Managers Investment Group

TSCM Growth Equity Fund

Select a Share Class

Fund Facts (as of 3/31/2012)

Investment Style: All-Cap Growth
Benchmark(s): Russell 3000® Growth
Subadvisor(s): TimesSquare Capital Management, LLC
Fund Net Assets: $25,560,310

Share Class Facts

Share Class: Institutional
Ticker: MTGIX
Cusip: 56171L868
Inception Date: 7/30/2010
Expense Ratio:
(Gross / Net)
1.65% / 0.80%
Minimum Investment:
Initial / Subsequent
$100,000 / $1,000
Minimum IRA Investment:
Initial / Subsequent
$50,000 / $1,000
Maximum Sales Charges: N/A
12b-1 Fees: N/A

Learn more about share classes offered by Managers Investment Group.

Fund Focus

The Managers AMG TSCM Growth Equity Fund seeks to generate positive returns over the long term by building a portfolio concentrated in U.S. growth equities. By conducting bottom-up, fundamental research, TimesSquare (the subadvisor to the Fund) selects approximately 30 to 40 stocks across the full range of market capitalization that it believes will outperform the market. TimesSquare's fundamental growth equity research emphasizes the quality of a company's management by identifying superior business models that have sustainable competitive advantage and the potential for strong, consistent growth. This quality is assessed through traditional financial analysis, company visits and management assessments. The Fund anticipates making investments across a broad range of market capitalizations with a heavier weight toward large- and mid-capitalization stocks. The Fund may also invest up to 10% of its assets in Initial Public Offerings.

Where This Fund May Fit As Part Of Your Asset Allocation

The Managers AMG TSCM Growth Equity Fund may be appropriate for your overall investment allocation if you are:

  • Looking to gain exposure to a broad market capitalization range of U.S. equities
  • Seeking exposure to growth-oriented investments
  • Willing to accept a higher degree of risk for the opportunity for higher potential returns
  • Willing to accept short-term volatility of returns

Disclosure

Investors should carefully consider the Fund's investment objectives, risks, charges and expenses before investing. For this and other information, please call 800.835.3879 or download a free prospectus. Read it carefully before investing or sending money.

The Fund's investment manager has contractually agreed, through at least March 1, 2013, to limit Fund operating expenses. The net expense ratio reflects this limitation, while the gross expense ratio does not. Please refer to the Fund's prospectus for additional information on the Fund's expenses.

Daily Pricing 05/17/2012 Open/Close Daily Pricing
Institutional
NAV: $11.86
NAV $ Change: $-0.27
NAV % Change: -2.23%
YTD Return (as of 04/30/2012)
- at NAV 16.25%
- with Load
 

 

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