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Fund Objective: This Fund seeks long-term capital appreciation. Morningstar Category: Small Cap Growth Fund Net Assets: $593M Fund Inception Date: 05/03/1999 Trailing Returns:* Average Annual Total Return QTD YTD 1Y 3Y 5Y 10Y MassMutual Select Small Cap Gr Eq I 9.03 9.91 20.54 14.64 14.48 13.42 Russell 2000® Growth Index 7.16 3.88 15.71 8.18 11.42 12.34 Category Average Return - - 18.73 11.08 12.88 12.63 Category Rank - - 41 30 35 38 # Funds in Category - - 624 579 513 384 Performance shown is for class I shares. Max Sales charge for I is 0%. Growth of $10,000:* Consumer Discretionary 13.99% Consumer Staples 3.05% Energy 0.17% Financials 8.25% Healthcare 25.34% Industrials 18.82% Information Technology 20.78% Materials 1.80% Real Estate 2.65% Communication Services 3.39% Utilities 0.49% Sector Allocation: Fund Russell 2000® Growth Index Calendar Year Returns:* Asset Allocation: Cash 1.25 % US Equity 95.20 % Non-US Equity 3.55 % Other 0.00 % # of Stock Holdings 263 *Performance shown is for class I shares. Current performance may be higher or lower. Max Sales charge for I is 0%. P e r f o r m a n c e d a t a g i v e n r e p r e s e n t s p a s t p e r f o r m a n c e a n d d o e s n o t g u a r a n t e e f u t u r e r e s u l t s . C u r r e n t p e r f o r m a n c e m a y b e l o w e r o r h i g h e r t h a n r e t u r n d a t a q u o t e d h e r e i n . F o r m o r e c u r r e n t i n f o r m a t i o n , i n c l u d i n g m o n t h - e n d p e r f o r m a n c e , p l e a s e c a l l 1 - 8 6 6 - 4 4 4 - 2 6 0 1 . T h e i n v e s t m e n t r e t u r n a n d t h e p r i n c i p a l v a l u e o f a n i n v e s t m e n t w i l l f l u c t u a t e ; s o a n i n v e s t o r ' s s h a r e s , w h e n r e d e e m e d , m a y b e w o r t h m o r e o r l e s s t h a n t h e i r o r i g i n a l c o s t . I n v e s t m e n t p o r t f o l i o s t a t i s t i c s c h a n g e o v e r t i m e . R e t u r n s s h o w n d o n o t r e f l e c t t h e i m p a c t o f p l a n f e e s , w h i c h w i l l r e d u c e p e r f o r m a n c e . I n v e s t m e n t p o r t f o l i o s t a t i s t i c s c h a n g e o v e r t i m e . You cannot invest directly in an index. P r e - I n c e p t i o n R e t u r n s - The inception date listed is that of the oldest share class of the Fund. The inception date for each individual share class can be found on page 2. Performance shown subsequent to the inception date is the actual performance of the share class. Other share classes of the investment itself have existed longer, which accounts for any pre-inception performance shown. The pre-inception performance of Class I for the periods prior to its inception date of (11/15/2010) is based on the performance of an older share class, Class R5, using the expenses and fees of Class R5. If the expenses of the newer share class was used rather than the expenses of the old share class (due to lower expenses of the new share class), it would have resulted in better performance. P e r f o r m a n c e R e t u r n s - reflect performance of the investment without adjusting for sales charges or the effects of taxation, but is adjusted to reflect all actual ongoing investment expenses and assumes reinvestment of dividends and capital gains (if applicable). If adjusted, sales charges would reduce the performance quoted. In addition, due to market volatility, performance may vary greatly over short periods of time. The investment’s performance is generally compared with that of an index. The index is an unmanaged portfolio of specified securities and does not reflect any initial or ongoing expenses nor can it be invested in directly. An investment’s portfolio may differ significantly from the securities in the index. The Index may not be the same as the comparative index noted in the investment’s prospectus (if applicable). T h e G r o w t h o f $ 1 0 , 0 0 0 - graph shows an investment’s performance based on how $10,000 invested in the investment would have grown over time. The growth of $10,000 begins at the investment’s inception date or the first year listed on the graph, whichever is appropriate. NOT FDIC INSURED MAY LOSE VALUE NO BANK GUARANTEE Fact Sheet MassMutual Select Small Cap Growth Equity Fund Wellington Management Company, LLP | Invesco Advisers, Inc. I:MSGZX R5:MSGSX SVC:MSCYX ADM:MSGLX A :MMGEX R4:MSERX R3:MSGNX As of 09/30/2020 1 2 2 Fund Performance Over 10 Years 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 $10,000 $16,000 $22,000 $28,000 $35,219 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 -9% 1% 11% 21% 31% 41% 1

