Aggressive Growth Allocation Strategy

 ACI
CUSIP76628R39176628R37576628R417
TickerSLAAXCLVLXCVMGX
Share Class Inception12/31/199212/31/199212/31/1992
Exp Ratio1.422.121.12
NAV7.006.917.04
POP7.436.917.04
NAV Change 0.02 0.02 0.03

Performance inception and share class inception for this fund differs as performance inception includes the performance of other classes of the Fund and/or predecessors of the Fund.

Morningstar Ratings as of 5/31/10

Aggressive Growth Allocation Strategy I Shares received a Morningstar rating.

I Shares received a 4-star rating for overall performance, 4 stars for 3-year performance among 1,820 funds, 4 stars for 5-year performance among 1,462 funds and 4 stars for 10-year performance among 772 funds.

Peer Group Categories

Morningstar: Large Blend
Lipper: Multi-Cap Core Funds

Fund Resources

Printable Version Download Holding Data
Security CUSIP Shares Traded Market Value % of Holding ↓
RW LARGE CAP VALUE EQUITY 76628R672 422,824 $4,401,599.03 17.86%
RW LARGE CAP CORE EQUITY 76628R771 382,895 $4,395,637.34 17.84%
RW LARGE CAP GROWTH STOCK 76628R748 270,534 $2,250,849.73 9.13%
RW SELECT LARGE CAP GRWTH 76628R540 92,143 $2,230,792.59 9.05%
RW LARGE CAP QUAT EQUITY 76628R714 219,199 $2,069,239.15 8.39%
RW US EQUITY 130/30 76628R441 148,942 $1,169,197.86 4.74%
RW INTERNATIONAL 130/30 76628R870 195,072 $1,121,664.55 4.55%
RW MID CAP EQUITY 76628R649 101,587 $910,221.07 3.69%
RW SMALL CAP VALUE EQUITY 76628R474 83,507 $906,887.62 3.68%
RW SMALL CAP GROWTH 76628R516 76,540 $900,119.97 3.65%
RW MID CAP VALUE 76628R615 87,834 $870,438.84 3.53%
RW AGGRESSIVE GROWTH 76628R102 74,749 $853,642.25 3.46%
RW INTL EQUITY INDEX 76628R813 75,288 $814,625.04 3.30%
RW REAL ESTATE 130/30 76628R573 104,190 $730,374.58 2.96%
MARKET VECTORS GOLD MINRS 57060U100 10,500 $545,580.00 2.21%
RW INST CASH MGMT MONEY 76628T264 238,863 $238,863.11 0.96%
ISHARES MSCI EMERKT INDEX 464287234 6,041 $225,450.12 0.91%
ISHARES S&P 500 INDEX 464287200 39 $4,034.94 0.01%

As of 6/30/2010.
Holdings subject to change.

Portfolio holdings are subject to change daily without notice and may not represent current or future portfolio composition. The holdings presented above include those directly held by the Fund and exclude cash, cash equivalents, collateral held on behalf of the RidgeWorth Funds’ securities lending program, as well as certain other assets and liabilities. Unlike the fund’s regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, the information provided may differ from a fund’s holdings disclosed in its annual/semi-annual report and Form N-Q due to the exclusions noted above.

For information related to the Fund’s collateral investments and other items mentioned above, please refer to the most recent Form N-Q or the annual/semi-annual report. Forms N-Q are available on the SEC’s website at www.sec.gov.

  1. Value Equity
  2. Core Equity
  3. Growth Equity
  4. International & Alternative Equity
  5. Fixed Income (Taxable)
  6. Fixed Income (Tax Free)
  7. Money Market & Ultra-Short Bonds
  8. Asset Allocation
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