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Fund Information

Pre-Tax
After-Tax
After-Tax Post-Sales
Monthly
Quarterly (standardized)

    All Data as of 8/31/2010

Average Annualized Total Returns
Symbol Fund 1 Month
(%)
3 Month
(%)
YTD
(%)
1 Year
(%)
3 Year
(%)
5 Year
(%)
10 Year
(%)
Since
Inception
Inception
Date
Expense Ratio
(Gross/Net %)
Core Strategy Fund
DXDWX Direxion/Wilshire Dynamic Fund - Investor Class -1.71 1.08 -0.40 5.59 - - - 27.40 3/2/2009 1.82 / 1.82
DXWCX Direxion/Wilshire Dynamic Fund - C Share -1.74 0.94 - - - - - -0.45 3/1/2010 2.32 / 2.32
Managed Tactical Funds
DXCTX Commodity Trends Strategy Fund - Investor Class -0.67 -10.87 -21.03 -21.70 - - - -11.42 6/10/2008 1.87 / 1.87
DXSCX Commodity Trends Strategy Fund - C Share -0.72 -10.96 - - - - - -11.95 3/1/2010 2.37 / 2.37
DXFTX Financial Trends Strategy Fund - Investor Class 0.68 0.86 1.41 -0.91 - - - -1.29 3/2/2009 1.88 / 1.88
DXFCX Financial Trends Strategy Fund - C Share 0.65 0.72 - - - - - 0.62 3/1/2010 2.38 / 2.38
DXIIX Direxion Long/Short Global IPO Fund - Investor Class 1.26 0.88 - - - - - -0.77 3/1/2010 1.90 / 1.90
DXGCX Direxion Long/Short Global IPO Fund - C Share 1.19 0.71 - - - - - -0.97 3/1/2010 2.40 / 2.40
Tactical Trading Funds
Monthly Leveraged Index Funds
Domestic
DXSLX Monthly S&P 500® Bull 2x Fund -9.30 -7.86 -12.67 5.46 -35.98 - - -23.29 5/1/2006 1.90 / 1.90
DXSSX Monthly S&P 500® Bear 2x Fund 8.79 3.05 1.42 -19.91 -13.15 - - -14.60 5/1/2006 1.90 / 1.90
DXQLX Monthly NASDAQ 100® Bull 2x Fund -10.35 -10.25 -12.93 15.51 -27.13 - - -15.92 5/1/2006 1.90 / 1.90
DXQSX Monthly NASDAQ 100® Bear 2x Fund 9.89 5.22 -0.73 -29.40 -26.51 - - -25.96 5/1/2006 1.90 / 1.90
DXRLX Monthly Small Cap Bull 2x Fund -14.93 -18.58 -10.28 9.08 -37.45 -23.65 -11.50 -8.31 2/22/1999 1.90 / 1.90
DXRSX Monthly Small Cap Bear 2x Fund 14.56 13.56 -6.50 -29.32 -31.01 -26.88 -18.87 -18.85 12/21/1999 1.90 / 1.90
International
DXZLX Monthly Latin America Bull 2x Fund -5.96 12.56 -14.64 30.97 -21.91 - - -7.03 5/1/2006 1.90 / 1.90
DXHLX Monthly China Bull 2x Fund -9.83 0.78 -14.83 -1.92 - - - -46.64 12/3/2007 1.90 / 1.90
DXDLX Monthly Developed Markets Bull 2x Fund -7.92 8.01 -20.59 -12.42 -33.01 - - -16.99 1/25/2006 1.90 / 1.90
DXDSX Monthly Developed Markets Bear 2x Fund 7.35 -14.54 4.88 -9.45 -13.99 - - -19.02 2/6/2006 1.90 / 1.90
DXELX Monthly Emerging Markets Bull 2x Fund -6.86 9.54 -11.74 20.73 -27.97 - - -4.40 11/1/2005 1.90 / 1.90
DXESX Monthly Emerging Markets Bear 2x Fund 6.13 -15.11 -6.62 -36.74 -53.68 - - -51.93 11/4/2005 1.90 / 1.90
Fixed Income
DXKLX Monthly 10 Year Note Bull 2x Fund 7.71 15.30 27.30 19.41 18.86 10.54 - 10.64 3/31/2005 1.90 / 1.90
DXKSX Monthly 10 Year Note Bear 2x Fund -8.31 -15.53 -26.09 -24.06 -21.92 -12.57 - -12.41 5/17/2004 1.90 / 1.90
Commodity
DXCLX Monthly Commodity Bull 2x Fund -3.06 2.61 -11.04 19.65 -18.49 -5.15 - -0.72 2/17/2005 1.90 / 1.90
Currency
DXDBX Monthly Dollar Bull 2x Fund 3.45 -10.13 8.54 5.08 - - - 1.93 6/2/2008 1.90 / 1.90
DXDDX Monthly Dollar Bear 2x Fund -3.75 8.46 -13.29 -12.86 -2.91 - - 0.86 6/13/2006 1.90 / 1.90
HY Bonds
PDHYX Dynamic HY Bond Fund -1.61 0.91 -1.43 8.97 -2.89 0.73 - 0.44 7/1/2004 1.86 / 1.86
PHBRX HY Bear Fund 1.27 -2.33 -4.18 -15.44 -6.04 - - -4.35 9/20/2005 1.92 / 1.92
Money Market Fund
DXMXX US Government Money Market 0.01 0.02 0.05 0.06 0.85 2.02 1.75 2.35 10/20/1997 1.20 / 1.20

