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Forward Funds

Forward Real Estate Fund

Investor Class

Performance
Updated as of:
September 30, 2009
 
 
 

Fund Performance

 
   
 
   
 

The performance quoted represents past performance, does not guarantee future results and current performance may be lower or higher than the data quoted. The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Performance data current to the most recent month end may be obtained at www.forwardfunds.com. The returns assume reinvestment of dividends and distributions, if any. Performance does not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. The NAREIT Equity REIT Index is an index, with dividends reinvested, representative of tax-qualified REITs listed on the New York Stock Exchange, American Stock Exchange and the NASDAQ National Market. It is not possible to invest directly in an index.

REIT funds will be subject to a higher degree of market risk because of concentration in a specific industry, sector or geographic sector. Risks also include declines in the value of real estate, general and economic conditions.

Prior to January 20, 2009, the Fund was named the Forward Progressive Real Estate Fund.

 

Growth of $10,000

 
   
 
   
  The chart above shows how a hypothetical investment of $10,000 in the Fund at its inception would have performed versus an investment in the Fund’s benchmark index. The values indicate what $10,000 would have grown to over the time period indicated. The hypothetical example does not represent the returns of any particular investment.
  Class: Investor
Change to: Institutional
Change to: Class A
Change to: Class C
   
PDF Fund Fact Sheet
Overview
Category: Real Estate
Ticker Symbol: FFREX
CUSIP: 349913707
Benchmark: FTSE NAREIT Equity REITs Index
Inception: May 10, 1999
Net Assets: $21.0 Million
Load Fee: No Load
Gross Expense Ratio: 1.69%
Net Expense Ratio: 1.61%1
SEC Yield: 2.07%
Minimum Investment
Initial: $4,000
Initial–eDelivery: $2,000
Initial–Automatic Investment Plan:
$500
Statistics
Price/Book:* 1.5
Forward P/E:* 12.6
EPS Growth Rate:* -12.0%
Long-Term Debt-to-Equity:* 53.0%
Weighted Avg. Market Capitalization:* $4.9 Billion
Average Capitalization:* $3.7 Billion
Beta: 0.84
R-Squared: 0.97
Number of Holdings: 38
Annualized Turnover: 50.13%

1The Fund’s investment advisor has contractually agreed to waive a portion of its fees and reimburse other expenses until June 30, 2011, in amounts necessary to limit the Fund’s operating expenses (exclusive of brokerage costs, interest, taxes, dividends, acquired fund fess and expenses, and extraordinary expenses) for Investor Class shares to an annual rate (as a percentage of the Fund’s average daily net assets) of 1.60%.

*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 – 5 Year is an estimate of the Fund’s annual percentage growth rate of earnings per share over the next five-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.

 
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