72

At a Glance

Why invest in Opportunity?

  • Small-cap value fund (generally market caps up to $3 billion) that uses an opportunistic approach to invest in companies with low P/B and P/S ratios; companies are categorized into one of four themes: Turnarounds, Unrecognized Asset Values, Undervalued Growth, and Interrupted Earnings
  • Identifies a catalyst for future earnings growth in the form of new management, more favorable business cycle, product innovation, and/or margin improvement
  • Has historically produced strong results, particularly during up market periods, outperforming its benchmark, the Russell 2000 Index, during all four trough-to-peak periods since inception (11/19/96)

As of 09/30/16

  • Small-Cap
    Value Approach
    $699.9M
    Avg. Market Cap
  • High
    Volatility
    91%
    Active Share
  • Lead Manager
    Tenure
    18+
    Years on Fund

Portfolio Management

"We typically expect our investments to pay off 18 to 24 months after we begin to purchase shares. We move in and out of positions slowly. There are always cheap stocks in the market, even during bullish times. But for a stock to get into the Fund it has to be cheap for what we think will be a temporary reason and be statistically valid for a value portfolio."
Buzz Zaino

Performance

Average Annual Total Returns (%)

Outperformed Russell 2000 for the Quarter, Year To Date, 1-Year, 15-Year and since inception (11/19/96) periods as of 09/30/16.
QTR YTD 1YR 3YR 5YR 10YR 15YR SINCE INCEPT. DATE
Opportunity 13.06 16.5818.333.2715.446.4610.3011.62 11/19/96
Russell 2000 9.05 11.4615.476.7115.827.079.268.10 N/A

Annual Operating Expenses: 1.49

NOV YTD 1YR 3YR 5YR 10YR 15YR 20YR SINCE INCEPT. DATE
Opportunity 14.25 26.5318.393.5814.006.6110.0411.8511.97 11/19/96
Russell 2000 11.15 18.0012.086.4513.986.818.728.248.33 N/A

Annual Operating Expenses: 1.49

DEC YTD 1YR 3YR 5YR 10YR 15YR 20YR SINCE INCEPT. DATE
Opportunity 5.16 33.0730.845.8614.717.0210.1012.1312.24 11/19/96
Russell 2000 N/A N/AN/AN/AN/AN/AN/AN/AN/A N/A

Annual Operating Expenses: 1.49

Important Performance and Expense Information

All performance information reflects past performance, is presented on a total return basis, reflects the reinvestment of distributions, and does not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. Past performance is no guarantee of future results. Investment return and principal value of an investment will fluctuate, so that shares may be worth more or less than their original cost when redeemed. Shares redeemed within 30 days of purchase may be subject to a 1% redemption fee, payable to the Fund, which is not reflected in the performance shown above; if it were, performance would be lower. Current performance may be higher or lower than performance quoted. Current month-end performance information may be obtained at www.roycefunds.com. Operating expenses reflect the Fund's total annual operating expenses for the Service Class as of the Fund's most current prospectus and include management fees, 12b-1 distribution and service fees, and other expenses.

All performance and risk information presented in this material prior to the commencement date of Service Class shares on 5/22/00 reflects Investment Class results. Service Class shares bear an annual distribution expense that is not borne by Investment Class shares. If Service Class's annual distribution expense had been reflected, total returns prior to 5/22/00 would have been lower.

Rolling Returns

On a monthly basis, the Fund outperformed the Russell 2000 in 83% of all 10-Year periods; 73% of all 5-Year periods; and 65% of all 1-Year periods.

For 97% of the periods, 10-year average annual total returns were greater than 5%.

Relative Returns: Monthly Rolling Average Annual Return Periods Since Inception Through 09/30/16

periods beating
the index(%)
fund
avg(%)
index
avg(%)
10-year
99/119
83 10.0 6.9
5-year
131/179
73 11.4 7.5
1-year
147/227
65 14.2 9.2

Absolute Returns: 10-Year Monthly Rolling Return PeriodsNumber of 10-Year Average Annual Return Periods Since the Fund’s Inception

Return Range Periods % in Range
> 10% 46 39
> 5% and ≤ 10% 69 58
> 0% and ≤ 5% 4 3
≤ 0% 0 0

The Fund averaged a 10.0% return over all 119 10-year monthly rolling return periods.

