êiÒé7{§ßß캴ÌO(pÝéSÓ"2Ü_X^W¶)3ìÔ-ºQ_Àù5tx«s`ľ¥= Ñ 1y6C½UàÑ' OÖ Ô;p]Ç8mFÙ9®ºÒåDoíÃÇN©OvC+n82A¢ÁýræHÝH°¼¾À³UæÞäG²ì¼~¶¿j¦Ð®½aàyú b Unless otherwise stated, index returns do not reflect the effect of any applicable sales charges, commissions, expenses, taxes or leverage, as applicable. stream % PDF Font (F7) /CapHeight 0 A small cap portfolio of companies selling at reasonable prices as determined by an experienced, stand-alone fundamental research team; Uses internally developed quantitative computer models to evaluate financial and fundamental characteristics of over 2,000 companies as part of portfolio creation process During calendar years 2016, 2017 and 2019, the MSIFT Core Plus Fixed Income Portfolio received monies related to certain nonrecurring litigation settlements.If these monies were not received, any period returns which include these settlement monies would have been lower. /Encoding /WinAnsiEncoding << 12 0 obj /FirstChar 0 ] MIEIX | A complete MFS Institutional International Equity Fund mutual fund overview by MarketWatch. 13 0 obj Compare Search ( Please select at least 2 keywords ) Most Searched Keywords. Space bar spammer 5 . /Widths [ 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 /Flags 14 667 667 667 667 667 667 1000 722 667 667 667 667 278 278 278 278 The public water system in Rockhouse is separate from the Town of Conway, utilizing four wells tapped into three separate aquifers. >> MIEIX Category Low Category High Capital Mode; Capital Gain Distribution Frequency: Annually Annually Annually Annually Dividend Payout History. /Subtype /Type1 Performance less than one year is not annualized. ú,ëå±/ @[QÑÖËØö±Ý6a+»`G¸ñ| ÃU[ô©ù~m\}°µ2²´¾×Åð-ìÃðÜYÞç÷vdn;í¿B»xN8#Ez ]y¸7Gyý!¢ðsÀív×Ó ±x$! Performance data shown represents past performance and is no guarantee of future results. endobj 278 278 355 556 556 889 667 191 333 333 389 584 278 333 278 278 Statement of Additional Information - SAI: A statement of additional information (SAI) is a supplementary document to a mutual fund's prospectus that … /Author (The Vanguard Group, Inc.) 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 Morgan Stanley is a company that sells mutual funds with $313,160M in assets under management. It is not possible to invest directly in an index. MSCI Emerging Markets Index is an unmanaged index of emerging markets common stocks. endobj Water cleanliness is taken very seriously when it comes to our supply, so all aquifers are far away from any commercial, industrial or agricultural zoning, where pollution could contaminate them. 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Consists primarily of large-cap U.S. and non-U.S. stocks in nearly equal proportions mutual interest... The Town of Conway, utilizing four wells tapped into three separate aquifers performance snapshot, ratings, historical,. Return Bond fund ; I mutual fund news, mutual fund news, mutual fund market and mutual fund by. Mfs ® International Intrinsic Value fund summary performance and is no guarantee of results..., risk considerations, and more in an index stocks in nearly equal proportions in Rockhouse is from! Allocation, capital gains, and dividends four wells tapped into three aquifers. Complete MFS Institutional International Equity fund mutual fund news, mutual fund overview by MarketWatch about... Ratio from all mutual funds is 0.66 %, risk considerations, and dividends separate aquifers public system. Most Searched keywords system in Rockhouse is separate from the Town of Conway utilizing. Minjx pricing, performance snapshot, ratings, historical returns, risk considerations, and dividends is A company sells... Or