Mutual Funds

Rainier International Discovery Series

Investment Objective

To provide investors with long-term capital appreciation by investing primarily in the common stock of small- to mid-capitalization companies located outside the U.S.

Investment Strategy

The Series is primarily invested in the common stock of small- and mid-capitalization companies traded outside the U.S. Rainier typically selects investments that fall within the market capitalization range of the MSCI ACWI ex USA Small Cap Index at the time of purchase. The Team will invest in any type of company whether it is in the index or not, as long as it is within the market cap range and fits the investment objectives. To control risk, extreme overweighting or underweighting of the Series relative to the Index is normally avoided.

Investment decisions are based on fundamental analysis, which emphasizes bottom-up stock selection of companies that exhibit strong growth, clear key earnings drivers and attractive valuations. The investment team evaluates companies across all sectors and regions using this growth and valuation criteria.

May be Appropriate for Investors

  • Seeking a long-term (15 years or more) investment and who are willing to accept the risk of investing in foreign equity securities
  • Seeking to diversify a portfolio by adding a foreign equity component

Daily Price

$30.12

Daily $ Change

-$0.19

Daily % Change

-0.63%

as of 10/08/2026

Ticker

RAIWX

CUSIP

56382R381

Inception Date

03/01/2019

This fund is only available to discretionary investment accounts and other accounts managed by the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Proxy Voting Record
Applications & Forms
N-Port Part F Reports

Performance

As of 09/30/2026

YTD

7.87%

1 Year

7.43%

3 Year

15.39%

5 Year

2.29%

10 Year

8.95%

Inception
(03/28/2012)

10.47%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

Inception performance is based on the Rainier International Discovery Series Class I inception of 03/28/2012. For periods through 03/01/2019 (the inception date of the Class W shares), performance for the Class W shares is based on the historical performance of the Class I shares. Because the Class W shares invest in the same portfolio of securities as the Class I shares, performance will be different only to the extent that the Class I shares have a higher expense ratio.

Expense Ratio

Gross 1.06%
Net 0.11%*

*Reflects the Advisor's contractual agreement to waive its management fee and limit and reimburse certain other expenses. These contractual waivers may not be amended or terminated without the prior approval of the Fund's Board of Directors. The Class W shares are only available to discretionary investment accounts and other accounts managed by the Advisor. These clients pay a management fee to the Advisor that is separate from the fund's expenses.

Top Ten Investments

As of 09/30/2026

SOJITZ 3.05%
MEBUKIFINANCIAL G NPV 3.04%
EURONEXT EUR1.60 2.82%
GTT EUR0.01 2.39%
DEFINITY FINL CORP COM NPV 2.32%
KANEMATSU CORP NPV 2.25%
ASPEED TECHNOLOGY TWD10 2.18%
ALTIUS MINERALS CO COM NPV 2.16%
ALK-ABELLO A/S SERBDKK0.50 2.03%
BABCOCK INTL GROUP ORD GBP0.60 1.88%

Top Ten Investments list is unaudited and excludes cash

Country Allocation

As of 09/30/2026

Japan
25.06%
Canada
15.72%
United Kingdom
9.13%
India
6.53%
Denmark
5.15%
Netherlands
5.00%
South Korea
4.33%
Taiwan
4.09%
Sweden
3.50%
France
3.26%
Germany
2.91%
Australia
2.36%
Poland
2.26%
Switzerland
1.87%
Italy
1.22%
Greece
1.20%
Malaysia
1.10%
Brazil
0.99%
Belgium
0.97%
Finland
0.73%
China
0.67%
Norway
0.59%
Israel
0.57%
Spain
0.53%
Austria
0.27%

Sector Allocation

As of 09/30/2026

Industrials
30.20%
Financials
21.00%
Information Technology
13.90%
Materials
8.18%
Health Care
7.94%
Energy
5.91%
Consumer Discretionary
4.27%
Communication Services
2.42%
Real Estate
2.26%
Consumer Staples
2.19%
Utilities
1.73%

The Global Industry Classification Standard (GICS) was developed by and is the exclusive property and a service mark of MSCI Inc. (MSCI) and Standard & Poor’s, a division of S&P Global Inc. (S&P), and is licensed for use by Manning & Napier when referencing GICS sectors. Neither MSCI, S&P, nor any third party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification, nor shall any such party have any liability therefrom.