Market Cycle Performance

Peak-Peak - 07/13/07 - 04/29/11
Opportunity6.0%
Russell 20006.6%

Peak-Peak - 04/29/11 - 06/23/15
Opportunity45.8%
Russell 200058.5%

Peak-Current - 06/23/15 - 09/30/16
Opportunity-3.8%
Russell 2000-1.5%

Royce defines market cycles as those that have retreated at least 15% from a previous market peak and have rebounded to establish a new peak above the previous one. 

Royce defines market cycles as those that have retreated at least 15% from a previous market peak and have rebounded to establish a new peak above the previous one. 

Calendar Year Total Returns (%)

 

Growth of Investment

Value of $10,000 invested between 11/19/96 and 09/30/16

Opportunity$88,737.80
Russell 2000$46,951.47

Portfolio Impactas of 09/30/16

SECTOR NAMEAVERAGE WEIGHT (%)TOTAL RETURN (%)CONTRIBUTION TO RETURN (%)
Information Technology
30.44
21.76
6.30
Industrials
24.44
7.76
2.00
Consumer Discretionary
15.24
12.77
1.87
Health Care
4.55
23.36
1.00
Materials
9.29
9.52
0.98
Financials
5.61
14.36
0.76
Consumer Staples
1.56
25.51
0.39
Energy
2.49
6.35
0.15
Real Estate
0.85
3.12
0.04
Utilities
0.17
21.87
0.04
Telecommunication Services
0.68
-2.10
-0.03
Cash
4.69
0.07
0.00

Top Contributors

INDUSTRYSECTORGAIN (%)
Semiconductors & Semiconductor EquipmentInformation Technology2.69
Electronic Equipment, Instruments & ComponentsInformation Technology1.57
Communications EquipmentInformation Technology1.07
Auto ComponentsConsumer Discretionary0.72
Household DurablesConsumer Discretionary0.68

Top Detractors

INDUSTRYSECTORGAIN (%)
Diversified Telecommunication ServicesTelecommunication Services-0.06
Road & RailIndustrials-0.05
Diversified Consumer ServicesConsumer Discretionary-0.03
Oil, Gas & Consumable FuelsEnergy-0.02
Internet & Direct Marketing RetailConsumer Discretionary0.00

Top Contributors

COMPANYINDUSTRYSECTORGAIN (%)
HealthwaysHealth Care Providers & ServicesHealth Care0.57
Creative ComputersElectronic Equipment, Instruments & ComponentsInformation Technology0.44
Kratos Defense & Security SolutionsAerospace & DefenseIndustrials0.35
Silicon Graphics InternationalTechnology Hardware, Storage & PeripheralsInformation Technology0.33
SunEdison SemiconductorSemiconductors & Semiconductor EquipmentInformation Technology0.31

Top Detractors

COMPANYINDUSTRYSECTORGAIN (%)
Olin CorporationChemicalsMaterials-0.16
Power Solutions InternationalElectrical EquipmentIndustrials-0.15
CrayTechnology Hardware, Storage & PeripheralsInformation Technology-0.12
Ruby TuesdayHotels, Restaurants & LeisureConsumer Discretionary-0.10
A. M. Castle & Co.Metals & MiningMaterials-0.10
SECTOR NAMEAVERAGE WEIGHT (%)TOTAL RETURN (%)CONTRIBUTION TO RETURN (%)
Information Technology
30.19
23.64
6.92
Materials
9.81
40.87
4.35
Industrials
24.05
17.04
4.32
Financials
5.55
17.95
0.89
Consumer Discretionary
15.05
5.46
0.84
Consumer Staples
1.93
39.18
0.65
Real Estate
0.95
23.22
0.23
Utilities
0.17
19.58
0.04
Telecommunication Services
0.70
5.56
0.03
Health Care
4.17
2.50
-0.04
Energy
2.30
-6.11
-0.25
Cash
5.11
0.21
0.01

Top Contributors

INDUSTRYSECTORGAIN (%)
Semiconductors & Semiconductor EquipmentInformation Technology3.90
Electronic Equipment, Instruments & ComponentsInformation Technology3.17
Metals & MiningMaterials2.31
ChemicalsMaterials1.81
MachineryIndustrials1.78