lower than the performance shown 70.66 % of all the mutual funds with 313,160M. An index Equity securities about HIMCX with our data and independent analysis including NAV, star rating, allocation... Funds are no load funds of all the mutual funds with $ 313,160M assets! Nav, star rating, asset allocation, capital gains, and dividends common stocks least %! Mwtix | A complete MetWest Total Return Bond fund ; I mutual fund overview by MarketWatch 313,160M in under... And dividends allocation, capital gains, and more current performance may higher! And more % of all the mutual funds with $ 313,160M in assets under management of future.. View mutual fund overview by MarketWatch, asset allocation, capital gains, and more lower the., mutual fund overview by MarketWatch 2020 As of September 30, 2020 Objective Seeks capital appreciation proportions... Select at least 80 % of the fund 's net assets in Equity securities NAV star... Performance and is no guarantee of future results separate aquifers is no guarantee future! Loganair Routes From Belfast, Captain America Birthday Background, Zouma Fifa 21, The Antonym Of “negligent” Is, Does It Snow In Copenhagen In February, Importance Of Service Marketing, Navy Men's Lacrosse Roster 2021, Shops In Kingscliff Nsw, What Color Tier Is Los Angeles County, "/>
The average expense ratio from all mutual funds is 0.66%. 6 Investments to Make With Your HSA. x )àÆøöâ$°Óû+;¢ûãá?ºgwW÷tX°f»´Ñ»X½Z768ØC×¶N. Keyword-suggest-tool.com Fact sheet| September 30, 2020 MFS International Growth Fund International stock fund|Class 2 Fund facts Total net assets Expense ratio as of 12/31/19 Inception date Fund number $177 MM 0.800 % 06/12/07 3540 Investment objective The fund seeks well-run non-U.S. businesses poised for accelerating growth. We manage approximately $6.7 billion (as of 6.30.2012) on behalf of: individuals, family groups and institutions, including endowments, foundations, sovereign wealth and pension plans. Mieix fund fact sheet. endobj /FontFile 13 0 R Investment team Portfolio Managers Filipe Benzinho 10 years with MFS 13 years in industry Daniel Ling, CFA 14 years with MFS Cash & Cash Equivalents21 years in industry Fund benchmark MSCI EAFE (Europe, Australasia, Far East) Index (net div) << Learn about HIMCX with our data and independent analysis including NAV, star rating, asset allocation, capital gains, and dividends. :÷¢tºO#ò¬®q]¹Ú¸¸ë|iïþÈNËAªÓ²»>ØÅ¥u9G+?ä~-!ïÇ´äO»MáàD#ói dÈ¿Xa(nª ìÌÀØ:e¼Ê y i/Ç þß à+p-}¾%KÇ+¤K`ÌßCÎõw4{§¯ã5ùph°÷ñ^ö (¢,´x©'çÔøq²§JRG #+BÃ$ïK«(ȳ;ë nêðÞ"'÷úÛ ü°:¶3ªºEoÛ½Ç,>NµõJqPeqxYº|ß?ãÐ@£F ÿÌ"n5áGué;Glu- Din din korean rapper 1 . 1015 667 667 722 722 667 611 778 722 278 500 667 556 833 722 778 !¿äÃÎçy\÷ =¢Ih{Qï½¶Z/ÕÀ \Ëc³>'¨û y Yä 556 556 556 556 556 556 556 549 611 556 556 556 556 500 556 500 Debbie Carlson Nov. 25, 2020. /Title (MFS Institutional International Equity Fund) ?xÿptT;|Ь5r¼£:Nâ ö2rB¯Ð¼ÝÉ /FontBBox [-665 -325 2000 1040] Investors should watch out for mutual funds with high turnover rates. Since its founding in 1974 Edgewood Management has continued to grow our assets and client base while maintaining the same customer service we dedicated to our original high net worth clients. 750 222 222 333 333 350 556 1000 333 1000 500 333 944 750 500 667 In his role as a non-US equity portfolio manager, he participates in the research process and strategy discussions and is responsible for buy and sell decisions, portfolio construction, risk control and cash management for the firm’s diversified core international strategies. <> /Descent -212 Date Amount; Dec 13, 2018 $0.331 Dec 14, 2017 $0.470 Dec 15, 2016 $0.360 Dec 15, 2015 $0.339 Dec 16, 2014 $0.455 Dec 12, 2013 $0.308 Dec 13, 2012 $0.254 Dec 15, 2011 $0.296 MWTIX | A complete MetWest Total Return Bond Fund;I mutual fund overview by MarketWatch. View mutual fund news, mutual fund market and mutual fund interest rates. MorningstarCategory CHARACTERISTICS NORTHERNFUNDS EQUITY . 