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Forward Funds

Forward Small Cap Equity Fund

Investor Class

Fund Management
Updated as of:
June 30, 2008
 
 
 
 
Portfolio Manager
Irene Hoover, CFA*
Irene Hoover founded Hoover Investment Management in 1997 and has over 28 years of investment management experience.
 
 

Hoover Investment Management

 
Hoover Investment Management is the Fund's sub-advisor and is a San Francisco-based firm focused on small capitalization stocks founded in 1997 by portfolio manager Irene Hoover.
 
The Hoover team managed more than $1.8 billion for institutional investors including Forward Hoover Mini-cap Fund, foundations, endowments, universities and religious organizations as of December 31, 2006
Ms. Hoover is responsible for all final investment decisions
The analysts are generalists, but the key team members have particular areas of expertise – Ms. Hoover in energy, financial services, consumer and special situations; Mr. Schneider in healthcare, medical technology and special situations; Mr. Ledoux in technology, REITs and special situations; Mr. Colbert in industrials, producer durables, media, utilities, aerospace and special situations; Ms. Steinbrecher in financials and special situations; Mr. Cullen in market trend analysis and trading
 
 

Key Personnel

  Stephen Cullen
 
Principal, Director of Market Analysis & Equity Trading
31 years in the investment business
Vice President and Principal of Jurika & Voyles
Vice President and Director of Equity Trading at Pacific Securities, Inc.
Vice President of Bateman, Eichler, Hill and Richards Inc.
Assistant Vice President of ISI Corporation
Active member of the San Francisco Security Traders Association where he has served as both an Officer and Director
BS in economics from University of San Francisco
 
  David Schneider
 
Associate Portfolio Manager & Senior Analyst
24 years experience in the investment business
Analyst and Portfolio Manager at Pacific Century Advisers, Renberg & Associates and Apodaca Investment Group
Portfolio Manager at Galleon Capital
Quantitative Analyst/Project Manager at Villanova Capital
Member of the American Statistical Association
BA from University of California at Santa Cruz and MBA from Yale School of Management
 
  Christian G. Ledoux, CFA*
 
Senior Research Analyst
13 years experience in the investment business
Analyst at Alliant Partners
Senior Research Analyst at Hoover Investment Management
Equity Analyst at Jurika & Voyles
BA from University of California at Santa Barbara
 
  Kathleen Bailey
 
Senior Research Analyst
9 years experience in the investment business
Equity Research Analyst at Aster Investment Management
Vice President of Equity Research at Merrill Lynch
BA from Brigham Young University and MBA from Anderson School at UCLA
Level III CFA Candidate
 
  Steve Colbert, CFA*
 
Senior Research Analyst
39 years experience in the investment business
Managing Director and Analyst at JMP Securities
Senior Analyst at Jurika & Volyes
Analyst at Prudential Securities
MS degree from the University of Illinois
 
  Class: Investor
Change to: Institutional
Change to: Class A
   
PDF Fund Fact Sheet
Overview
Category: Small Cap Blend
Ticker Symbol: FFSCX
CUSIP: 349913608
Benchmark: Russell 2000 Index
Inception: October 1, 1998
Net Assets: $331.9 Million
Load Fee: No Load
Gross Expense Ratio: 1.71%
Net Expense Ratio: 1.71%
Minimum Investment
Initial: $4,000
Initial–eDelivery: $2,000
Initial–Automatic Investment Plan:
$500
Statistics
Price/Book:* 2.65
Forward P/E:* 17.86
EPS Growth Rate:* 26.57%
Long-Term Debt-to-Equity:* 25.83%
Weighted Avg. Market Capitalization:* $2.1 Billion
Average Capitalization:* $1.9 Billion
Beta: 0.93
R-Squared: 0.89
Number of Holdings: 110
Annualized Turnover: 281.75%

*Data refers to the Fund’s holdings and not to the Fund itself.

Price/Book Ratio and Price/Earnings represent equity securities within the Fund’s portfolio, and are not intended to demonstrate Fund growth income earned by the Fund, or distributions made by the Fund.

EPS Growth Rate represents the Fund’s annual percentage growth rate of earnings per share over the trailing 3-year period.

Beta is a measure of risk which shows the Fund's volatility relative to its benchmark index.

R-Squared reflects the percentage of a Fund’s movements that are explained by movement in its benchmark index.

  *Irene G. Hoover, Christian Ledoux and Steve Colbert have all earned the right to use the Chartered Financial Analyst designation.
 
 
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