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S&P 500 Index Fund

The Armada S&P 500 Index Fund is for investors who would like their portfolios to replicate the performance of Standard & Poor's 500 Composite Index (S&P 500 Index) * as closely as possible. The Fund invests in substantially all of the stocks that comprise the S&P 500 Index, in approximately the same percentages.  For historical H Share performance, click here.
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PRICE  ( as of 2/9): $10.24
S&P 500 Index Fund
Average Annual Total Returns
     as of 12/31/2004
  Inception
Date
Current
Quarter End
YTD 1 Year 3 Year 5 Year 10 Year Since
Inception
A Shares 10/15/98 6.47% 7.48% 7.48% 2.14% -3.32% N/A 1.29%
B Shares 01/04/00 3.95% 4.50% 4.50% 0.84% -3.98% N/A 0.91%
C Shares 01/17/00 7.93% 8.49% 8.49% 2.16% -3.59% N/A 0.92%
I Shares 07/10/98 9.23% 10.65% 10.65% 3.24% -2.59% N/A 1.96%
R Shares 08/01/03 8.23% 9.21% 9.21% 2.59% -3.19% N/A 1.34%
S&P 500 Composite Index* 9.23% 10.88% 10.88% 3.59% -2.30% 12.07% N/A

Total returns reflect reinvestment of dividends, capital gains and deduction of applicable sales charges, operating expenses and fees. Returns also reflect a voluntary fee waiver of .15%. Without such a fee waiver, performance of the Fund would have been lower. Inception dates for Class A, B, C and R shares are 10/15/98, 1/04/00, 1/17/00 and 8/1/03 respectively. All performance shown for each share class prior to each respective inception date is based on the performance of Class I shares, adjusted to reflect each share class’s fees, expenses and maximum sales charges.

The maximum sales charge for class A shares is 5.50%. Class B shares have a maximum contingent deferred sales charge of 5.00%. Class C shares do not have a front-end sales charge, but do have a 1.00% charge on the redemption of shares that are held for less than 18 months. Class R shares do not have a front-end sales charge, but do have a 0.75% charge on the redemption of shares that are held less than 18 months.

Performance quoted represents past performance and does not guarantee future results. Investment return and principal value will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than that shown here. Performance data current to the most recent month-end is available at www.armadafunds.com.

S&P 500 Index Fund Quarterly Fund Fact Sheet - A, B, C Shares,  I Shares,  R Shares


Investment Objective

Armada S&P 500 Index Fund seeks investment results that, after fund expenses, approximate the average aggregate price and dividend performance of the securities in the S&P 500 Index.

Risk & Reward
Asset Class Comparison


Compare this Fund to other Armada Funds

Fund Statistics


Class A Shares
Cusip Number 042086637
NASDAQ Symbol AEXAX
Inception Date 10/15/1998
Dividends Frequency Quarterly

as of 2/9/2005
Net Asset Value as of 2/9/2005 $10.24
Net Asset Value past 12 months
High: $10.41
Low: $9.14
Public Offering Price $10.50

as of 12/31/2004
Dividends Paid ($ per share)
Past Quarter:
Current Year:
 
$0.1702
$0.0000
Total Net Assets (millions) $418.98

Top 10 Equity Holdings+

as of 1/31/2005  (% of total net assets)
Holdings are Subject to Change.

GENERAL ELECTRIC 3.23%
EXXON MOBIL CORP 2.81%
MICROSOFT 2.41%
CITIGROUP INC 2.15%
WAL-MART STORES 1.87%
JOHNSON & JOHNSON 1.62%
BANK OF AMERICA CORP 1.58%
PFIZER INC 1.54%
AMERICAN INTERNATIONAL GROUP 1.46%
INTERNATIONAL BUSINESS MACHINE 1.31%

Investment Strategy

Armada S&P 500 Index Fund’s management team strives to replicate the performance of the Standard & Poor’s 500 Composite Index (S&P 500 Index)* by utilizing passive management techniques and a small active overlay. The vast majority of fund assets are managed passively with the objective of obtaining returns that, before fund expenses, approximate the index. This is accomplished by owning at least 400 of the 500 stocks included in the Index, in approximately the same percentages. A small percentage of fund assets are managed using quantitative stock selection methodologies with the objective of earning a return spread over the index that is approximately equal to fund expenses.

