Forward Funds - Mutual Funds Forward Funds - Mutual Funds
PROSPECTUS nav divider PERFORMANCE nav divider CONTACT US nav divider SITE MAP
Forward Funds

Forward Legato Fund

Investor Class

Portfolio
Updated as of:
September 30, 2008
 
 
 
  The Forward Legato Fund invests primarily in small cap U.S. companies and employs a "multi-manager" approach allocating portions of the Fund to different sub-advisors who employ growth, value and core investment styles.
 
Growth emphasizes investments in equity securities of companies with above-average earnings and growth prospects
Value emphasizes investments in equity securities of companies that appear to be undervalued relative to their intrinsic value, based on earnings, book value or cash flow
Core emphasizes investments in equity securities of companies from the broad equity market rather than focusing on the growth or value segments of the market
 
 
Porfolio Holdings
Forward Funds provides investors access to each Fund’s full portfolio holdings (as of month-end) on the 21st day of the following month or if the 21st is not a business day, on the next following business day.
   
  These holdings may not reflect the current or future position of the portfolio.
 
  Sector Allocation
 
   
  These allocations may not reflect the current or future position of the portfolio.
  Class: Investor
Change to: Institutional
Change to: Class A
   
Overview
Category: Small Capitalization
Ticker Symbol: FLFRX
CUSIP: 34987A624
Benchmark: Russell 2000 Index
Inception: October 21, 2008
Net Assets: $1.0 Million
Load Fee: No Load
Gross Expense Ratio: 1.69%
Net Expense Ratio: 1.69%
Minimum Investment
Initial: $4,000
Initial–eDelivery: $2,000
Initial–Automatic Investment Plan:
$500
   
The Forward Legato Fund is not registered for sale in all states. Click here for blue sky information on the fund.
Statistics
Price/Book:* 2.25
Price/Earnings:* 17.69
EPS Growth Rate:* 17.6%
Long-Term Debt-to-Equity:* 59.2%
Weighted Average Market Capitalization:* $1.12 Billion
Median Market
Capitalization:*
$1.08 Billion
Number of Holdings: 159
Annualized Turnover: 34.46%

*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.

footer end footer ends
spacer
About Forward  :  Forward Funds  :  How To Invest  :  Research :  Account Login
Prospectus  :  Performance  :  Contact Us  :  Privacy  :  Site Map
spacer