Security Description Country Ticker Shares/Par Market Value (USD)
AALBERTS NV EUR0.25 NL 67,892 $3,258,625.38
AICHI FINANCIAL GR NPV JP 379,900 $5,024,690.14
AJ BELL PLC ORD GBP0.000125 GB 497,578 $3,839,623.98
ALIOR BANK SA PLN10.00 PL 37,521 $1,335,563.81
ALK-ABELLO A/S SERBDKK0.50 DK 229,117 $6,873,269.80
ALS LIMITED NPV AU 270,301 $3,872,130.35
ALTIUS MINERALS CO COM NPV CA 160,667 $7,296,425.67
ALZCHEM GROUP AG NPV (REGD) DE 13,165 $2,426,473.13
AMG CRITICAL MATER EUR0.02 NL 75,957 $2,458,977.24
ARSEUS NV NPV BE 125,091 $3,292,323.98
ASAHI INTECC CO LT NPV JP 140,900 $2,969,131.23
ASKER HEALTH GR AB NPV SE 199,747 $1,320,123.23
ASPEED TECHNOLOGY TWD10 TW 12,540 $7,359,000.67
BABCOCK INTL GROUP ORD GBP0.60 GB 489,555 $6,373,199.02
BE SEMICONDUCTOR EUR0.01 NL 7,329 $1,576,454.42
BELRISE INDUSTRIES INR5 IN 1,204,932 $3,019,293.43
BENEFIT SYSTEMS SA PLN1.00 PL 2,566 $3,318,603.94
BRUNELLO CUCINELLI NPV IT 19,008 $1,740,137.70
BUDIMEX SA PLN5.00 PL 17,115 $2,960,375.54
CES ENERGY SOLUTIO COM NPV CA 290,037 $3,648,007.80
COMET HOLDINGS CHF1 (REGD) CH 7,874 $3,475,844.82
DAIEI KANKYO CO LT NPV JP 186,800 $4,263,733.74
DEFINITY FINL CORP COM NPV CA 161,694 $7,845,252.23
DESCARTES SYSTEMS COM NPV CA 61,238 $4,953,601.92
DIPLOMA ORD GBP0.05 GB 59,508 $6,070,148.51
EURONEXT EUR1.60 FR 53,092 $9,539,215.31
EVERGREEN AVIATION TWD10 TW 375,000 $2,035,712.25
FINNING INTL INC COM NPV CA 39,375 $3,016,864.00
FUSO CHEMICAL CO NPV JP 161,600 $3,312,566.94
GODREJ PROPERTIES INR5 IN 103,558 $1,756,748.77
GTT EUR0.01 FR 33,302 $8,075,716.38
HALMA ORD GBP0.10 GB 105,593 $4,878,635.61
HANKYU HANSHIN HOLDINGS JP 88,800 $2,471,805.55
HARBIN POWER EQPMT 'H'CNY1 HK 522,000 $907,334.50
HD HYUNDAI MARIN.S KRW500 KR 17,739 $3,097,640.83
HEADWATER EXPLORAT COM NPV CA 357,173 $3,358,026.04
HELIOS TOWERS PLC ORD GBP0.01 GB 1,620,711 $4,567,423.72
HIAB OYJ SERBNPV FI 37,269 $2,451,375.16
HOWDEN JOINERY GR ORD GBP0.10 GB 166,674 $1,675,954.77
HYOSUNG HEAVY INDU KRW5000 KR 828 $1,675,753.84
IMDEX LTD NPV AU 1,137,157 $2,624,423.83
JAPAN ELEVATOR SER NPV JP 525,500 $4,933,057.00
JBCC HOLDINGS INC NPV JP 330,509 $3,619,658.32
KANEMATSU CORP NPV JP 533,900 $7,602,089.34
KARUR VYSYA BANK INR2 IN 752,063 $2,545,789.43
KINAXIS INC COM NPV CA 45,462 $5,702,116.43
KINGDEE INTL SOFTW HKD0.025 HK 1,454,000 $1,352,222.61
