International Fund

Performance & Data


as of 7/31/2014

YTD 1-year 3-year 5-year 10-year Since Inception Inception Date
Buffalo International Fund
-0.94% 10.34% 5.82% 9.78% N/A 2.74% 09/28/2007
MSCI EAFE Price (USD)
2.72% 15.07% 7.96% 9.40% N/A 0.39% N/A
MSCI AC WORLD INDEX ex USA Price (USD)
4.51% 15.48% 5.86% 8.84% N/A 0.48% N/A
 

Data represented reflects past performance and is no guarantee of 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 value. Current performance may be lower or higher than the performance quoted. Performance current to the most recent quarter end may be obtained by clicking here.

Redemption Fee: 2.00% on shares held for less than 60 days. Performance data does not reflect the redemption fee. If reflected, total returns would be reduced.

Expense Ratio: 1.08%


Fund Facts

as of 6/30/2014

Symbol BUFIX
Inception Date 09/28/2007
Total Fund Assets $240.1 Million
Operating Expense (as of 7/29/2014) 1.08%
Distribution Schedule
Cusip 119530509
Three Year Annualized Turnover 29.70%
Median Market Cap $16.15 Billion

Investment Minimums

Initial Purchase $2,500.00
Initial IRA and UGMA/UTMA $250.00
Subsequent Purchase
By Mail $100.00
By Telephone (ACH) $100.00
By Wire $100.00
Automatic Monthly Purchases
Initial $100.00
Subsequent $100.00

Top 10 Holdings

as of 03/31/2014

Fresenius Se&Kgaa   2.21%
Siemens A G   1.78%
Sap Ag   1.78%
Diageo P L C   1.73%
Ericsson   1.71%
Linde Ag   1.63%
Muenchener Rueckve   1.62%
Henkel Ag&Co. Kgaa   1.56%
Dr Reddys Labs Ltd   1.56%
Kuka Ag   1.52%

Percentage of Portfolio:

17.1%
Percentage of Cash / Cash Equivalents: 9.81%
Total Securities in Portfolio: 111

Top Sectors

as of 6/30/2014

Consumer Discretionary 15.47%
Information Technology 15.47%
Consumer Staples 14.08%
Industrials 13.55%
Healthcare 10.96%
Cash 10.10%
Financials 8.07%
Materials 6.90%
Telecom Services 2.22%
Energy 2.15%
Utilities 1.03%


Fund holdings are subject to change at any time and are not recommendations to buy or sell any security. Current and future portfolio holdings are subject to risk.

Top 10 holdings cannot be disclosed before we file complete holdings (approximately 60 days after quarter end). Those listed are for the previous quarter.

Periodic Investment Plans do not assure a profit and do not protect against loss in declining market.

Click here for definitions