Waddell & Reed

Fund Detail

Ivy Value Fund
Class A Shares

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Fund Facts
Ticker Symbol IYVAX
CUSIP 465898385
Fund Code 632
Fund Type Domestic Equity
Fund Inception 9/16/1994
Class Inception 9/16/1994
Fiscal Year End March
Dividends Paid December
Fund Assets (as of 6/30/2016) $279.6 mil
Total Equity Holdings (as of 6/30/2016) 38
Total Holdings (as of 6/30/2016) 42
Portfolio Turnover Rate (as of 3/31/2016) 55%
Lipper Category Large Cap Value Funds
Morningstar Category Large Value
Benchmarks Russell 1000 Value TR USD
Daily Prices
as of 7/28/2016
Net Asset Value (NAV) $20.33
NAV Change ($) $0.01
NAV Change (%) 0.05%
Weekly NAV Change ($) $0.07
Weekly NAV Change (%) 0.35%
Public Offering Price (POP) $21.57
Historical Prices & Distributions
Please select a date
Fund Description

Finding opportunity in value

Focused approach
Focuses on long-term appreciation by seeking out companies that are undervalued relative to their perceived longer-term potential.
Experienced management
Manager has more than 20 years of industry experience and a keen insight into the value segment of the equities market.
Potential benefits
Offers portfolio diversification with exposure to the value sector of the market. Diversification cannot ensure a profit or protect against loss in a declining market.
Morningstar Style Box
Source: Morningstar
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.

Performance at NAV does not include the effect of sales charges. Class A shares, including sales charges, reflects the maximum applicable front-end sales load.

Monthly Rates of Return
(Returns for periods of less than 1-yr are not annualized)
Average Annual Total Returns
as of 6/30/2016
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV -1.99% -5.70% 6.01% 7.99% 5.54% 6.52%
Fund with 5.75% sales charge -7.64% -11.11% 3.94% 6.71% 4.91% 6.23%
Russell 1000 Value TR USD 6.30% 2.86% 9.87% 11.35% 6.13% 9.52%
Lipper Large Cap Value Funds 2.98% -1.21% 7.94% 9.34% 5.33% N/A
Quarterly Rates of Return
(Returns for periods of less than 1-yr are not annualized)
Average Annual Total Returns
as of 6/30/2016
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV -1.99% -5.70% 6.01% 7.99% 5.54% 6.52%
Fund with 5.75% sales charge -7.64% -11.11% 3.94% 6.71% 4.91% 6.23%
Russell 1000 Value TR USD 6.30% 2.86% 9.87% 11.35% 6.13% 9.52%
Lipper Large Cap Value Funds 2.98% -1.21% 7.94% 9.34% 5.33% N/A
Expense Ratios
as of 7/31/2015
Net 1.27%
Gross 1.27%
Growth of a $10,000 Investment
through 6/30/2016
 Value A
 Russell 1000 Value TR USD

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 6/30/2016
Category: Large Cap Value Funds
  Rank Percentile
1 Year 422 / 494 86
3 Year 372 / 436 86
5 Year 319 / 394 81
10 Year 127 / 285 45

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

Morningstar Ratings
as of 6/30/2016
Category: Large Value
Overall (out of 1169 Large Value)
3 Year (out of 1169 Large Value)
5 Year (out of 1030 Large Value)
10 Year (out of 756 Large Value)

Ratings are based on risk-adjusted returns.