Fact Sheet As of 06/30/2020 MassMutual Select Small Cap ... · Index 30.58 -3.06 3.48 7.86 6.86 12.92 Category Average Return - - 4.46 10.08 8.28 12.94 Category Rank - - 37 33 34

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Page 1: Fact Sheet As of 06/30/2020 MassMutual Select Small Cap ... · Index 30.58 -3.06 3.48 7.86 6.86 12.92 Category Average Return - - 4.46 10.08 8.28 12.94 Category Rank - - 37 33 34

Fund Objective:This Fund seeks long-term capital appreciation. Morningstar Category: Small Cap Growth

Fund Net Assets: $593M Fund Inception Date: 05/03/1999

Trailing Returns:*Average Annual Total Return

QTD YTD 1Y 3Y 5Y 10YMassMutual Select SmallCap Gr Eq I 9.03 9.91 20.54 14.64 14.48 13.42Russell 2000® GrowthIndex 7.16 3.88 15.71 8.18 11.42 12.34Category AverageReturn - - 18.73 11.08 12.88 12.63

Category Rank - - 41 30 35 38

# Funds in Category - - 624 579 513 384

Performance shown is for class I shares. Max Sales charge for I is 0%.

Growth of $10,000:*

Consumer Discretionary 13.99%

Consumer Staples 3.05%

Energy 0.17%

Financials 8.25%

Healthcare 25.34%

Industrials 18.82%

Information Technology 20.78%

Materials 1.80%

Real Estate 2.65%

Communication Services 3.39%

Utilities 0.49%

Sector Allocation:

Fund Russell 2000® Growth Index

Calendar Year Returns:*

Asset Allocation:Cash 1.25 %

US Equity 95.20 %

Non-US Equity 3.55 %

Other 0.00 %

# of Stock Holdings 263

*Performance shown is for class I shares. Current performance may be higher or lower. Max Sales charge for I is 0%.Performance data given represents past performance and does not guarantee future results. Current performance may belower or h igher than return data quoted herein. For more current information, including month-end performance, please cal l1-866-444-2601. The investment return and the principal value of an investment wi l l f luctuate; so an investor 's shares, whenredeemed, may be worth more or less than their or ig inal cost . Investment portfol io stat ist ics change over t ime. Returns showndo not ref lect the impact of plan fees , which wi l l reduce performance. Investment portfol io statist ics change over time. Youcannot invest directly in an index.Pre-Inception Returns - The inception date listed is that of the oldest share class of the Fund. The inception date for each individual share class