Growth of a $10,000 Investment


Provides a graphical view of this Fund’s growth of $10,000 with an adjustment for sales charges and expenses, where applicable from the Fund’s inception. The graph illustrates growth of principal including reinvestment of dividends and capital gains.


Economic Sector Weightings+


FINANCIALS 19.82%  
INFORMATION TECHNOLOGY 15.48%  
HEALTHCARE 12.05%  
INDUSTRIALS 11.21%  
CONSUMER DISCRETIONARY 11.20%  
CONSUMER STAPLES 10.03%  
ENERGY 7.25%  
FUTURES 3.38%  
UTILITIES 2.95%  
MATERIALS 2.95%  
TELECOMMUNICATIONS 2.90%  
CASH & CASH EQUIVALENTS 0.78%  


Index Comparison

Compare this fund’s performance, over various time periods, to the index of your choice. Just select the time period and index from the drop-down menus. Please keep in mind, the indexes shown are benchmarks for performance and direct investment is not possible.


Management Team

At Armada, specialization is the key to our investment management philosophy. Our portfolio managers and research analysts work in independent teams. Each team focuses on a single sector or investment style. Their dedication and clear focus are reflected in the unwavering style purity of our funds.

Rita Ontko  Quantitative Analyst


Armada Fund Family

Treasury Money Market Fund Treasury Plus Money Market Fund Tax Exempt Money Market Fund PA Tax Exempt Money Market Fund OH Municipal Money Market Fund Government Money Market Fund Money Market Fund Mid Cap Growth Fund Small Cap Growth Fund Small Cap Core Fund Large Cap Growth Fund Small Cap Value Fund S&P 500 Index Fund Large Cap Core Equity Fund Mid Cap Value Fund International Equity Fund Large Cap Value Fund Aggressive Allocation Fund Balanced Allocation Fund Conservative Allocation Fund Total Return Advantage Fund Bond Fund Government Mortgage Fund Intermediate Bond Fund Ultra Short Bond Fund Limited Maturity Bond Fund Intermediate Tax Exempt Bond Fund PA Intermediate Municipal Bond Fund OH Intermediate Tax Exempt Bond Fund MI Intermediate Municipal Bond Fund

*The S&P 500 Composite Index, a widely-used, unmanaged index of 500 common stocks, is not available for direct investment. Unlike a mutual fund, the performance of an index assumes no taxes, transaction costs, management fees or other expenses.

+The composition of the portfolio is as of 1/31/2005 and is for illustration purposes only. The composition of the portfolio is not a permanent reflection of the Fund. Under normal circumstances, the Fund will invest at least 80% of the value of its net assets in equity securities. Economic sector weightings may not total 100%.

All market data and information is provided by Standard & Poor's and is for informational purposes only. Armada does not guarantee that the information supplied is accurate, complete or timely, or make any warranties regarding the results obtained by its use.

 

NOT FDIC INSURED · NO BANK GUARANTEE · MAY LOSE VALUE

You should consider the investment objectives, risks, charges and expenses of the Armada Funds carefully before investing. A prospectus may be downloaded and viewed with this and other information about the Funds or may be obtained by contacting an investment professional or by calling 1-800-622-FUND (3863.) Please read it carefully before you invest or send money.

National City Investment Management Company (IMC) serves as investment adviser to Armada Funds for which it receives an investment advisory fee. Shares of Armada Funds are distributed by Professional Funds Distributor, LLC (PFD), 760 Moore Road, King of Prussia, PA 19406. PFD is not affiliated with IMC and is not a bank.



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