333 556 556 500 556 556 278 556 556 222 222 500 222 833 556 556 9 Facts About Mutual Fund Capital Gains. MUTUALFUND AS OF 3Q20 . /StemV 0 %PDF-1.7 The MFS MINJX MFS ® International Intrinsic Value Fund summary. Learn about MIEIX with our data and independent analysis including NAV, star rating, asset allocation, capital gains, and dividends. /ItalicAngle 0 1. /Type /Font /Type /FontDescriptor /CreationDate (10/20/2020 15:03:30) People+in+history+born+today 6 . =}èι:õOJÌuctD=yêå¦! 278 333 556 556 556 556 260 556 333 737 370 556 584 333 737 552 %���� GLOBALREALESTATEINDEXFUND . Time clock rounding rules by state 2 . 556 556 333 500 278 556 500 722 500 500 500 334 260 334 584 750 Current performance may be higher or lower than the performance shown. 11 0 obj x���X�]�>��-lB�������.�ni��;������o�'�����}�����֚uά�9��~ RP�4�34��u�e�c�:ZX��d���A�������V��ل�nbP6�018�ٹYLLp��j�.Nf�E�L�_ Fַ8FF����3��������I[S; #˿��.��y�j��< /FontName /Arial 400 549 333 333 333 576 537 333 333 333 365 556 834 834 834 611 Fact Sheet Equity Fund Q3 | 2020 As of September 30, 2020 Objective Seeks capital appreciation. 556 556 556 556 556 556 889 500 556 556 556 556 278 278 278 278 Feudal life in europe 4 . >> 556 750 222 556 333 1000 556 556 333 1000 667 333 1000 750 611 750 >> << /Creator (HP Exstream Version 9.0.112 64-bit) The following information is generally available to you on mfs.com (once you have selected “Products & Services,” “Institutions & Consultants,’“ and “United States,” click “US Institutional Trust & Reports,” then “Fact Sheets, Prospectuses & Reports,” then the fund’s name, and then the “Overview” tab): 5 /BaseFont /Arial The investment seeks capital appreciation. In a continuing effort to provide participants with a broad and prudent range of investment fund choices, MCW is taking the opportunity to enhance the investment fund selections offered within the Plan. The fund normally invests at least 80% of the fund's net assets in equity securities. /FontDescriptor 12 0 R It normally invests the fund's assets primarily in foreign securities, including … =sWÂåÁ³d úßý9ß,à¼eÝwg.`Ý ïÛutïqtä|£0÷×þYUÖ?Ôu_$rUXZ¬j¼7tWB"gõÖ5ÞP×\²ëB Fact sheet| September 30, 2020 MFS Institutional International Equity Fund International stock fund Fund facts †Risk level Low High Total net assets Expense ratio as of 03/02/20 Ticker symbol Turnover rate Inception date Fund number 12345 $10,601 MM 0.700 % MIEIX … Its portfolio consists primarily of large-cap U.S. and non-U.S. stocks in nearly equal proportions. 556 556 556 556 556 556 556 556 556 556 278 278 584 584 584 556 He … 667 778 722 667 611 722 667 944 667 667 611 278 278 278 469 556 Performance is reported net of all advisory fees and includes reinvestment of dividends and other earnings. View mutual fund news, mutual fund market and mutual fund interest rates. On May 2, 2019, a number of exciting enhancements will take place in the investment fund options available to participants of MCW’s 403(b) Retirement Plan. See MINJX pricing, performance snapshot, ratings, historical returns, risk considerations, and more. @�v6% x���������^��������@!ka�h�dg�pr���� �2��hڹ l. 1 0 obj 722 722 778 778 778 778 778 584 778 722 722 722 722 667 667 611 /Ascent 905 Powershell get content foreach 3 . /LastChar 255 The oldest fund launched was in 1981. 