can be found on page 2. Performance shown subsequent to the inception date is the actual performance of the share class. Other share classes of theinvestment itself have existed longer, which accounts for any pre-inception performance shown. The pre-inception performance of Class I for theperiods prior to its inception date of (11/15/2010) is based on the performance of an older share class, Class R5, using the expenses and fees of Class R5.If the expenses of the newer share class was used rather than the expenses of the old share class (due to lower expenses of the new share class), it wouldhave resulted in better performance.Performance Returns - reflect performance of the investment without adjusting for sales charges or the effects of taxation, but is adjusted toreflect all actual ongoing investment expenses and assumes reinvestment of dividends and capital gains (if applicable). If adjusted, sales charges wouldreduce the performance quoted. In addition, due to market volatility, performance may vary greatly over short periods of time. The investment’sperformance is generally compared with that of an index. The index is an unmanaged portfolio of specified securities and does not reflect any initial orongoing expenses nor can it be invested in directly. An investment’s portfolio may differ significantly from the securities in the index. The Index maynot be the same as the comparative index noted in the investment’s prospectus (if applicable).The Growth of $10,000 - graph shows an investment’s performance based on how $10,000 invested in the investment would have grown over time.The growth of $10,000 begins at the investment’s inception date or the first year listed on the graph, whichever is appropriate.

NOT FDIC INSURED MAY LOSE VALUE NO BANK GUARANTEE

Fact Sheet MassMutual Select Small Cap Growth Equity FundWellington Management Company, LLP | Invesco Advisers, Inc.

I:MSGZX R5:MSGSX SVC:MSCYX ADM:MSGLX A :MMGEX R4:MSERX R3:MSGNX

As of 09/30/2020

1

2

2

Fund Performance Over 10 YearsFund Performance Over 10 Years

2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020$10,000

$16,000

$22,000

$28,000

$35,219

20102011

20122013

20142015

20162017

20182019

-9%

1%

11%

21%

31%

41%

1

Page 2: Fact Sheet As of 06/30/2020 MassMutual Select Small Cap ... · Index 30.58 -3.06 3.48 7.86 6.86 12.92 Category Average Return - - 4.46 10.08 8.28 12.94 Category Rank - - 37 33 34

Top 10 Holdings:

Advanced Drainage Systems Inc 1.44%

Tandem Diabetes Care Inc 1.29%

Bandwidth Inc Class A 1.23%

Five9 Inc 1.11%

Repligen Corp 1.06%

Insulet Corp 1.04%

Monolithic Power Systems Inc 0.98%

MKS Instruments Inc 0.98%

Amedisys Inc 0.95%

Chart Industries Inc 0.94%

Expense Ratios:Inception

DateGross

ExpenseNet

Expense

I 11/15/2010 0.87% 0.87%

R5 05/03/1999 0.97% 0.97%

Svc 05/03/1999 1.07% 1.07%

Admin 05/03/1999 1.17% 1.17%

A 05/03/1999 1.42% 1.42%

R4 04/01/2014 1.32% 1.32%

R3 12/30/2002 1.57% 1.57%

Risk/Return Statistics**:

Fund Benchmark

Standard Deviation 19.55 20.13

Information Ratio 0.84 -

Alpha 3.12 -

Beta 0.96 1.00

R2 0.97 1.00

Tracking Error 3.50 -

Sharpe Ratio 0.73 0.58

Upside Capture 100.12 100.00

Downside Capture 87.27 100.00

Batting Average 63.33 -

Fund Rankings:MorningStarRating

Funds inCategory

Overall Rating 579

3 Year 579

5 Year 513

10 Year 384

Portfolio Managers:Managed

SinceRonald Zibelli, Jr., CFAInvesco Jul. 2015

Ash B. Shah, CFA, CPAInvesco Jul. 2015

Mario E. Abularach, CFA, CMTWellington Management Apr. 2006

John V. Schneider, CFAWellington Management Feb. 2018

Managed

SinceDaniel J. Fitzpatrick, CFAWellington Management Nov. 2001

Steven C. Angeli, CFAWellington Management Apr. 2004

Stephen C. MortimerWellington Management Apr. 2006

RS9093a RS-48788-00

*Performance shown is for class I shares.**Risk statistics are calculated over a five year period, computed monthly.Morningstar Rating™- Category-Small Cap Growth. For each investment with at least a three-year history, Morningstar

