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Portfolio Highlights
Net Asset Value as of last Close of Business
($ US Dollars):
$17.28

Kalmar "Growth-with-Value" Small Cap Fund
As of December 31, 2010

Fund Characteristics
Inception Date April 11,1997
Fiscal Year End December 31
NASDAQ Symbol KGSCX
Cusip 483438206
Total Net Assets $315 Million
Number of Holdings 81 Securities
Expense Ratio 1.48%
Annual Portfolio Turnover 29%
Sales Load and 12b-1 Fees None
Portfolio Holdings -
December 31, 2010
Download Holdings

Note: The fund's annual operating expense ratio can fluctuate and may differ from that found in the prospectus.

For potential separately managed account relationships, please review Kalmar Investments' disclosure statement on Form ADV Part II.

Shares of the Kalmar Pooled Investment Trust are distributed by BNY Mellon Distributors Inc.

  Capital Gain Distributions

 

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