Mutual Funds | GE Funds | Prices & Performance | Short-Term No Load Performance

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GE Investments Funds: Short-Term No Load Performance
Cumulative total returns (%) as of 06/30/2008
 Fund Name Fund
Code
1 Mo 3 Mo 6 Mo 1 Yr Max.
Sales
Charge
Gross
Expense
Ratio
Inception
Date
GE Investments Funds
Income Fund 696 -0.35 -1.55 -0.43 -0.43 N/A 0.60% 01/03/1995
International Equity Fund 634 -8.11 -2.21 -9.61 -9.61 N/A 1.25% 05/01/1995
Mid-Cap Equity Fund 640 -6.90 4.72 -6.47 -6.47 N/A 0.70% 05/01/1997
Money Market Fund 638 0.14 0.51 1.38 1.38 N/A 0.49% 07/01/1985
Premier Growth Equity Fund 649 -7.08 0.26 -6.93 -6.93 N/A 0.71% 12/12/1997
Real Estate Securities Fund 633 -10.79 -4.48 -1.84 -1.84 N/A 0.89% 05/01/1995
S&P 500 Index Fund 628 -8.48 -2.84 -12.14 -12.14 N/A 0.40% 04/15/1985
Small-Cap Equity Fund 697 -7.55 2.68 -5.42 -5.42 N/A 0.86% 04/28/2000
Total Return Fund 1 629 -5.61 -0.69 -6.93 -6.93 N/A N/A 07/01/1985
Total Return Fund 2 630 -5.63 -0.75 -7.00 -7.00 N/A N/A 05/01/2006
Total Return Fund 3 631 -5.62 -0.69 -6.99 -6.99 N/A N/A 05/01/2006
Total Return Fund 4 632 -5.62 -0.75 -7.04 -7.04 N/A N/A 05/01/2006
U.S. Equity Fund 644 -7.46 -0.39 -9.70 -9.70 N/A 0.63% 01/03/1995
Value Equity Fund 695 -6.75 0.43 -8.96 -8.96 N/A 0.80% 04/28/2000
 
The performance information contained in this material represents past performance and does not guarantee future results. Current performance may be higher or lower than the performance data shown. The investment return and principal value of an investment in the GE Investments Funds, Inc., will fluctuate, and the value of your shares, when redeemed, could be more or less than their original cost. Please refer to Long-Term Performance section for the most recent SEC Standardized performance results.

Source: Performance data has been provided by GE Asset Management Incorporated.

Gross Expense Ratio: Applicable total annual fund operating expense ratio, gross of any fee waivers or expense reimbursements, as stated in the fee table of the current prospectus.

Total returns are historical and take into account changes in share price and assume the reinvestment of income dividends and capital gains distributions at net asset value and the deduction of all fund expenses. Average annual returns are shown both with and without the effects of sales charges.

The performance returns for each share class of the Total Return Fund reflects a contractual arrangement with GE Asset Management to limit the total operating expense of each class of the Total Return Fund on an annualized basis through April 30, 2009. Absent this contractual arrangement, the performance return of each share class of the Total Return Fund would have been lower. Please refer to the GE Investment Funds, Inc. prospectus for more information regarding this contractual arrangement.

Current yield is a measure of the net investment income per share earned over a specific seven-day period. The effective yield assumes the compounding of reinvested dividends and is therefore higher. Yield quotations more closely reflect the current earnings of the fund than total return.

An investment in the GE Investments Income Fund and GE Investments Money Market Fund are not insured or guaranteed by the Federal Deposit Insurance Corporation or any other Government agency. Although GE Investments Money Market Fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the Fund.

More complete information about the GE Investments Funds, Inc., including investment objectives, risks, and charges and expenses, can be found in the GE Investments Funds' prospectus available on our website. You should read the prospectus carefully before investing.


GE Investment Distributors, Inc., Member FINRA & SIPC, is a wholly owned
subsidiary of GE Asset Management Incorporated, the investment adviser of the GE Mutual Funds.
Copyright © 2008 GE Asset Management Incorporated. All rights reserved.