Waddell & Reed

Fund Detail

Ivy Global Natural Resources Fund
Class E Shares

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Fund Facts
Ticker Symbol IGNEX
CUSIP 465899409
Fund Code 412
Fund Type Specialty Funds
Fund Inception 1/2/1997
Class Inception 4/2/2007
Fiscal Year End March
Dividends Paid December
Fund Assets (as of 4/30/2013) $2.4 bil
Total Equity Holdings (as of 4/30/2013) 61
Total Holdings (as of 4/30/2013) 82
Lipper Category Global Natural Resources Funds
Morningstar Category Natural Resources
Benchmarks Morgan Stanley Commodity Relate
MSCI ACWI IMI ENRGY 55 MATERIALS 45
Daily Prices
as of 5/20/2013
Net Asset Value (NAV) $17.99
NAV Change ($) $0.18
NAV Change (%) 1.01%
Weekly NAV Change ($) $0.18
Weekly NAV Change (%) 1.01%
Public Offering Price (POP) $19.09
Historical Prices & Distributions
Please select a date
Fund Description
Fund Objective
To seek to provide capital growth and appreciation.

Investment Approach
The Fund's subadvisor uses an equity style that focuses on both growth and value, as well as utilizing both a top-down (the creation of macro-economic models to prepare an outlook for economic and market conditions) and a bottom-up (fundamental, company by company) approach. The sub advisor targets companies that, in its opinion, have strong management and financial positions, adding balance with established low-cost, low-debt producers or positions that are based on anticipated commodity price trends.
Morningstar Style Box
Morningstar Style Box
Returns and Expenses

Data quoted is past performance and current performance may be lower or higher. Past performance is no guarantee of future results. Investment return and principal value of an investment will fluctuate, and shares, when redeemed, may be worth more or less than their original cost.

Class E shares are subject to an initial sales charge of 5.75 percent when purchased for your InvestEd Plan account; it also features a step down structure of lowering the initial sales charge based on the amount of your investment.

Monthly Rates of Return Average Annual Total Returns
as of 4/30/2013
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV 0.93% -2.47% -2.25% -9.23% N/A -2.88%
Fund with maximum 5.75% sales charge -4.87% -8.08% -4.16% -10.30% N/A -3.82%
Morgan Stanley Commodity Relate
(as of 4/30/2013)
0.53% -0.54% 1.22% -1.55% 14.05% 4.49%
MSCI ACWI IMI ENRGY 55 MATERIALS 45
(as of 4/30/2013)
-0.54% -0.35% 2.55% -2.96% 12.91% 2.16%
Lipper Global Natural Resources Funds
(as of 4/30/2013)
1.33% -1.31% -0.59% -6.90% 13.01% 0.19%
Quarterly Rates of Return Average Annual Total Returns
as of 3/31/2013
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV 5.18% 0.91% -1.14% -6.86% N/A -2.25%
Fund with maximum 5.75% sales charge -0.87% -4.89% -3.08% -7.95% N/A -3.21%
Expense Ratios
as of 7/31/2012
Net 1.27%
Gross 2.03%
Growth of a $10,000 Investment
through 4/30/2013

Assumes an investment over 10 years or life of the share class, reinvestment of dividends and capital gains, and does not include the effect of sales charges or taxes.

Ratings and Rankings
Lipper Rankings
as of 4/30/2013
Category: Global Natural Resources Funds
  Rank Percentile
1 Year 82 / 150 55
3 Year 87 / 119 73
5 Year 74 / 89 83

Rankings are based on average annual total returns, but do not consider sales charges.

Morningstar Ratings
as of 4/30/2013
Category: Natural Resources
Overall (out of 118 Natural Resources)
3 Year (out of 118 Natural Resources)
5 Year (out of 100 Natural Resources)
10 Year (out of 42 Natural Resources)

Ratings are based on risk-adjusted returns.

