Waddell & Reed

Fund Detail

WRA Accumulative Fund
Class A Shares

Please select a fund and share class

Fund Facts
Ticker Symbol UNACX
CUSIP 930057880
Fund Code 623
Fund Type Domestic Equity
Fund Inception 10/9/1940
Class Inception 10/9/1940
Fiscal Year End December
Dividends Paid June, December
Fund Assets (as of 8/31/2014) $1.4 bil
Total Equity Holdings (as of 8/31/2014) 85
Total Holdings (as of 8/31/2014) 89
Lipper Category Multi-Cap Core Funds
Morningstar Category Large Growth
Benchmarks S&P 500 TR USD
Daily Prices
as of 9/29/2014
Net Asset Value (NAV) $11.81
NAV Change ($) ($0.03)
NAV Change (%) -0.25%
Weekly NAV Change ($) ($0.03)
Weekly NAV Change (%) -0.25%
Public Offering Price (POP) $12.53
Historical Prices & Distributions
Please select a date
Fund Description
Fund Objective
To seek to provide capital growth and appreciation.

Investment Approach
Our investment style is based on a blend between bottom-up fundamental stock and sector analysis, coupled with a top-down macroeconomic perspective that we use to guide our selection of industries and sector weightings. The Fund may emphasize a blend of value and growth potential in selecting stocks. We look at a number of factors in selecting securities, including stability and predictability of earnings and/or revenue, improvement in profitability and market share, and sustainable generation of cashflows from operations.
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 Average Annual Total Returns
as of 8/31/2014
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV 9.82% 27.04% 18.27% 15.66% 8.36% 10.38%
Fund with 5.75% sales charge 3.55% 19.69% 15.94% 14.29% 7.72% 10.29%
S&P 500 TR USD 9.89% 25.25% 20.61% 16.88% 8.38% N/A
Quarterly Rates of Return Average Annual Total Returns
as of 6/30/2014
  YTD 1yr 3yr 5yr 10yr Life
Fund at NAV 7.71% 28.26% 14.45% 17.02% 7.67% 10.37%
Fund with 5.75% sales charge 1.56% 20.89% 12.23% 15.64% 7.04% 10.29%
S&P 500 TR USD 7.14% 24.61% 16.58% 18.83% 7.78% N/A
Lipper Multi-Cap Core Funds 6.30% 24.28% 14.34% 17.68% 7.59% N/A
Expense Ratios
as of 10/31/2013
Net 1.20%
Gross 1.20%
Growth of a $10,000 Investment
through 8/31/2014
 Accumulative A
 S&P 500 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 8/31/2014
Category: Multi-Cap Core Funds
  Rank Percentile
1 Year 105 / 766 14
3 Year 427 / 683 63
5 Year 320 / 585 55
10 Year 191 / 375 51

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

Morningstar Ratings
as of 8/31/2014
Category: Large Growth
Overall (out of 1500 Large Growth)
3 Year (out of 1500 Large Growth)
5 Year (out of 1329 Large Growth)
10 Year (out of 906 Large Growth)

Ratings are based on risk-adjusted returns.

Holdings
Portfolio Composition
(as a % of net assets as of 8/31/2014)
Domestic Common Stock 89.88%
Foreign Common Stock 9.32%
Cash and Cash Equivalents 0.80%
Sector Allocation
(as a % of equity holdings as of 8/31/2014)
Consumer Discretionary 29.7%
Health Care 18.6%
Industrials 15.7%
Information Technology 15.6%
Energy 7.9%
Consumer Staples 7.0%
Financials 4.6%
Materials 1.0%
Top 10 Equity Holdings
(as a % of net assets as of 8/31/2014)
Apple Inc., together with subsidiaries, designs, manufactures, and markets personal computers, mobile communication devices, and portable digital music and video players, as well as sells various related software, services, peripherals, and networking solutions worldwide.Apple, Inc. 5.6%
Allergan, Inc. discovers, develops, and commercializes specialty pharmaceuticals, medical devices, and over-the-counter products for specialty markets worldwide.Allergan, Inc. 3.0%
Kansas City Southern (KCS) is a transportation holding company that has railroad investments in the United States, Mexico and Panama. In the United States, the Company serves the central and south central United States. Its international holdings serve portions of Central America.Kansas City Southern 3.0%
Canadian Pacific Railway Limited, through its subsidiaries, operates as a transcontinental railway providing freight transportation services, logistics solutions, and supply chain expertise in Canada and the United States.Canadian Pacific Railway Ltd. 2.7%
Harley-Davidson, Inc. operates in two segments: the Motorcycles and Related Products segment and the Financial Services segment.Harley-Davidson, Inc. 2.2%
JPMorgan Chase & Co. (JPMorgan Chase) is a financial holding company.JPMorgan Chase & Co. 2.2%
Precision Castparts Corp. (PCC) is a manufacturer of complex metal components and products, provides investment castings, forgings and fasteners/fastener systems for aerospace and industrial gas turbine (IGT) applications.Precision Castparts Corp. 2.1%
CBS Corporation (CBS Corp.) is a mass media company with operations in Entertainment, Cable Networks, Publishing, Local Broadcasting and Outdoor segments.CBS Corp., Class B 2.1%
Applied Materials, Inc. provides nanomanufacturing technology solutions for the semiconductor, flat panel display, solar, and related industries worldwide.Applied Materials, Inc. 2.0%
Costco Wholesale Corporation operates membership warehouses that offer a selection of branded and private label products in a range of merchandise categories in no-frills, self-service warehouse facilities.Costco Wholesale Corp. 2.0%
Total Portfolio Holdings
(updated quarterly, upon availability)

View | Download (as of 6/30/2014)

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: S&P 500 - An unmanaged index of common stocks. 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.

Financial Advisor Opportunities
Corporate Careers