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Fund Detail
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Fund Facts
Daily Prices4
Updated 9/9/2010
Historical Prices & Distributions
Fund Description
Returns and Expenses1, 2, 3
Monthly Rates of Return
Quarterly Rates of Return
Assumes an investment over 10 years or life of the share class, reinvestment of dividends and capital gains, and does not include the effect of sales charges or taxes.
1. Class E shares are subject to an initial sales charge of 5.75 percent when purchased for your InvestEd Plan account; it also features a step down structure of lowering the initial sales charge based on the amount of your investment.
2. Russell 1000 Growth is an unmanaged index comprised of securities that represent the large cap sector of the stock market. It is not possible to invest directly in an index.
3. Consider All Factors. Investing in companies involved primarily in a single asset class (large cap) may be more risky and volatile than an investment with greater diversification. Because this fund expects to hold a concentrated portfolio of a limited number of securities, a decline in the value of these investments may cause the fund's overall value to decline to a greater degree than a less concentrated portfolio. These and other risks are more fully described in the fund's prospectus.
Ratings & Rankings
Rankings are based on average annual total returns, but do not consider sales charges.
Rankings are based on risk-adjusted returns.
Holdings
Portfolio Management
4. Per share values based on closing quotes unless noted, as supplied to the NASDAQ by 6:00 p.m. Eastern time. Ivy Funds Class A and Class Y shares are subject to distribution and service fees of up to 0.25% of the average daily net assets, annually, pursuant to SEC Rule 12b-1, while Class B and Class C shares are subject to distribution and service fees of up to 1.00% of the average daily net assets, annually, pursuant to SEC Rule 12b-1. Class Y shares may be purchased only by certain institutional investors set forth in each fund's prospectus.
5. The style box reveals a fund's investment strategy by displaying the fund's investment style and the market capitalization of the stocks owned.
6. Information is subject to change and is not intended to represent any past or future investment recommendations. Quality ratings obtained from Standard & Poor's. For securities not rated by Standard & Poor's, ratings obtained from Moody's.