Top Detractors

INDUSTRYSECTORGAIN (%)
Internet Software & ServicesInformation Technology-0.69
Specialty RetailConsumer Discretionary-0.58
IT ServicesInformation Technology-0.43
Oil, Gas & Consumable FuelsEnergy-0.32
MarineIndustrials-0.29

Top Contributors

COMPANYINDUSTRYSECTORGAIN (%)
Kraton Performance PolymersChemicalsMaterials0.91
Advanced Energy IndustriesSemiconductors & Semiconductor EquipmentInformation Technology0.59
Spartan MotorsAuto ComponentsConsumer Discretionary0.56
Newport CorporationElectronic Equipment, Instruments & ComponentsInformation Technology0.56
MasTecConstruction & EngineeringIndustrials0.51

Top Detractors

COMPANYINDUSTRYSECTORGAIN (%)
Monster WorldwideInternet Software & ServicesInformation Technology-0.44
CIBERIT ServicesInformation Technology-0.40
Invacare CorporationHealth Care Equipment & SuppliesHealth Care-0.39
Ascena Retail GroupSpecialty RetailConsumer Discretionary-0.35
BankrateInternet Software & ServicesInformation Technology-0.31
SECTOR NAMEAVERAGE WEIGHT (%)TOTAL RETURN (%)CONTRIBUTION TO RETURN (%)
Information Technology
30.26
33.51
9.45
Industrials
23.86
19.71
4.97
Materials
9.46
38.10
4.14
Financials
6.17
18.08
1.03
Consumer Staples
1.98
36.74
0.64
Health Care
4.19
15.22
0.51
Real Estate
0.98
31.04
0.31
Telecommunication Services
0.68
44.36
0.25
Utilities
0.17
15.96
0.03
Energy
2.31
-12.59
-0.42
Consumer Discretionary
14.94
-2.79
-0.44
Cash
5.00
0.23
0.01

Top Contributors

INDUSTRYSECTORGAIN (%)
Semiconductors & Semiconductor EquipmentInformation Technology5.23
Electronic Equipment, Instruments & ComponentsInformation Technology3.78
Metals & MiningMaterials2.08
MachineryIndustrials2.01
ChemicalsMaterials1.61

Top Detractors

INDUSTRYSECTORGAIN (%)
Specialty RetailConsumer Discretionary-1.28
Internet Software & ServicesInformation Technology-0.86
MarineIndustrials-0.47
Oil, Gas & Consumable FuelsEnergy-0.46
IT ServicesInformation Technology-0.39

Top Contributors

COMPANYINDUSTRYSECTORGAIN (%)
Kraton Performance PolymersChemicalsMaterials0.82
Astec IndustriesMachineryIndustrials0.68
Advanced Energy IndustriesSemiconductors & Semiconductor EquipmentInformation Technology0.68
Newport CorporationElectronic Equipment, Instruments & ComponentsInformation Technology0.67
Mueller Water Products Cl. AMachineryIndustrials0.62

Top Detractors

COMPANYINDUSTRYSECTORGAIN (%)
Ascena Retail GroupSpecialty RetailConsumer Discretionary-0.60
Monster WorldwideInternet Software & ServicesInformation Technology-0.52
TRC CompaniesCommercial Services & SuppliesIndustrials-0.43
CIBERIT ServicesInformation Technology-0.35
Ruby TuesdayHotels, Restaurants & LeisureConsumer Discretionary-0.35
SECTOR NAMEAVERAGE WEIGHT (%)TOTAL RETURN (%)CONTRIBUTION TO RETURN (%)
Information Technology
28.98
35.63
9.91
Industrials
21.95
19.41
4.35
Financials
8.60
32.25
2.49
Health Care
4.33
50.51
1.97
Materials
8.71
0.75
1.09
Consumer Staples
1.49
29.65
0.51
Real Estate
1.22
37.59
0.45
Telecommunication Services
0.59
19.79
0.16
Utilities
0.09
36.90
0.05
Consumer Discretionary
14.55
-13.11
-2.41
Energy
3.41
-63.41
-2.62
Cash
6.08
0.29
0.02

Top Contributors

INDUSTRYSECTORGAIN (%)
Semiconductors & Semiconductor EquipmentInformation Technology8.20
Electronic Equipment, Instruments & ComponentsInformation Technology2.70
Building ProductsIndustrials1.97
MachineryIndustrials1.95
BanksFinancials1.61

