Benchmark Morningstar Category
Conservative Allocation

Asset Allocation

 

MXIIX


Asset Distribution
 
  Type %
Net
%
Short
%
Long
Bench-
mark
Cat
Avg
As of 03/31/2013
Cash 1.90 21.80 23.70 0.17 9.07
US Stock 12.32 0.00 12.32 27.73 24.86
Non US Stock 2.75 0.00 2.75 11.16 8.05
Bond 50.39 0.12 50.51 58.91 54.90
Other 32.64 0.00 32.64 2.03 3.12
 

Style Details

 

MXIIX

Avg Market Cap USD
21,094 mil
 
Benchmark Market Cap USD
24,568 mil
 
Category Avg Market Cap USD
38,963 mil
Market Capitalization
Size % of Portfolio Benchmark Category Avg
Giant 31.32 38.99 47.25
Large 27.88 27.83 31.71
Medium 34.58 24.37 16.35
Small 5.55 8.56 3.88
Micro 0.68 0.25 0.82
Value & Growth Measures
Stock Portfolio Benchmark Category Avg
As of 03/31/2013
*Forward-looking based on historical data
Style and Market Cap Breakdown and Value and Growth Measures are calculated only using the long position holdings of the portfolio.
Price/Prospective Earnings* 12.56 14.13 14.49
Price/Book* 1.61 1.76 1.87
Price/Sales* 1.13 1.09 1.30
Price/Cash Flow* 7.99 6.09 6.70
Dividend Yield %* 6.43 2.39 2.55
Long-Term Earnings % 6.51 8.98 9.29
Historical Earnings % -1.62 -1.08 0.97
Sales Growth % 7.84 -16.77 -2.06
Cash-Flow Growth % 6.47 -7.92 -1.54
Book-Value Growth % 6.91 -26.62 -28.99
 
Ownership Zone
Weighted Average of holdings

75% of fund's stock holdings
 
Holdings Style
Portfolio Weight%
> 50% 25–50% 10–25% 0–10%
Investment Style History
Year Style % Equity
*As of 03/31/2013
Style Box Detail calculations do not include the fund's short positions (if any).
2013* 15.07
2012 14.53
2011 9.72
2010 15.01
2009 7.52
Fixed-Income Style
 
Fixed-Income Style History
Year Style % Bonds
As of 03/31/2013
2013 50.39
2012 49.28
2011 48.78
2010 41.49
2009 38.47
 
Bond Statistics
Detail Value
As of 03/31/2013, *As of 03/31/2013
Average Effective Duration (Years)* 4.56
Average Effective Maturity (Years)*
Average Credit Quality BB
Average Weighted Coupon* 5.12
Average Weighted Price* 93.29
Credit Quality
Type % Bonds Benchmark Category Avg Bond Weight Benchmark Weight Category Avg Weight
AAA 8.82 41.25 39.44
AA 7.15 33.34 12.80
A 7.61 15.33 13.98
BBB 18.96 9.96 15.02
BB 5.31 0.10 5.67
B 1.93 0.00 7.21
Below B 0.28 0.02 2.83
Not Rated 49.94 0.00 3.05
As of 03/31/2013
Credit Quality is calculated only using the long position holdings of the portfolio.

Sector Weightings

 

MXIIX

% Stocks Benchmark Category Avg   Fund Weight Benchmark Weight Category Avg Weight
Cyclical
Basic Materials 0.03 5.52 5.03
Consumer Cyclical 2.09 11.48 10.08
Financial Services 0.78 17.74 15.69
Real Estate 31.54 3.94 3.79
Sensitive
Communication Services 4.06 4.06 4.73
Energy 16.63 9.49 11.62
Industrials 10.62 11.65 9.96
Technology 6.17 12.75 12.89
Defensive
Consumer Defensive 3.85 8.75 8.66
Healthcare 17.92 10.50 11.85
Utilities 6.32 4.12 5.69
As of 03/31/2013
Sector data is calculated only using the long position holdings of the portfolio.
Fixed-Income Sectors
Type % Bonds Benchmark Category Avg Fund Weight Benchmark Weight Category Avg Weight
Government 7.91 69.07 30.53
Government 7.23 65.71 19.71
Government-Related 0.68 3.36 10.82
       
Corporate 55.79 20.39 26.70
       
Securitized 13.72 0.17 19.29
Agency Mortgage-Backed 6.08 0.13 13.52
Non-Agency Residential MBS 1.97 0.01 2.30
Commercial MBS 1.78 0.00 1.32
Asset-Backed 3.88 0.01 2.14
Covered Bond 0.00 0.01 0.01
       
Municipal 0.00 0.00 1.64
       
Cash & Equivalents 1.76 10.37 19.46
       
Other 20.82 0.00 2.38
As of 03/31/2013
Sector data is calculated only using the long position holdings of the portfolio.
Coupon Range
Type % Bonds Benchmark Category Avg   Fund Weight Benchmark Weight Category Avg Weight
0% PIK 0.00 10.20 6.04
0% to 4% 28.02 68.01 50.56
4% to 6% 39.05 15.10 25.23
6% to 8% 31.48 5.15 8.89
8% to 10% 1.44 1.36 4.46
10% to 12% 0.01 0.17 1.88
More than 12% 0.00 0.00 2.95
As of 03/31/2013
Sector data is calculated only using the long position holdings of the portfolio.

Top 10 Country Breakdown

 

MXIIX

% Bonds Benchmark Category Avg Fund Weight Benchmark Weight Category Avg Weight
United States 73.74 82.81 88.09
Canada 6.03 1.01 1.67
Australia 4.70 0.80 0.62
Mexico 4.06 0.19 0.61
New Zealand 2.89 0.05 0.06
Cayman Islands 1.72 0.48 0.92
Poland 1.71 0.00 0.08
South Korea 1.45 0.34 0.18
Liberia 1.43 0.00 0.01
United Kingdom 0.98 1.94 1.52
As of 03/31/2013
Country breakdown data is calculated only using the long position holdings of the portfolio.

Bond Maturity Breakdown

 

MXIIX

% Bonds Benchmark Category Avg Fund Weight Benchmark Weight Category Avg Weight
1 to 3 Years 7.82 33.32 21.41
3 to 5 Years 21.15 26.38 13.84
5 to 7 Years 10.45 14.84 9.68
7 to 10 Years 17.04 12.40 17.34
10 to 15 Years 5.27 3.40 3.24
15 to 20 Years 1.60 2.69 3.27
20 to 30 Years 10.01 6.69 18.64
Over 30 Years 26.66 0.27 8.07
As of 03/31/2013
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World Regions

 

MXIIX

% Stocks Benchmark Category Avg
As of 03/31/2013
Region breakdown data is calculated by using the long position holdings of the portfolio equity part only.
Americas 85.79 74.51 78.01
North America 85.79 73.46 77.27
Latin America 0.00 1.04 0.74
Greater Europe 14.19 14.48 15.79
United Kingdom 5.70 4.41 5.23
Europe Developed 8.49 8.91 9.89
Europe Emerging 0.00 0.57 0.36
Africa/Middle East 0.00 0.60 0.31
Greater Asia 0.01 11.01 6.20
Japan 0.00 4.30 2.41
Australasia 0.01 1.65 1.06
Asia Developed 0.00 2.61 1.44
Asia Emerging 0.00 2.44 1.29
Market Classification
% Developed Markets 100.00 95.50 97.41
% Emerging Markets 0.00 4.50 2.59
 
Greater Asia Americas Greater Europe

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