Calendar Year Performance (as of 6/23/2017)

For more information on an individual fund, please click on the fund name below.

Performance: Daily | Monthly | Quarterly | Calendar Year

Institutional Share Class Ticker Inception Date YTD 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
INCOME AND MULTI-ASSET FUNDS
Income Opportunity WHGIX 12/19/2005 5.47% 6.66% -2.57% 9.10% 14.49% 7.95% 7.10% 13.77% 12.18% -4.58% 0.43% 12.60%
Worldwide Income Opportunity WWIOX 5/1/2015 6.17% 2.24% --- --- --- --- --- --- --- --- --- ---
Market Neutral Income WMNIX 5/1/2015 2.03% 5.23% --- --- --- --- --- --- --- --- --- ---
Short Duration High Yield WHGHX 12/28/2011 2.47% 7.60% -1.25% -1.11% 5.15% 6.08% --- --- --- --- --- ---
Opportunistic High Yield WWHYX 12/29/2014 3.61% 14.67% -4.81% --- --- --- --- --- --- --- --- ---
US EQUITY FUNDS
MLP and Strategic Energy WMLPX 12/29/2014 -7.68% 22.59% -33.92% --- --- --- --- --- --- --- --- ---
Low Volatility Equity WLVIX 2/7/2011 8.15% 9.05% -2.28% 11.52% 31.05% 10.43% 3.49% 9.03% 36.76% -31.86% 1.38% 7.13%
LargeCap Value WHGLX 6/28/2006 7.67% 10.93% -0.36% 11.85% 30.03% 16.10% -0.91% 12.11% 13.84% -31.81% 12.52% ---
SmallCap WHGSX 4/2/2007 1.52% 28.33% -5.94% 6.05% 49.39% 18.13% -1.40% 23.23% 20.42% -32.11% --- ---
SMidCap Plus+ WHGPX 3/28/2011 4.97% 11.13% -3.50% 6.94% 34.15% 15.14% -1.40% 23.23% 20.42% -32.11% --- ---
SMidCap WHGMX 12/19/2005 2.62% 12.04% -3.18% 4.85% 33.80% 12.88% -2.29% 26.38% 34.27% -27.43% 10.47% 20.60%
GLOBAL & EMERGING MARKET FUNDS
Emerging Markets WWEMX 12/26/2012 17.33% 12.47% -18.26% 4.31% -13.03% --- --- --- --- --- --- ---
Strategic Global Convertibles WSGCX 5/1/2015 8.08% 0.04% --- --- --- --- --- --- --- --- --- ---
Global Equity WWGEX 12/26/2012 9.70% 7.57% -1.03% -3.40% 17.65% --- --- --- --- --- --- ---
Ultra Share Class Ticker Inception Date YTD 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
INCOME AND MULTI-ASSET FUNDS
Market Neutral Income WMNUX 5/1/2015 2.06% 5.23% --- --- --- --- --- --- --- --- --- ---
Opportunistic High Yield WHYUX 12/29/2014 3.73% 14.67% -4.86% --- --- --- --- --- --- --- --- ---
A-Share Class Ticker Inception Date YTD 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
INCOME AND MULTI-ASSET FUNDS
No Load
WWIAX 12/31/2007 5.41% 6.40% -2.83% 8.84% 14.24% 7.61% 6.97% 13.34% 11.89% -4.72% --- ---
With Sales Load
WWIAX 12/31/2007 0.11% 1.09% -7.67% 3.39% 8.49% 2.23% 1.66% 7.66% 6.35% -9.52% --- ---
No Load
WSDAX 6/28/2013 2.47% 7.21% -1.39% -1.34% --- --- --- --- --- --- --- ---
With Sales Load
WSDAX 6/28/2013 0.22% 4.79% -3.60% -3.54% --- --- --- --- --- --- --- ---
US EQUITY FUNDS
No Load
WWLAX 12/31/2007 7.63% 10.61% -0.58% 11.68% 29.66% 15.72% -1.09% 11.85% 13.55% -31.87% --- ---
With Sales Load
WWLAX 12/31/2007 2.22% 5.11% -5.53% 6.09% 23.22% 9.89% -6.05% 6.30% 7.87% -35.29% --- ---
GLOBAL & EMERGING MARKET FUNDS
No Load
WWEAX 12/26/2012 17.19% 12.17% -18.39% 4.04% -13.29% --- --- --- --- --- --- ---
With Sales Load
WWEAX 12/26/2012 11.36% 6.56% -22.48% -1.21% -17.63% --- --- --- --- --- --- ---

Class A shares of the LargeCap Value, Emerging Markets, and Income Opportunity funds may include a 5.00% sales charge.

Class A shares of the Short Duration High Yield Fund may include a 2.25% sales charge.

The performance data quoted represents past performance. Past performance does not guarantee future results. 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 and current performance may be lower or higher than the performance quoted.

*If the fund is less than 1 year old, cumulative return since inception is shown; if the fund is less than 10 years old, annualized return since inception is shown.

Expense ratios are as follows: Westwood SMidCap Plus Fund 0.91%; Westwood Income Opportunity Fund Institutional 0.86%, A-share 1.11%; Westwood LargeCap Value Fund Institutional 0.84%(gross) 0.75%(net), A-share 1.09%(gross) 1.00% (net); Westwood Small Cap Value Fund 1.11%*; Westwood SMidCap Fund 0.98%; Westwood Low Volatility Fund 0.89% (gross) 0.75%(net); Westwood Short Duration High Yield Institutional 1.00% (gross) 0.80% (net), A-share 1.27% (gross) 1.05% (net); Westwood Emerging Markets Fund Institutional 1.27% (gross) 1.20% (net), A share 1.52% (gross) 1.45% (net); Westwood Global Equity Fund 1.64% (gross) 1.00% (net); Westwood MLP and Strategic Energy Fund 1.28% (gross) 1.00% (net); Westwood Opportunistic High Yield Fund Institutional 5.11% (gross) 0.75% (net), Ultra Share 4.95% (gross) 0.60% (net); Westwood Market Neutral Income Fund Institutional 3.27% (gross) 1.31% (net), Ultra Shares 3.17% (gross) 1.16% (net); Westwood Strategic Global Convertibles Fund Institutional 2.48% (gross) 0.85% (net); Westwood Worldwide Income Opportunity Fund Institutional 2.22% (gross) 1.00% (net). *The advisor is executing its ability to recapture management fees.

*The advisor is executing its ability to recapture management fees.

The Low Volatility Equity Fund was formerly known as the Dividend Growth Fund. As of December 30, 2016, the fund's principal investment strategies changed. Past performance shown may have differed had the Fund's current investment strategy been in effect. The Fund acquired assets and assumed the historical performance of another fund (the "Predecessor Fund") on February 5, 2011. The performance shown for periods prior to that date represents the performance of the Predecessor Fund.

The SmallCap fund was formerly known as the SmallCap Value Fund.

Performance reflects contractual fee waivers. These waivers are in effect until February 28, 2017. In the absence of current fee waivers, total return and yield would be reduced.

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