Yahoo! FinanceFinance Home - My Yahoo - Yahoo! - Help 

Tuesday, November 18, 2008, 5:42AM ET - U.S. Markets open in 3 hours and 48 minutes. Dow Down 2.63% Nasdaq  0.00%
RiverSource Emerging Markets Bond I (RSMIX)On Nov 17: 7.08  Down 0.02 (0.28%)  
MORE ON RSMIX
Quotes
Charts
News & Info
Fund
HereProfile
Analyst


Profile  As of 31-Oct-08Get Profile for:
RiverSource Emerging Markets Bond I
70100 Ameriprise Financial Center Minneapolis MN 55474
Map
Phone: 888-791-3380
Free prospectuses for
more than 1,000 funds!
View List of Free Prospectuses
FUND OVERVIEW 
Category:Emerging Markets Bond
Fund Family:RiverSource
Net Assets:65.35M
Year-to-Date Return:-27.22%
Yield:9.16%
Morningstar Rating:N/A
Fund Inception Date:16-Feb-06
MORNINGSTAR STYLE BOX 
Emerging Markets Bond
[View Category Definition]
View Top Emerging Markets Bond Funds
About the Morningstar Style Box
MANAGEMENT INFORMATION 
Nicholas Pifer
Lead Manager since 16-Feb-06
Pifer is a portfolio manager with RiverSource Investmens, LLC, his employer since 2000. Prior to 2000, he was a fixed income portfolio manager at Investment Advisers, Inc., where he focused on global fixed income portfolios. Before that, he worked at the Federal Reserve Bank of New York for more than six years, holding positions as an international economist, a foreign exchange trader analyst and as manager of the Banks Foreign Exchange Staff. Pifer holds the Chartered Financial Analyst designation.
INVESTMENT INFORMATION 
Min Initial Investment:$2,000
Min Initial Investment, IRA:$0
Min Initial Investment, AIP:$100
Min Subsequent Investment:$100
Min Subsequent Investment, IRA:$0
Min Subsequent Investment, AIP:$100
RSMIX can be purchased from brokerages.
FUND SUMMARY 
The investment seeks high total return; capital appreciation is a secondary consideration. The fund normally invests at least 80% of assets in fixed income securities of issuers that are located in emerging markets countries, or that earn 50% or more of their total revenues from goods or services produced in emerging markets countries or from sales made in emerging markets countries. It dose not invest 25% or more of assets in any single foreign government issuer. The fund is nondiversified.
FUND OPERATIONS 
Last Dividend (27-Oct-08): 0.01
Last Cap Gain (17-Dec-07): 0.09
Annual Holdings Turnover 41.00%
Average for Category: 78.45%
FEES & EXPENSES 
ExpenseRSMIXCategory
Avg
Total Expense Ratio:0.93% 1.37%
Max 12b1 Fee:0.00% N/A
Max Front End Sales Load:0.00% 4.14%
Max Deferred Sales Load:0.00% 2.26%
3 Yr Expense Projection*: $297$613
5 Yr Expense Projection*: $516$911
10 Yr Expense Projection*: $1,147$1,816
* Per $10,000 invested


Add to My Portfolio Add to Portfolio    Set Alert Set Alert    Email to a Friend Email to a Friend
Get Profile for Another Symbol: Symbol Lookup
Top Performers by StyleMorningstar Editorials