KITRON ASA NOK0.10 NO 195,777 $1,992,401.66
KURITA WATER INDS JP 52,300 $2,576,789.16
KYOTO FINANCIAL GR NPV JP 113,800 $3,476,746.97
LAGERCRANTZ GROUP AB-B SHS LAGRB SE0014990966 SE 175,717 $3,938,652.29
LEENO INDUSTRIAL KRW500 KR 41,468 $2,227,112.42
LISI SA EUR0.40 FR 42,370 $2,941,331.37
MAIRE TECNIMONT SP NPV IT 166,405 $2,354,597.99
MANI INC NPV JP 216,600 $2,000,051.71
MATSUMOTOKIYOSHI HOLDINGS JP 153,200 $2,370,622.21
MAX HEALTHCARE INS INR10 IN 210,607 $2,041,227.11
MDA SPACE LTD COM NPV CA 58,898 $1,744,405.51
MEBUKIFINANCIAL G NPV JP 943,500 $10,279,103.03
MIPS AB MIPS SE0009216278 SE 74,344 $2,882,963.18
MULTI COMMODITY EX INR2(POST SUBD) IN 176,635 $6,066,900.22
NABTESCO CORP JP 63,700 $1,992,437.86
NEXT VISION STABIL NPV IL 24,790 $1,938,239.24
NIKON CORP JP 131,800 $1,624,305.21
NORDNET AB NPV SE 107,402 $3,662,271.31
OHB SE NPV DE 4,593 $912,615.92
OR Royalties Inc. COM CA 167,835 $5,755,084.14
ORIZON VAL RESIDUO COM NPV BR 395,496 $1,327,978.47
PARK SYSTEMS CORP KRW500 KR 9,598 $1,930,035.54
PEPCO GROUP NV EUR0.01 PL 171,076 $1,986,725.45
PER AARSLEFF HLDNG SER B DKK2 DK 10,314 $1,114,306.50
PHARMAESSENTIA COR TWD10 TW 117,094 $4,454,275.34
PNB HOUSING INR10 IN 323,924 $3,782,510.72
PRO MEDICUS NPV AU 12,599 $1,428,042.50
PUBLIC POWER CORP GR 154,226 $4,041,356.19
RADICO KHAITAN INR2 IN 64,332 $2,932,059.48
RINGKJOBING LNDOBK DKK1 DK 21,060 $5,836,440.71
ROHTO PHARM NPV JP 119,300 $2,123,196.54
SALZGITTER DE 49,904 $2,840,005.93
SCOUT24 AG NPV DE 47,957 $3,630,802.11
SINFONIA TECHNOLOG NPV JP 24,600 $2,121,533.62
SOJITZ JP 285,600 $10,298,325.91
SOLARIA ENERGIA Y EUR0.01 ES 96,985 $1,797,279.52
ST JAMES'S PLACE ORD GBP0.15 GB 102,103 $1,430,992.72
ST PHARM CO LTD KRW500 KR 36,773 $2,469,151.84
SWCC SHOWA HOLDING NPV JP 220,500 $3,781,738.46
SWISSQUOTE GP HLDG CHF0.02 (REGD) CH 65,006 $2,813,006.91
SYDBANK DKK10 DK 32,439 $3,568,791.91
TAMARACK VALLEY EN COM NPV CA 531,450 $4,921,836.04
TFI INTERNATIONAL COM NPV CA 17,344 $2,079,841.93
THK JP 52,100 $2,193,697.96
TOROMONT INDUSTRIE COM STK NPV CA 18,536 $2,956,330.17
TOSEI CORPORATION NPV JP 529,600 $5,881,301.21
TOTVS SA COM NPV BR 315,279 $2,047,171.24
US DOLLARS US USD 14,532,853.41 $14,532,853.41
WESTPORTS HOLDINGS MYR0.1 MY 2,268,800 $3,719,982.33
WIENERBERGER AG NPV AT 46,999 $903,310.90
WOONGJIN COWAY KR 43,621 $3,195,663.70