Portfolio Composition
(as a % of net assets as of 6/30/2016)
Domestic Common Stock 89.82%
Cash and Cash Equivalents 5.50%
Foreign Common Stock 4.68%
Sector Allocation
(as a % of equity holdings as of 6/30/2016)
Financials 34.7%
Health Care 15.9%
Information Technology 12.2%
Energy 10.3%
Consumer Discretionary 10.3%
Consumer Staples 7.7%
Utilities 5.2%
Materials 3.4%
Industrials 0.3%
Equity Country Allocation
(as a % of equity holdings as of 6/30/2016)
United States 95.0%
Israel 3.1%
United Kingdom 1.9%
Top 10 Equity Holdings
(as a % of net assets as of 6/30/2016)
Citigroup Inc. (Citigroup) is a global diversified financial services holding company. Citigroup businesses provide consumers, corporations, governments and institutions with a range of financial products and services.Citigroup, Inc. 4.71%
JPMorgan Chase & Co. (JPMorgan Chase) is a financial holding company.JPMorgan Chase & Co. 4.67%
Microsoft Corporation is a multinational computer technology corporation that develops, manufactures, licenses and supports a wide range of software products for computing devices.Microsoft Corp. 4.24%
Duke Energy Corp. 3.73%
Capital One Financial Corporation operates as the bank holding company, provides various financial products and services to consumers, small businesses, and commercial clients in the United States, Canada, and the United Kingdom.Capital One Financial Corp. 3.68%
American International Group, Inc. (AIG) is an international insurance company with customers in over 130 countries. The Company serves commercial, institutional, individual customers through property-casualty networks of any insurer, and provides life insurance, retirement services in the U.S.American International Group, Inc. 3.65%
MetLife, Inc. (MetLife), is a provider of insurance, annuities and employee benefit programs, serving 90 million customers in over 50 countries.MetLife, Inc. 3.34%
The Dow Chemical Company engages in the manufacture and sale of chemicals, plastic materials, agricultural, and other specialized products and services worldwide.Dow Chemical Co. (The) 3.22%
Comcast Corporation operates as a media and technology company worldwide. It operates through cable communications, cable networks, broadcast television, filmed entertainment, and theme parks segments.Comcast Corp., Class A 3.08%
Hess Corp. 2.98%
Total Portfolio Holdings
(updated quarterly, upon availability)

View | Download (as of 6/30/2016)
Top 10 Industry Allocation
(as a % of equity holdings as of 6/30/2016)
Other Diversified Financial Services 9.9%
Managed Health Care 7.1%
Consumer Finance 6.2%
Electric Utilities 5.2%
Integrated Oil & Gas 4.8%
Systems Software 4.5%
Multi-Line Insurance 3.9%
Life & Health Insurance 3.5%
Diversified Chemicals 3.4%
Cable & Satellite 3.3%

Risk Factors: 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: Russell 1000 Value is an unmanaged index comprised of securities that represent the large cap sector of the stock market. It is not possible to invest directly in an index.

The Advantus Cornerstone Fund merged into the Ivy Value Fund on Dec. 8, 2003. The performance shown for periods prior to this date is that of the Advantus Cornerstone Fund Class A shares, restated to reflect current sales charges applicable to Ivy Value Fund Class A shares. Performance has not been restated to reflect the fees and expenses applicable to the Ivy Value Fund. If these expenses were reflected, performance shown would differ.

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.

Unsubsidized yields reflect what the yield would have been without the effect of reimbursements and waivers. The adviser and its affiliates have or may voluntarily waive a portion of their fees (including, but not limited to, distribution and service (12b-1) fees) and reimburse certain expenses. There is no guarantee that the fund will avoid a negative yield. Such undertaking may be amended or withdrawn at any time.

30-Day SEC Yield: is calculated based on a formula mandated by the Securities and Exchange Commission (SEC) that calculates a fund's hypothetical annualized income, as a percentage of its assets. A security's income, for the purposes of this calculation, is based on the current market yield to maturity (in the case of bonds) or projected dividend yield (for stocks) of the fund's holdings over a trailing 30 day period. This hypothetical income will differ (at times, significantly) from the fund's actual experience; as a result, income distributions from the fund may be higher or lower than implied by the SEC yield.

12-Month Trailing Distribution Yield: at NAV refers to the 12-month historical cash flow paid over the past 12 months in dividends, divided by the past months ending NAV.

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.

Please remember that an investment in a mutual fund involves risk. Investment return and principal value of a mutual fund investment will fluctuate, and shares, when redeemed, may be worth more or less than their original cost.

YTD Prices can be updated 3 to 4 hours after the Daily Pricing information which can result in mismatching data.

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