Holdings
Portfolio Composition
(as a % of net assets as of 4/30/2013)
Domestic Common Stock 56.18%
Foreign Common Stock 33.31%
Cash and Cash Equivalents 10.51%
Preferred Stock 0.00%
Sector Allocation
(as a % of equity holdings as of 4/30/2013)
Energy 64.3%
Materials 32.4%
Industrials 2.4%
Information Technology 1.0%
Utilities 0.0%
Country Allocation
(as a % of equity holdings as of 4/30/2013)
United States 62.8%
United Kingdom 11.2%
Canada 10.9%
Cyprus 3.8%
Switzerland 3.5%
Netherlands 2.1%
China 2.0%
South Korea 1.7%
Italy 0.8%
Luxembourg 0.4%
Australia 0.4%
Brazil 0.2%
Russia 0.2%
Top 10 Equity Holdings
(as a % of net assets as of 4/30/2013)
Anadarko Petroleum Corporation is an independent oil/gas exploration/production company, with 2.3 billion barrels of oil equivalent of proved reserves as of 12.31.09, utilizing 3 operating segments: Oil/gas exploration/production, Midstream and Marketing.Anadarko Petroleum Corporation 4.8%
Cameron International Corporation provides flow equipment products, systems, and services to oil and gas, and process industries worldwide.Cameron International Corporation 4.7%
Halliburton Company provides various products and services to the energy industry for the exploration, development, and production of oil and gas properties worldwide.Halliburton Company 4.0%
First Quantum Minerals Ltd. is engaged in the business of mineral exploration, development and mining in Africa. The Company produces LME grade A copper cathode, copper in concentrate, gold and sulfuric acid.First Quantum Minerals Ltd. 3.9%
Schlumberger Limited operates as an oilfield services company in the United States and internationally.Schlumberger Limited 3.4%
Ocean Rig UDW Inc. 3.4%
Rio Tinto Plc is an international business involved in each stage of metal and mineral production. The company produces aluminum, copper, diamonds, coal, iron ore, uranium, gold and industrial minerals (borates, titanium dioxide, salt, talc and zircon).Rio Tinto plc 3.3%
Pioneer Natural Resources Company (Pioneer) is an independent oil and gas exploration and production company with operations in the United States and South Africa.Pioneer Natural Resources Company 3.2%
Noble Corporation is an offshore drilling contractor for the oil and gas industry. The Company performs contract drilling services with its fleet of 79 mobile offshore drilling units and one floating production storage and offloading unit (FPSO) located globally.Noble Corporation 3.2%
Marathon Oil Corporation (Marathon) is an integrated international energy company engaged in exploration and production; oil sands mining; integrated gas, and refining, marketing and transportation.Marathon Oil Corporation 3.1%
Total Portfolio Holdings
(updated quarterly, upon availability)

View | Download (as of 3/31/2013)

Risk Factors: As with any mutual fund, the value of the Fund's shares will change, and you could lose money on your investment. An investment in the Fund is not a bank deposit and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. These and other risks are more fully described in the fund's prospectus. Not all funds or fund classes may be offered at all broker/ dealers.

Pricing: All prices and year-to-date returns are based on closing quotes unless noted, as supplied to the NASDAQ by 6:00 p.m. Eastern time.

Stylebox: The Morningstar Equity style box reveals a fund's investment strategy by displaying the fund's investment style and the market capitalization of the stocks owned.

Index Description: Morgan Stanley Commodities Index is an unmanaged index comprised of securities that represent the commodities sector of the stock market. It is not possible to invest directly in an index.

Performance results for some funds may include the effect of expense reduction arrangements. If those arrangements had not been in place, the performance results would have been lower.

Morningstar Ratings: For each fund with at least a 3-year history, Morningstar calculates a risk-adjusted return measure that accounts for variation in a fund's monthly performance (including the effects of all sales charges), placing emphasis on downward variations and rewarding consistent performance. The top 10% of funds in each category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars and the bottom 10% receive 1 star. (Each share class is counted as a fraction of one fund and rated separately.) A fund's overall rating is derived from a weighted average of the 3-, 5- and 10-year (if applicable) rating metrics. Morningstar Rating is for the share classes specified; other classes may have different performance characteristics.

Information is subject to change and is not intended to represent any past or future investment recommendations.

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