Investments will change over time.

Distributions

  • 2026 Distribution Calendar
  • 2026 Distributions
  • Tax Letter

A Word About Risk

All investments involve risks, including possible loss of principal. As with any stock fund, the value of your investment will fluctuate in response to stock market movements. Small- and medium-capitalization companies tend to have limited liquidity and greater price volatility than large-capitalization companies. Funds whose investments are concentrated in foreign and emerging market countries may be subject to fluctuating currency values, different accounting standards, and economic and political instability. The value of the Series may be affected by changes in exchange rates between foreign currencies and the U.S. dollar. Investments in emerging markets may be more volatile than investments in more developed markets. Additionally, the Series is subject to portfolio turnover risk as it may buy and sell investments frequently, which may result in higher expenses and an increase in realized capital gains and potential tax implications for shareholders.

Daily Price

$30.12

Daily $ Change

-$0.19

Daily % Change

-0.63%

as of 10/08/2026

Ticker

RAIWX

CUSIP

56382R381

Inception Date

03/01/2019

This fund is only available to discretionary investment accounts and other accounts managed by the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Proxy Voting Record
Applications & Forms
N-Port Part F Reports

Investment Objective

To provide investors with long-term capital appreciation by investing primarily in the common stock of small- to mid-capitalization companies located outside the U.S.

Investment Strategy

The Series is primarily invested in the common stock of small- and mid-capitalization companies traded outside the U.S. Rainier typically selects investments that fall within the market capitalization range of the MSCI ACWI ex USA Small Cap Index at the time of purchase. The Team will invest in any type of company whether it is in the index or not, as long as it is within the market cap range and fits the investment objectives. To control risk, extreme overweighting or underweighting of the Series relative to the Index is normally avoided.

Investment decisions are based on fundamental analysis, which emphasizes bottom-up stock selection of companies that exhibit strong growth, clear key earnings drivers and attractive valuations. The investment team evaluates companies across all sectors and regions using this growth and valuation criteria.

May be Appropriate for Investors

  • Seeking a long-term (15 years or more) investment and who are willing to accept the risk of investing in foreign equity securities
  • Seeking to diversify a portfolio by adding a foreign equity component

Performance

As of 09/30/2026

YTD

7.87%

1 Year

7.43%

3 Year

15.39%

5 Year

2.29%

10 Year

8.95%

Inception
(03/28/2012)

10.47%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

Inception performance is based on the Rainier International Discovery Series Class I inception of 03/28/2012. For periods through 03/01/2019 (the inception date of the Class W shares), performance for the Class W shares is based on the historical performance of the Class I shares. Because the Class W shares invest in the same portfolio of securities as the Class I shares, performance will be different only to the extent that the Class I shares have a higher expense ratio.

Expense Ratio

Gross 1.06%
Net 0.11%*

*Reflects the Advisor's contractual agreement to waive its management fee and limit and reimburse certain other expenses. These contractual waivers may not be amended or terminated without the prior approval of the Fund's Board of Directors. The Class W shares are only available to discretionary investment accounts and other accounts managed by the Advisor. These clients pay a management fee to the Advisor that is separate from the fund's expenses.

Top Ten Investments

As of 09/30/2026

SOJITZ 3.05%
MEBUKIFINANCIAL G NPV 3.04%
EURONEXT EUR1.60 2.82%
GTT EUR0.01 2.39%
DEFINITY FINL CORP COM NPV 2.32%
KANEMATSU CORP NPV 2.25%
ASPEED TECHNOLOGY TWD10 2.18%
ALTIUS MINERALS CO COM NPV 2.16%
ALK-ABELLO A/S SERBDKK0.50 2.03%
BABCOCK INTL GROUP ORD GBP0.60 1.88%

Top Ten Investments list is unaudited and excludes cash

Country Allocation

As of 09/30/2026

Japan
25.06%
Canada
15.72%
United Kingdom
9.13%
India
6.53%
Denmark
5.15%
Netherlands
5.00%
South Korea
4.33%
Taiwan
4.09%
Sweden
3.50%
France
3.26%
Germany
2.91%
Australia
2.36%
Poland
2.26%
Switzerland
1.87%
Italy
1.22%
Greece
1.20%
Malaysia
1.10%
Brazil
0.99%
Belgium
0.97%
Finland
0.73%
China
0.67%
Norway
0.59%
Israel
0.57%
Spain
0.53%
Austria
0.27%

Sector Allocation

As of 09/30/2026

Industrials
30.20%
Financials
21.00%
Information Technology
13.90%
Materials
8.18%
Health Care
7.94%
Energy
5.91%
Consumer Discretionary
4.27%
Communication Services
2.42%
Real Estate
2.26%
Consumer Staples
2.19%
Utilities
1.73%

The Global Industry Classification Standard (GICS) was developed by and is the exclusive property and a service mark of MSCI Inc. (MSCI) and Standard & Poor’s, a division of S&P Global Inc. (S&P), and is licensed for use by Manning & Napier when referencing GICS sectors. Neither MSCI, S&P, nor any third party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification, nor shall any such party have any liability therefrom.