Top Detractors

INDUSTRYSECTORGAIN (%)
Specialty RetailConsumer Discretionary-2.53
Oil, Gas & Consumable FuelsEnergy-1.88
MarineIndustrials-1.50
IT ServicesInformation Technology-1.23
Metals & MiningMaterials-1.03

Top Contributors

COMPANYINDUSTRYSECTORGAIN (%)
Advanced Energy IndustriesSemiconductors & Semiconductor EquipmentInformation Technology1.02
Central Garden & PetHousehold ProductsConsumer Staples0.80
Mercury SystemsAerospace & DefenseIndustrials0.73
MaxLinear Cl. ASemiconductors & Semiconductor EquipmentInformation Technology0.73
Kraton Performance PolymersChemicalsMaterials0.73

Top Detractors

COMPANYINDUSTRYSECTORGAIN (%)
A. M. Castle & Co.Metals & MiningMaterials-0.69
Ascena Retail GroupSpecialty RetailConsumer Discretionary-0.54
Rubicon TechnologySemiconductors & Semiconductor EquipmentInformation Technology-0.50
Comtech TelecommunicationsCommunications EquipmentInformation Technology-0.50
Unisys CorporationIT ServicesInformation Technology-0.50
SECTOR NAMEAVERAGE WEIGHT (%)TOTAL RETURN (%)CONTRIBUTION TO RETURN (%)
Industrials
20.99
159.22
29.92
Information Technology
26.62
118.87
27.86
Consumer Discretionary
16.20
122.05
27.52
Financials
9.81
146.74
13.69
Materials
8.98
97.80
12.79
Health Care
4.05
233.80
6.67
Energy
3.95
-36.03
1.63
Real Estate
1.29
99.46
1.45
Consumer Staples
1.29
62.80
1.12
Telecommunication Services
0.55
30.32
0.34
Utilities
0.05
36.90
0.05
Cash
6.19
0.41
0.03
Unclassified
0.03
11.53
0.02

Top Contributors

INDUSTRYSECTORGAIN (%)
Semiconductors & Semiconductor EquipmentInformation Technology15.02
MachineryIndustrials9.67
ChemicalsMaterials8.70
Building ProductsIndustrials8.38
Electronic Equipment, Instruments & ComponentsInformation Technology6.55

Top Detractors

INDUSTRYSECTORGAIN (%)
MarineIndustrials-1.26
Electrical EquipmentIndustrials-0.74
IT ServicesInformation Technology-0.58
Consumer FinanceFinancials-0.37
Personal ProductsConsumer Staples-0.11

Top Contributors

COMPANYINDUSTRYSECTORGAIN (%)
Cost PlusSpecialty RetailConsumer Discretionary1.80
Apogee EnterprisesBuilding ProductsIndustrials1.80
Cambrex CorporationLife Sciences Tools & ServicesHealth Care1.72
Louisiana-Pacific CorporationPaper & Forest ProductsMaterials1.64
Advanced Energy IndustriesSemiconductors & Semiconductor EquipmentInformation Technology1.58

Top Detractors

COMPANYINDUSTRYSECTORGAIN (%)
A. M. Castle & Co.Metals & MiningMaterials-0.69
Walter EnergyMetals & MiningMaterials-0.66
Monster WorldwideInternet Software & ServicesInformation Technology-0.65
Swift EnergyOil, Gas & Consumable FuelsEnergy-0.60
Ascena Retail GroupSpecialty RetailConsumer Discretionary-0.54

Risk

High Volatility vs. Peer Group as of 09/30/16

The Fund has a high volatility within its peer group of 476 Small-Cap Funds based on 5-year rolling standard deviation.

Up Market Performance Comparisonas of 09/30/16

The Fund outperformed the Russell 2000 during all four trough-to-peak periods since the Fund’s inception (11/19/96).
UpMarketImg

Capture Ratios Fund's First Full Quarter (12/31/96) to 09/30/16

Upside Capture Ratio measures a manager's performance in up markets relative to the Fund's benchmark. It is calculated by measuring the Fund's performance in quarters when the benchmark goes up and dividing it by the benchmark's return in those quarters.

Downside Capture Ratio measures a manager's performance in down markets relative to the Fund's benchmark. It is calculated by measuring the Fund's performance in quarters when the benchmark goes down and dividing it by the benchmark's return in those quarters.

