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What do the boxes mean?
The style box represents the fund's investment objective and is not reflective of the historical or current holdings of the portfolio.
Emerging Growth Stock

 AI
CUSIP76628R80576628R706
TickerSCEAXSEGTX
Share Class Inception2/23/20042/23/2004
Exp Ratio1.741.44
NAV13.0713.42
POP13.8713.42
NAV Change 0.11 0.11

Complementary Fund

Morningstar Ratings as of 12/31/11

Emerging Growth Stock I Shares received a Morningstar rating.

I Shares received a 2-star rating for overall performance, 3 stars for 3-year performance among 659 funds and 2 stars for 5-year performance among 596 funds. For the 10-year period ending 12/31/11, the Morningstar Rating is not available.

Peer Group Categories

Morningstar: Mid-Cap Growth
Lipper: Mid-Cap Growth

Fund Resources

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and net asset value will fluctuate so that an investor's shares, when redeemed may be worth more or less than the original cost.

Investment performance may reflect voluntary fee waivers which may be discontinue at any time. Without these fee waivers performance would have been lower.

Stocks are generally more volatile than bonds, but may offer greater return potential. Investments in small/mid-cap companies may involve considerably more risk than investments in large-cap companies. The net asset value per share of these funds will fluctuate as the value of the securities in the portfolio changes. Read our description of share classes and share values (NAV and POP).

Monthly as of 12/31/11 YTD
as of
02/02/2012
MTD 3 Month 1
Year
3
Years
5
Years
10
Years
Since Inception
A NAV 15.56 -5.20 2.35 -17.81 19.43 0.87 N/A 3.34   
A POP 8.92 -10.66 -3.50 -22.53 17.06 -0.32 N/A 2.56   
I NAV 15.59 -5.22 2.47 -17.54 19.76 1.17 N/A 3.66   
Quarterly as of 12/31/11 YTD 1
Year
3
Years
5
Years
10
Years
Since Inception Gross Expense Ratio Net Expense Ratio
A NAV 15.56 -17.81 19.43 0.87 N/A 3.34 1.74 1.54
A POP 8.92 -22.53 17.06 -0.32 N/A 2.56   
I NAV 15.59 -17.54 19.76 1.17 N/A 3.66 1.44 1.24
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