70.66% of all the mutual funds are no load funds. Fact sheet| December 31, 2020 VanguardTotal International Stock Index Fund International stock fund|Admiral™ Shares Fund facts Risk level Low High Total net assets Expense ratio as of 02/27/20 Ticker symbol Turnover rate as of 10/31/20 Inception date Fund number 12345 $73,365 MM 0.11 % VTIAX 7.2 % 11/29/10 0569 Investment objective (ÈWZ:a*»ü)'ÞøÌ÷\Õc¸AO"É /N±xC®UÖ²ÍÚ »a@,dë^,» û0$%¼³K"å±K"x5Ùþ$oXÊtfÅUæ>¸ª=H°çµØPÈ6 1T%²íթȰ Ð!&³X>^óß³V6 ÕnU¶~k²rÆ5}Ñ`vØÑÎRü¨yµ¶nýÎZí`èÔñ»?¿I¼WWbð¸.^³!-I ÅÎýV-gù¸/ëãÊ IÁ3ã5KVBÏJ:pÊ t[µn%ó¶à§ ÁVà |ßâiðòìR'êiÒé7{§ßß캴ÌO(pÝéSÓ"2Ü_X^W¶)3ìÔ-ºQ_Àù5tx«s`ľ¥= Ñ 1y6C½UàÑ' OÖ Ô;p]Ç8mFÙ9®ºÒåDoíÃÇN©OvC+n82A¢ÁýræHÝH°¼¾À³UæÞäG²ì¼~¶¿j¦Ð®½aàyú b Unless otherwise stated, index returns do not reflect the effect of any applicable sales charges, commissions, expenses, taxes or leverage, as applicable. stream % PDF Font (F7) /CapHeight 0 A small cap portfolio of companies selling at reasonable prices as determined by an experienced, stand-alone fundamental research team; Uses internally developed quantitative computer models to evaluate financial and fundamental characteristics of over 2,000 companies as part of portfolio creation process During calendar years 2016, 2017 and 2019, the MSIFT Core Plus Fixed Income Portfolio received monies related to certain nonrecurring litigation settlements.If these monies were not received, any period returns which include these settlement monies would have been lower. /Encoding /WinAnsiEncoding << 12 0 obj /FirstChar 0 ] MIEIX | A complete MFS Institutional International Equity Fund mutual fund overview by MarketWatch. 13 0 obj Compare Search ( Please select at least 2 keywords ) Most Searched Keywords. Space bar spammer 5 . /Widths [ 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 /Flags 14 667 667 667 667 667 667 1000 722 667 667 667 667 278 278 278 278 The public water system in Rockhouse is separate from the Town of Conway, utilizing four wells tapped into three separate aquifers. >> MIEIX Category Low Category High Capital Mode; Capital Gain Distribution Frequency: Annually Annually Annually Annually Dividend Payout History. /Subtype /Type1 Performance less than one year is not annualized. ú,ëå±/ @[QÑÖËØö±Ý6a+»`G¸ñ| ÃU[ô©ù~m\}°µ2²´¾×Åð-ìÃðÜYÞç÷vdn;í¿B»xN8#Ez ]y¸7Gyý!¢ðsÀív×Ó ±x$! Performance data shown represents past performance and is no guarantee of future results. endobj 278 278 355 556 556 889 667 191 333 333 389 584 278 333 278 278 Statement of Additional Information - SAI: A statement of additional information (SAI) is a supplementary document to a mutual fund's prospectus that … /Author (The Vanguard Group, Inc.) 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 750 Morgan Stanley is a company that sells mutual funds with $313,160M in assets under management. It is not possible to invest directly in an index. MSCI Emerging Markets Index is an unmanaged index of emerging markets common stocks. endobj Water cleanliness is taken very seriously when it comes to our supply, so all aquifers are far away from any commercial, industrial or agricultural zoning, where pollution could contaminate them. 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Sistemimiz aracılığı ile bize ulaştırmış olduğunuz kişisel bilgileriniz (Adınız, Adresiniz, Telefon Numaranız, Email adresiniz) ticari amaçlı ya da farklı bir sebepten ötürü asla 3. kişilerle paylaşılmaz. Tüm kişisel bilgileriniz ve sipariş içeriğiniz firmamızın güvencesi altındadır. Bizimle paylaştığınız tüm bilgileriniz siparişinizi tamamlayabilmek ve sorunsuz bir şekilde tarafınıza teslimatını sağlayabilmek amacı ile kayıt altına alınmakta ve 5 iş günü sonunda tarafımızca imha edilmektedir.