Long Term Risk Measurementas of 09/30/16

From the Fund's inception, the Fund outperformed the Russell 2000 Index.

Go to Relative Risk Spectrum Tool

Morningstar Statistical Measures as of 09/30/16

Sharpe RatioStandard Deviation
Opportunity0.3524.58
Russell 20000.4019.85
Category Median0.4019.53
Best Quartile Breakpoint0.4718.65

Category Median and Best Quartile Breakpoint based on 389 small-cap objective funds (oldest class only) with at least ten years of history.
Sharpe Ratio Standard Deviation
Opportunity
Russell 2000
Category Median
Best Quartile Breakpoint

Composition

Morningstar Style Map™as of 06/30/16

mstar-RYOFX

The Morningstar Style Map is the Morningstar Style Box™ with the center 75% of fund holdings plotted as the Morningstar Ownership Zone™. The Morningstar Style Box is designed to reveal a fund's investment strategy. The Morningstar Ownership Zone provides detail about a portfolio's investment style by showing the range of stock sizes and styles. The Ownership Zone is derived by plotting each stock in the portfolio within the proprietary Morningstar Style Box. The shaded area represents the center 75% of the Fund's assets while the plot point in the middle represents the weighted average of its holdings. Over time, the shape and location of a fund's ownership zone may vary.

Portfolio Diagnosticsas of 09/30/16

  RYOFX Russell 2000
Average Market Cap
699.9M
1.50B
91%
-
2015 Portfolio Turnover
27%
-
Weighted Average P/B
1.5x
2.1x
Weighted Average P/S
0.8x
1.5x
U.S. Investments (% of Net Assets)
90.9%
-
Non-U.S. Investments (% of Net Assets)
3.9%
-

Portfolio Allocation

  • Total
    Holdings
    246


SECTORS
RYOFX (%) RUSSELL
2000 (%)
Information Technology
30.1
18.1
Industrials
24.1
14.1
Consumer Discretionary
15.4
12.6
Materials
8.6
4.7
Financials
6.0
17.4
Health Care
4.7
14.2
Energy
2.8
3.2
Consumer Staples
1.5
3.0
Real Estate
0.7
8.2
Telecommunication Services
0.6
0.7
Utilities
0.2
3.8
Cash and Cash Equivalents
5.3
-
POSITIONS% OF NET ASSETS
(SUBJECT TO CHANGE)
Brooks Automation
1.1
General Cable
1.0
Mueller Water Products Cl. A
1.0
Microsemi Corporation
1.0
Tower International
1.0
Commercial Metals
1.0
Mercury Systems
0.9
Unisys Corporation
0.9
TRC Companies
0.9
MaxLinear Cl. A
0.9
Mueller Industries
0.9
Dana
0.9
Astec Industries
0.9
Ferro Corporation
0.8
Albany Molecular Research
0.8
Advanced Energy Industries
0.8
Nanometrics
0.8
Kulicke & Soffa Industries
0.8
Kratos Defense & Security Solutions
0.8
Allscripts Healthcare Solutions
0.8
Top 20 as % of Net Assets
18.0

SECTORS
RYOFX (%) RUSSELL
2000 (%)
Information Technology
30.0
-
Industrials
24.8
-
Consumer Discretionary
15.5
-
Materials
8.5
-
Financials
6.4
-
Health Care
4.6
-
Energy
2.9
-
Consumer Staples
1.5
-
Real Estate
0.6
-
Telecommunication Services
0.6
-
Utilities
0.2
-
Cash and Cash Equivalents
4.4
-
POSITIONS% OF NET ASSETS
(SUBJECT TO CHANGE)
Brooks Automation
1.1
Mueller Water Products Cl. A
1.1
General Cable
1.1
Unisys Corporation
1.0
Mercury Systems
1.0
Commercial Metals
1.0
Microsemi Corporation
1.0
Tower International
1.0
Kulicke & Soffa Industries
0.9
Dana
0.9
TRC Companies
0.9
Mueller Industries
0.9
Albany Molecular Research
0.8
Ferro Corporation
0.8
Interface
0.8
MaxLinear Cl. A
0.8
Vishay Intertechnology
0.8
Sanmina Corporation
0.8
Wesco Aircraft Holdings
0.8
Allscripts Healthcare Solutions
0.8
Top 20 as % of Net Assets
18.3

Portfolio Holdings

View the complete list of holdings for this fund as of 09/30/16. Unaudited schedule of portfolio holdings is presented for informational purposes only.