Security Description Country Ticker Shares/Par Market Value (USD)
AALBERTS NV EUR0.25 NL 67,892 $3,258,625.38
AICHI FINANCIAL GR NPV JP 379,900 $5,024,690.14
AJ BELL PLC ORD GBP0.000125 GB 497,578 $3,839,623.98
ALIOR BANK SA PLN10.00 PL 37,521 $1,335,563.81
ALK-ABELLO A/S SERBDKK0.50 DK 229,117 $6,873,269.80
ALS LIMITED NPV AU 270,301 $3,872,130.35
ALTIUS MINERALS CO COM NPV CA 160,667 $7,296,425.67
ALZCHEM GROUP AG NPV (REGD) DE 13,165 $2,426,473.13
AMG CRITICAL MATER EUR0.02 NL 75,957 $2,458,977.24
ARSEUS NV NPV BE 125,091 $3,292,323.98
ASAHI INTECC CO LT NPV JP 140,900 $2,969,131.23
ASKER HEALTH GR AB NPV SE 199,747 $1,320,123.23
ASPEED TECHNOLOGY TWD10 TW 12,540 $7,359,000.67
BABCOCK INTL GROUP ORD GBP0.60 GB 489,555 $6,373,199.02
BE SEMICONDUCTOR EUR0.01 NL 7,329 $1,576,454.42
BELRISE INDUSTRIES INR5 IN 1,204,932 $3,019,293.43
BENEFIT SYSTEMS SA PLN1.00 PL 2,566 $3,318,603.94
BRUNELLO CUCINELLI NPV IT 19,008 $1,740,137.70
BUDIMEX SA PLN5.00 PL 17,115 $2,960,375.54
CES ENERGY SOLUTIO COM NPV CA 290,037 $3,648,007.80
COMET HOLDINGS CHF1 (REGD) CH 7,874 $3,475,844.82
DAIEI KANKYO CO LT NPV JP 186,800 $4,263,733.74
DEFINITY FINL CORP COM NPV CA 161,694 $7,845,252.23
DESCARTES SYSTEMS COM NPV CA 61,238 $4,953,601.92
DIPLOMA ORD GBP0.05 GB 59,508 $6,070,148.51
EURONEXT EUR1.60 FR 53,092 $9,539,215.31
EVERGREEN AVIATION TWD10 TW 375,000 $2,035,712.25
FINNING INTL INC COM NPV CA 39,375 $3,016,864.00
FUSO CHEMICAL CO NPV JP 161,600 $3,312,566.94
GODREJ PROPERTIES INR5 IN 103,558 $1,756,748.77
GTT EUR0.01 FR 33,302 $8,075,716.38
HALMA ORD GBP0.10 GB 105,593 $4,878,635.61
HANKYU HANSHIN HOLDINGS JP 88,800 $2,471,805.55
HARBIN POWER EQPMT 'H'CNY1 HK 522,000 $907,334.50
HD HYUNDAI MARIN.S KRW500 KR 17,739 $3,097,640.83
HEADWATER EXPLORAT COM NPV CA 357,173 $3,358,026.04
HELIOS TOWERS PLC ORD GBP0.01 GB 1,620,711 $4,567,423.72
HIAB OYJ SERBNPV FI 37,269 $2,451,375.16
HOWDEN JOINERY GR ORD GBP0.10 GB 166,674 $1,675,954.77
HYOSUNG HEAVY INDU KRW5000 KR 828 $1,675,753.84
IMDEX LTD NPV AU 1,137,157 $2,624,423.83
JAPAN ELEVATOR SER NPV JP 525,500 $4,933,057.00
JBCC HOLDINGS INC NPV JP 330,509 $3,619,658.32
KANEMATSU CORP NPV JP 533,900 $7,602,089.34
KARUR VYSYA BANK INR2 IN 752,063 $2,545,789.43
KINAXIS INC COM NPV CA 45,462 $5,702,116.43
KINGDEE INTL SOFTW HKD0.025 HK 1,454,000 $1,352,222.61
KITRON ASA NOK0.10 NO 195,777 $1,992,401.66
KURITA WATER INDS JP 52,300 $2,576,789.16
KYOTO FINANCIAL GR NPV JP 113,800 $3,476,746.97
LAGERCRANTZ GROUP AB-B SHS LAGRB SE0014990966 SE 175,717 $3,938,652.29
LEENO INDUSTRIAL KRW500 KR 41,468 $2,227,112.42
LISI SA EUR0.40 FR 42,370 $2,941,331.37
MAIRE TECNIMONT SP NPV IT 166,405 $2,354,597.99
MANI INC NPV JP 216,600 $2,000,051.71
MATSUMOTOKIYOSHI HOLDINGS JP 153,200 $2,370,622.21
MAX HEALTHCARE INS INR10 IN 210,607 $2,041,227.11
MDA SPACE LTD COM NPV CA 58,898 $1,744,405.51
MEBUKIFINANCIAL G NPV JP 943,500 $10,279,103.03