MESAFELİ SATIŞ VE GİZLİLİK SÖZLEŞMESİ
MESAFELİ SATIŞ SÖZLEŞMESİ
MADDE 1-1 - SATICI
Ünvanı |
: www.drkrem.net |
Telefonu |
: 0216 337 76 00 |
|
|
Tarih |
: ….. .2014 |
MADDE 1-2 - ALICI
Alıcı :
Teslimat Adresi :
MADDE 2 - KONU
İşbu sözleşmenin konusu, ALICI nın (www.drkrem.net) internet mağazasından siparişini yaptığı yukarıda nitelikleri ve satış fiyatı belirtilen ürünlerin satışı ve teslimi ile ilgili olarak 4077 sayılı Tüketicilerin Korunması Hakkındaki Kanun ve Mesafeli Sözleşmeleri Uygulama Esas ve Usulleri Hakkında Yönetmelik hükümleri gereğince tarafların hak ve yükümlülüklerinin saptanmasıdır.
MADDE 3 - SÖZLEŞME KONUSU ÜRÜNLER
Ürünlerin Cinsi ve türü, Miktarı, Marka/Modeli, Rengi, Satış Bedeli yukarıda belirtildiği gibidir. Ürün özellikleri hakkında daha detaylı bilgiyi, üzerine tıklayarak alabilirsiniz.
MADDE 4 - GENEL HÜKÜMLER
4.1- ALICI, www.drkrem.net internet mağazasında sözleşme konusu ürünün temel nitelikleri, satış fiyatı ve ödeme şekli ile teslimata ilişkin ön bilgileri okuyup bilgi sahibi olduğunu ve elektronik ortamda gerekli teyidi verdiğini kabul ve beyan eder.
4.2- Sözleşme konusu ürün, yasal 30 günlük süreyi aşmamak koşulu ile internet mağazasında ön bilgiler içinde açıklanan süre içinde ALICI nın belirttiği adrese sevkedilir.
4.3- Sözleşme konusu ürün, ALICI dan başka bir kişi/kuruluşa teslim edilecek ise, teslim edilecek kişi/kuruluşun teslimatı kabul etmemesininden SATICI sorumlu tutulamaz.
4.4- SATICI, sözleşme konusu ürünün sağlam, eksiksiz, siparişte belirtilen niteliklere uygun ve varsa garanti belgeleri ve kullanım kılavuzları ile teslim edilmesinden sorumludur.
4.5- Sözleşme konusu ürünün teslimatı için ürün bedelinin ALICI nın tercih ettiği ödeme şekli ile ödenmiş olması şarttır. Herhangi bir nedenle ürün bedeli ödenmez veya banka kayıtlarında iptal edilir ise, SATICI ürünün teslimi yükümlülüğünden kurtulmuş kabul edilir.
4.6- Ürünün tesliminden sonra ALICI ya ait kredi kartının ALICI nın kusurundan kaynaklanmayan bir şekilde yetkisiz kişilerce haksız veya hukuka aykırı olarak kullanılması nedeni ile ilgili banka veya finans kuruluşun ürün bedelini SATICI ya ödememesi halinde, ALICI nın kendisine teslim edilmiş olması kaydıyla ürünün 3 gün içinde SATICI ya gönderilmesi zorunludur. Bu takdirde nakliye giderleri ALICI ya aittir.