Alternative Strategy Funds - Institutional Class

Evolution Managed Funds Shareholders

HCM Freedom Fund Shareholders

PSI Funds Shareholders

Spectrum Funds Shareholders

The performance data quoted represents past performance; past performance does not guarantee future results; the investment return and principal value of an investment will fluctuate; an investor's shares, when redeemed, may be worth more or less than their original cost; current performance may be lower or higher than the performance quoted. Returns for performance for one year and under are cumulative, not annualized. Short term performance, in particular, is not a good indication of the fund's future performance, and an investment should not be made based solely on returns. For additional information, see the fund(s) prospectus.

An investment in the Direxion US Government Money Market Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Fund seeks to preserve the value of an investment at $1.00 per share, it is possible to lose money by investing in the Fund.

An investor should consider the investment objectives, risks, charges, and expenses of the Direxion Funds carefully before investing. The prospectus contains this and other information about Direxion Funds. To obtain a prospectus, please contact the Direxion Funds at (800) 851-0511. The prospectus should be read carefully before investing.

Investing in index funds may be more volatile than investing in broadly diversified funds. The use of leverage by a mutual fund increases the risk to the fund. The more a fund invests in leveraged instruments the more the leverage will magnify gains or losses on those investments.

The risks associated with the funds are detailed in the prospectuses which include Adverse Market Conditions Risk, Adviser's Investment Strategy Risk, Aggressive Investment Techniques Risk, Commodities Risk, Concentration Risk, Counterparty Risk, Credit Risk, Currency Exchange Rate Risk, Debt Instrument Risk, Depositary Receipt Risk, Early Close/Trading Halt Risk, Emerging Markets Risk, Equity Securities Risk, Foreign Securities Risk, Gain Limitation Risk, Geographic Concentration Risk, Interest Rate Risk, Intra-Calendar Month Investment Risk, Inverse Correlation Risk, Leverage Risk, Lower-Quality Debt Securities, Market Risk, Market Timing Activity and High Portfolio Turnover, Monthly Correlation Risk, and Negative Implications of Monthly Goals in Volatile Market.

For a full description of the Fund(s) risks, see the prospectus.

Each Fund's share price is calculated as of the close of regular trading, usually as of 4:00 p.m. Eastern Time, each day the New York Stock Exchange is open for business. Each Fund's seeks to meet its investment objective relative to the value of the target index or benchmark as of 4:00 p.m.

  • After-Tax and After-Tax, Post Sales Returns

    Tax-adjusted returns and tax cost ratio are estimates of the impact taxes have had on a fund. We assume the highest tax rate in calculating these figures. These returns follow the SEC guidelines for calculating returns before sale of shares. Tax-adjusted returns show a fund's annualized after tax total return for the one, three and five year periods, excluding any capital-gains effects that would result from selling the fund at the end of the period. To determine this figure, all income and short-term capital gains distributions are taxed at the maximum federal rate at the time of distribution. Long-term capital gains are taxed at a 15% rate. The after tax portion is then assumed to be reinvested in the fund. State and local taxes are not included in our calculations. For more information, please consult your tax consultant.


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