MIPS AB MIPS SE0009216278 SE 74,344 $2,882,963.18
MULTI COMMODITY EX INR2(POST SUBD) IN 176,635 $6,066,900.22
NABTESCO CORP JP 63,700 $1,992,437.86
NEXT VISION STABIL NPV IL 24,790 $1,938,239.24
NIKON CORP JP 131,800 $1,624,305.21
NORDNET AB NPV SE 107,402 $3,662,271.31
OHB SE NPV DE 4,593 $912,615.92
OR Royalties Inc. COM CA 167,835 $5,755,084.14
ORIZON VAL RESIDUO COM NPV BR 395,496 $1,327,978.47
PARK SYSTEMS CORP KRW500 KR 9,598 $1,930,035.54
PEPCO GROUP NV EUR0.01 PL 171,076 $1,986,725.45
PER AARSLEFF HLDNG SER B DKK2 DK 10,314 $1,114,306.50
PHARMAESSENTIA COR TWD10 TW 117,094 $4,454,275.34
PNB HOUSING INR10 IN 323,924 $3,782,510.72
PRO MEDICUS NPV AU 12,599 $1,428,042.50
PUBLIC POWER CORP GR 154,226 $4,041,356.19
RADICO KHAITAN INR2 IN 64,332 $2,932,059.48
RINGKJOBING LNDOBK DKK1 DK 21,060 $5,836,440.71
ROHTO PHARM NPV JP 119,300 $2,123,196.54
SALZGITTER DE 49,904 $2,840,005.93
SCOUT24 AG NPV DE 47,957 $3,630,802.11
SINFONIA TECHNOLOG NPV JP 24,600 $2,121,533.62
SOJITZ JP 285,600 $10,298,325.91
SOLARIA ENERGIA Y EUR0.01 ES 96,985 $1,797,279.52
ST JAMES'S PLACE ORD GBP0.15 GB 102,103 $1,430,992.72
ST PHARM CO LTD KRW500 KR 36,773 $2,469,151.84
SWCC SHOWA HOLDING NPV JP 220,500 $3,781,738.46
SWISSQUOTE GP HLDG CHF0.02 (REGD) CH 65,006 $2,813,006.91
SYDBANK DKK10 DK 32,439 $3,568,791.91
TAMARACK VALLEY EN COM NPV CA 531,450 $4,921,836.04
TFI INTERNATIONAL COM NPV CA 17,344 $2,079,841.93
THK JP 52,100 $2,193,697.96
TOROMONT INDUSTRIE COM STK NPV CA 18,536 $2,956,330.17
TOSEI CORPORATION NPV JP 529,600 $5,881,301.21
TOTVS SA COM NPV BR 315,279 $2,047,171.24
US DOLLARS US USD 14,532,853.41 $14,532,853.41
WESTPORTS HOLDINGS MYR0.1 MY 2,268,800 $3,719,982.33
WIENERBERGER AG NPV AT 46,999 $903,310.90
WOONGJIN COWAY KR 43,621 $3,195,663.70

Investments will change over time.

Distributions

  • 2026 Distribution Calendar
  • 2026 Distributions
  • Tax Letter

A Word About Risk

All investments involve risks, including possible loss of principal. As with any stock fund, the value of your investment will fluctuate in response to stock market movements. Small- and medium-capitalization companies tend to have limited liquidity and greater price volatility than large-capitalization companies. Funds whose investments are concentrated in foreign and emerging market countries may be subject to fluctuating currency values, different accounting standards, and economic and political instability. The value of the Series may be affected by changes in exchange rates between foreign currencies and the U.S. dollar. Investments in emerging markets may be more volatile than investments in more developed markets. Additionally, the Series is subject to portfolio turnover risk as it may buy and sell investments frequently, which may result in higher expenses and an increase in realized capital gains and potential tax implications for shareholders.

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