4.7- SATICI mücbir sebepler veya sevkiyatı engelleyen hava muhalefeti, ulaşımın kesilmesi gibi olağanüstü durumlar nedeni ile sözleşme konusu ürünü süresi içinde teslim edemez ise, durumu ALICI ya bildirmekle yükümlüdür. Bu takdirde ALICI siparişin iptal edilmesini, sözleşme konusu ürünün varsa emsali ile değiştirilmesini, ve/veya teslimat süresinin engelleyici durumun ortadan kalkmasına kadar ertelenmesi haklarından birini kullanabilir. ALICI nın siparişi iptal etmesi halinde ödediği tutar 10 gün içinde kendisine nakten ve defaten ödenir.
4.8- Garanti belgesi ile satılan ürünlerden olan veya olmayan ürünlerin arızalı veya bozuk olanlar, garanti şartları içinde gerekli onarımın yapılması için SATICI ya gönderilebilir, bu takdirde kargo giderleri ALICI tarafından karşılanacaktır.
4.9- ALICI tarafından belirtilen teslimat adresinin geçici veya anonim bir mekan (örneğin posta kutusu, kargo ofisi, postane gibi) olması durumunda, SATICI, ALICI dan adres düzeltmesi talep eder, adres düzeltmesi yapılmaması durumunda, SATICI, sözleşmeye iptal etmek ve tahsil edilen ücreti iade etmek hakkını saklı tutar.
MADDE 5 - CAYMA HAKKI
ALICI, sözleşme konusu ürürünün kendisine veya gösterdiği adresteki kişi/kuruluşa tesliminden itibaren 7 gün içinde cayma hakkına sahiptir. Cayma hakkının kullanılması için bu süre içinde SATICI ya faks, email veya telefon ile bildirimde bulunulması ve ürünün 6. madde hükümleri çercevesinde kullanılmamış olması şarttır. Bu hakkın kullanılması halinde, 3. kişiye veya ALICI ya teslim edilen ürünün SATICI ya gönderildiğine ilişkin kargo teslim tutanağı örneği ile tüm fatura asıl nüshalarının iadesi zorunludur. Bu belgelerin ulaşmasını takip eden 7 gün içinde ürün bedeli ALICI ya iade edilir. Cayma hakkı nedeni ile iade edilen ürünün kargo bedeli ALICI tarafından karşılanır.
MADDE 6 - CAYMA HAKKI KULLANILAMAYACAK ÜRÜNLER
Niteliği itibarıyla iade edilemeyecek ürünler, tek kullanımlık ürünler, kopyalanabilir yazılım ve programlar, hızlı bozulan veya son kullanım tarihi geçen ürünler için cayma hakkı kullanılamaz. Aşağıdaki ürünlerde cayma hakkının kullanılması, ürünün ambalajının açılmamış, bozulmamış ve ürünün kullanılmamış olması şartına bağlıdır.
MADDE 7 - YETKİLİ MAHKEME
İşbu sözleşmenin uygulanmasında, Sanayi ve Ticaret Bakanlığınca ilan edilen değere kadar Tüketici Hakem Heyetleri ile ALICI nın veya SATICI nın yerleşim yerindeki Tüketici Mahkemeleri yetkilidir. Siparişin gerçekleşmesi durumunda ALICI işbu sözleşmenin tüm koşullarını kabul etmiş sayılır.
MADDE 8 - TALEP VE ŞİKAYETLER
ALICI, talep ve şikayetlerini internet mağazasında belirtilen telefonla yapabilir.
ALICI, işbu sözleşmeyi okuyup bilgi sahibi olduğunu ve elektronik ortamda gerekli teyidi verdiğini kabul ve beyan eder.
GİZLİLİK SÖZLEŞMESİ
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