Vital Statistics
| Class |
Ticker |
CUSIP |
Fund Number |
| Investor |
FYAIX |
00433W-106 |
110 |
| Service |
FYASX |
00433W-205 |
140 |
Inception Date for all share classes is
12/17/2004
NAV
as of
11/19/2009
| Class |
NAV |
% Change |
$ Change |
| Investor |
$25.19 |
-0.32% |
-$0.08 |
| Service |
$25.33 |
-0.31% |
-$0.08 |
At a Glance Access Flex High Yield Fund provides exposure to the high yield market without the exchange restrictions and redemption fees generally imposed by other high yield mutual funds.
Objective Access Flex High Yield Fund seeks to provide investment results that correspond generally to the total return of the high yield market consistent with maintaining reasonable liquidity.
The Access Flex High Yield Fund is not benchmarked to a specific market index or security.
|
Fund Statistics
| Limits On Exchanges |
None |
| Minimum Investment |
Individual Investor |
$15,000 |
Financial Professionals |
$5,000 |
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Investing in ProFunds involves certain risks, including in all or some cases, leverage, liquidity, concentration, non-diversification, foreign investment, foreign currency, high yield, interest rate, credit, market, correlation, aggressive investment technique and repurchase agreement risks. Moreover, there is no guarantee that any ProFund will achieve its investment objective. These risks can increase volatility and decrease performance. All ProFunds permit active investment strategies which can decrease performance and increase expenses.
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