calculates a Morningstar Rating™ based on how an investment ranks on a Morningstar Risk-Adjusted Return measure againstother investments in the category. This measure takes into account variations in an investment’s monthly performance after adjusting for salesloads (except for load-waived A shares), redemption fees, and the risk-free rate, placing more emphasis on downward variations and rewarding consistentperformance. The top 10% of investments 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. The Overall Morningstar Rating for an investment is derived from a weighted average of the ratings forthe three-, five- and ten-year (if applicable) time periods. The Morningstar percentile ranking is based on the fund’s total-return percentile rank relativeto all funds that have the same category for the same time period. The highest (or most favorable) percentile rank is 1%, and the lowest (or leastfavorable) percentile rank is 100%. Morningstar total return includes both income and capital gains or losses and is not adjusted for sales charges. © 2020Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not becopied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for anydamages or losses arising from any use of this information.The Fund’s Princ ipa l R isks include- Cash Position Risk, Convertible Securities Risk, Equity Securities Risk, Foreign Investment Risk; Emerging MarketsRisk; Currency Risk, Growth Company Risk, Liquidity Risk, Management Risk, Market Risk, Preferred Stock Risk, Sector Risk, Small and Mid-CapCompany Risk, Valuation Risk. Please refer to the summary prospectus (a copy can be obtained by sending an email to [email protected]) formore information on the specific risks.Risk Statist ics- Standard Deviation is a statistical measurement, which for a mutual fund depicts how widely the returns varied over a certainperiod of time. When a fund has a high standard deviation, performance is wide, implying greater volatility. Information Ratio measures theperformance of an investment compared to a benchmark index, after adjusting for its additional risk. Alpha is a measure of the difference between afund’s actual returns and its expected performance, given its level of risk as measured by beta. A positive alpha figure indicates the fund has performedbetter than its beta would predict. In contrast, a negative alpha indicates the fund’s underperformance, given the expectations established by the fund’sbeta. B e t a is a measure of sensitivity to market movements. The beta of the market is 1.00. A beta of 1.10 shows that the fund’s excess return isexpected to be 10% better than the market’s excess return in an up market or 10% worse in a down market. A beta of .85 indicates that the fund’s excessreturn is expected to perform 15% less than the market’s excess return during up markets and 15% greater during down markets. R-squared (R2)measures the degree of relationship between the performance of the fund and that of the index. The higher the R-squared, the more related the fund’sperformance is to its index. Tracking Error is also known as active risk and is the degree to which the strategy differed from its index or benchmark.The higher the Tracking Error, the more the fund deviated from its index. Sharpe Rat io measures risk adjusted performance; it is calculated as the realtotal return of the fund (total return-risk free rate) divided by the risk of the fund (standard deviation). Upside/downside capture shows whether agiven fund has outperformed--gained more or lost less than--a broad market benchmark during periods of market strength and weakness, and if so, byhow much. An upside capture ratio over 100 indicates a fund has generally outperformed the benchmark during periods of positive returns for thebenchmark. A downside capture ratio of less than 100 indicates that a fund has lost less than its benchmark in periods when the benchmark has been inthe red. Batting Average is a measure of a manager’s ability to consistently beat its benchmark over the trailing five-year period.© 2020 Massachusetts Mutual Life Insurance Company (MassMutual®), Springfield, MA. All rights reserved. www.MassMutual.com PrincipalUnderwriter: MML Distributors, LLC. (MMLD) Member FINRA and SIPC (www.FINRA.org and www.SIPC.org) MMLD is a subsidiary of MassachusettsMutual Life Insurance Company, 100 Bright Meadow Blvd., Enfield, CT 06082. Investment advisory services provided to the Funds by MML InvestmentAdvisers, LLC.Investors should consider an investment option’s objectives, r isks, fees, and expenses careful ly before investing. This and otherinformation can be found in the appl icable prospectuses or summary prospectuses, which are avai lable from MassMutual bycal l ing 1-866-444-2601. Please read them careful ly before invest ing.

MassMutual Select Small Cap Growth Equity Fund

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