Least Portfolio Overlap - U.S. Equity Funds

Greatest Portfolio Overlap - U.S. Equity Funds

Geographical Breakdown

Distributions

NAV & Distributions


Start DateEnd Date
to

Learn more about distributions

Distributions

RECORD
DATE
EX-DATE PAYABLE
DATE
INCOME ($) SHORT
TERM
GAINS ($)
LONG
TERM
GAINS ($)
RETURN OF
CAPITAL ($)
TOTAL ($) REINVEST
PRICE ($)
12/16/15 12/17/15 12/17/15 0.0000 - 1.0617 - 1.0617 9.94
12/16/14 12/17/14 12/17/14 0.0000 0.1123 1.8262 - 1.9385 12.35
12/04/13 12/05/13 12/05/13 0.0000 0.0218 1.5136 - 1.5354 14.25
12/05/12 12/06/12 12/06/12 0.0000 0.1317 0.5382 - 0.6699 11.05
12/07/11 12/08/11 12/08/11 0.0000 - 0.1887 - 0.1887 9.68

NAV History for

Fees & Expenses

Shareholder Fees (%)

(fees paid directly from your investment)

Maximum sales charge (load) imposed on purchases 0.00
Maximum deferred sales charge 0.00
Maximum sales charge (load) imposed on reinvested dividends 0.00
Redemption fee (as a percentage of amount redeemed on shares held for less than 30 days) 1.00

Annual Fund Operating Expenses (%)

(expenses that you pay each year as a percentage of the value of your investment)

Management fees 1.00
Distribution (12b-1) fees 0.25
Other expenses 0.24
Acquired fund fees and expenses 0.00
Total annual Fund operating expenses 1.49
Total annual Fund operating expenses may differ from the expense ratio in the Fund's Financial Highlights because they include only the Fund's direct operating expenses and do not include acquired fund fees and expenses, which reflect the estimated amount of the fees and expenses incurred indirectly by the Fund through its investments in mutual funds, hedge funds, private equity funds, and other investment companies.

Important Disclosure Information

This material is not authorized for distribution unless preceded or accompanied by a current prospectus. Please read the prospectus carefuly before investing or sending money. The Fund invests primarily in small-cap and micro-cap stocks, which may involve considerably more risk than investing in larger-cap stocks. (Please see "Primary Risks for Fund Investors" in the prospectus.) The Fund’s broadly diversified portfolio does not ensure a profit or guarantee against loss.

Sector weightings are determined using the Global Industry Classification Standard ("GICS"). GICS was developed by, and is the exclusive property of, Standard & Poor's Financial Services LLC ("S&P") and MSCI Inc. ("MSCI"). GICS is the trademark of S&P and MSCI. "Global Industry Classification Standard (GICS)" and "GICS Direct" are service marks of S&P and MSCI.

The Price-Earnings, or P/E, Ratio is calculated by dividing a company's share price by its trailing 12-month earnings-per-share (EPS). The Fund's P/E ratio calculation excludes companies with zero or negative earnings. The Price-to-Book, or P/B, Ratio is calculated by dividing a company's share price by its book value per share. Standard deviation is a statistical measure within which a fund's total returns have varied over time. The greater the standard deviation, the greater a fund's volatility. Russell Investment Group is the source and owner of the trademarks, service marks, and copyrights related to the Russell Indexes. Russell® is a trademark of Russell Investment Group. Russell Investment Group is the source and owner of the trademarks, service marks and copyrights related to the Russell Indexes. Russell© is a trademark of Russell Investment Group. The Russell 2000 is an unmanaged, capitalization-weighted index of domestic small-cap stocks. It measures the performance of the 2,000 smallest publicly traded U.S. companies in the Russell 3000 index. The performance of an index does not represent exactly any particular investment, as you cannot invest directly in an index. The performance of an index does not represent exactly any particular investment, as you cannot invest directly in an index.

Buzz Zaino lead manager since 2013 (manager 1998-2013), Bill Hench since 2013 (assistant portfolio manager 2004-2013)

5/22/2000 12:00:00 AM

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