Fund Detail

Ivy Large Cap Growth Fund
Class E Shares

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Fund Facts 

Ticker Symbol
ILCEX
CUSIP
466001104
Fund Code
420
Fund Type
Domestic Equity Funds
Fund Inception
06/30/2000
Class Inception
04/02/2007
Fiscal Year End
March
Dividends Paid
Annually
Net Assets (as of 06/30/2010)
$814.3 mil
Total Holdings (as of 06/30/2010)
51
Turnover Rate (as of 03/31/2010)
60%
Lipper Category
Large-Cap Growth
Morningstar Category
Large Growth
Benchmark
Russell 1000 Growth

Daily Prices4

Updated 9/9/2010

Net Asset Value (NAV) $11.19
NAV Change ($) $0.03
NAV Change (%) 0.27%
Weekly NAV Change ($) $0.03
Weekly NAV Change (%) 0.27%
Public Offering Price (POP) $11.87

   Historical Prices & Distributions

   
   

Fund Description

Fund Objective 
To provide appreciation of your investment.
 
Investment Approach 
The Fund uses a bottom-up strategy focusing on companies that we feel have dominant market positions and established competitive advantages. We believe that these characteristics can help to mitigate competition and lead to increased revenue and earnings growth. Other factors considered are the company's product line, quality of management, and changes in economic and political conditions.
 
  Morningstar Style Box5

Returns and Expenses1, 2, 3

  Monthly Rates of Return

  Average Annual Total Returns
  as of 8/31/2010
  1yr 3yr 5yr 10yr Lifetime
Fund at NAV 1.20% -6.96% N/A N/A -3.00%
Fund with maximum 5.75% sales charge -4.62% -8.78% N/A N/A -4.67%

  Quarterly Rates of Return

  Average Annual Total Returns
  as of 6/30/2010
  1yr 3yr 5yr 10yr Lifetime
Fund at NAV 8.22% -5.50% N/A N/A -3.47%
Fund with maximum 5.75% sales charge 1.99% -7.34% N/A N/A -5.21%
Russell 1000 Growth 13.62% -6.91% 0.38% -5.14% -4.47%
Lipper Large-Cap Growth 11.30% -7.89% -0.53% -4.08% -5.55%

Expense Ratios 
as of 07/31/2010
Net  1.15%
Gross  2.05%

Growth of a $10,000 Investment
through 06/30/2010

Ratings & Rankings

Lipper Rankings
as of 06/30/2010
Category: Large-Cap Growth
  Rank Percentile
1 Year 693/845 82
3 Year 127/730 18
Morningstar Ratings
as of 06/30/2010
Category: Large Growth
Overall   (out of 1545 Large Growth)
3 Year   (out of 1545 Large Growth)

Holdings

Portfolio Composition6
(as a % of net assets as of 06/30/2010)
Common Stock 94.0%
Cash 3.0%
Foreign Stock 3.0%
Sector Allocation6
(as a % of equity holdings as of 06/30/2010)
Information Technology 45.6%
Consumer Discretionary 13.8%
Healthcare 12.6%
Financials 11.6%
Consumer Staples 5.1%
Energy 5.0%
Industrials 5.0%
Materials 1.2%
Top 10 Equity Holdings6
(as a % of net assets as of 06/30/2010)
Apple Inc. 8.5%
Microchip Technology Incorporated 4.7%
Colgate-Palmolive Company 4.4%
Hewlett-Packard Company 4.3%
Cisco Systems, Inc. 4.2%
Google Inc., Class A 4.2%
JPMorgan Chase & Co. 4.0%
Wynn Resorts, Limited 3.7%
NetApp, Inc. 3.7%
Schlumberger Limited 3.7%
Total Portfolio Holdings
(updated quarterly, upon availability)
 
View | Download (as of 06/30/2010)
Quality Breakdown
(as of 06/30/2010)
Gov't 0.0%
AAA 0.0%
AA 0.0%
A 0.0%
BBB 0.0%
BB 0.0%
B 0.0%
Below B 0.0%
Non-Rated 0.0%
Effective Duration years

Portfolio Management

Manager Name Company Name Years in Industry Years with Fund
 Daniel P. Becker, CFA  Ivy Investment Management Company  21  10
 Philip J. Sanders, CFA  Ivy Investment Management Company  21  3