Fund Detail

InvestEd Conservative Portfolio
Class A Shares

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Fund Facts 

Ticker Symbol
WICAX
CUSIP
93006P400
Fund Code
803
Fund Type
InvestEd
Fund Inception
10/01/2001
Class Inception
10/01/2001
Fiscal Year End
December
Dividends Paid
Annually
Net Assets (as of 06/30/2010)
$62. mil
Turnover Rate (as of 03/31/2010)
12%
Lipper Category
Mixed-Target Alloc. Conservative
Morningstar Category
Short-term Bond
Benchmarks
Citigroup BIG
S&P 500
Citigroup Certificate of Deposit 1 Mon

Daily Prices6

Updated 9/8/2010

Net Asset Value (NAV) $11.35
NAV Change ($) $0.00
NAV Change (%) 0.00%
Weekly NAV Change ($) $0.00
Weekly NAV Change (%) 0.00%
Public Offering Price (POP) $11.85

   Historical Prices & Distributions

   
   

Fund Description

Fund Objective 
To seek capital preservation.
 
Investment Approach 
The portfolio is designed for investors who seek capital preservation from their investments, through a primary emphasis on income and a secondary emphasis on capital growth. The portfolio is also designed for investors who expect to incur expenses related to higher education within a year or two. The portfolio invests primarily in Waddell & Reed Advisors bond and income-producing mutual funds. It invests, to a lesser extent, in Waddell & Reed Advisors equity mutual funds. Each underlying fund, in turn, invests in a diversified portfolio of securities.
 

Returns and Expenses1, 2, 3, 4, 5

  Monthly Rates of Return

  Average Annual Total Returns
  as of 8/31/2010
  1yr 3yr 5yr 10yr Lifetime
Fund at NAV 6.16% 4.43% 4.78% N/A 3.96%
Fund with maximum 4.25% sales charge 1.65% 2.93% 3.87% N/A 3.46%

  Quarterly Rates of Return

  Average Annual Total Returns
  as of 6/30/2010
  1yr 3yr 5yr 10yr Lifetime
Fund at NAV 7.66% 4.19% 4.64% N/A 3.86%
Fund with maximum 4.25% sales charge 3.09% 2.69% 3.73% N/A 3.35%
S&P 500 14.43% -9.81% -0.79% -1.59% 1.84%
Citigroup BIG 9.03% 7.95% 5.77% 6.61% 5.73%
Citigroup Certificate of Deposit 1 Mon 0.22% 2.04% 3.17% 2.91% 2.54%
Lipper Mixed-Target Alloc. Conservative 12.72% 0.00% 2.46% 3.15% 3.71%

Expense Ratios 
as of 04/30/2009
Net  0.97%
Gross  0.97%

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

Holdings

Portfolio Composition7
(as a % of net assets as of 06/30/2010)
Common Stock 100.0%
Underlying Fund Composition
(as a % of net assets as of 06/30/2010)
Waddell & Reed Advisors Government Securities Fund, Class Y 40.5%
Waddell & Reed Advisors Cash Management, Class A 30.2%
Waddell & Reed Advisors Core Investment Fund, Class Y 19.2%
Waddell & Reed Advisors Bond Fund, Class Y 10.1%
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
 Michael L. Avery    31  8
 Ryan Caldwell    12  3