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Victory Munder Mid-Cap Core Growth Fund
  • The Fund seeks to deliver long-term capital appreciation by investing in a diversified portfolio of primarily domestic, medium-sized companies.
  • The Fund focuses on securities that exhibit superior earnings growth, return on invested capital and positive earnings/price momentum, and whose stock trades at reasonable valuations.
  • Intense fundamental, bottom-up stock research is coupled with robust risk controls to pursue positive risk-adjusted performance versus the benchmark over a market cycle.
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Summary prospectus, prospectus, annual and semi-annual reports, and SAI

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What are risk measures?

Risk Measures

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Top 10 Holdings

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What are characteristics?

Characteristics

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Sector Diversification

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Asset Allocation

Investment Approach 
 
The Victory Munder Mid-Cap Core Growth Fund’s management team seeks to provide long-term capital appreciation in the Fund by investing in a diversified portfolio of medium sized (mid-capitalization) companies. Medium sized means those companies with market capitalizations within the range of companies included in the Russell Midcap® Index or within the range of companies included in the S&P MidCap 400® Index. 
 
Philosophy & Process 
 
The Fund’s investment style focuses on companies that have growth prospects and are reasonably valued. This is known as GARP (Growth at a Reasonable Price). Specifically, the management team looks to invest in companies that have consistent and higher-than-average earnings growth, are financially stable with a below average debt level, have a leadership position in their industry and an effective management team, and whose stock price is attractive relative to the market and the company’s growth rate. 

 
The management team’s process is designed to achieve consistent long-term returns across the full breadth of market conditions and economic cycles. The focus of its investment process is on security selection and risk management. The team believes this is the best way to position the Fund to achieve an optimal balance between potential reward and investment risk over a complete market cycle. 

 

Management Team

Tony Dong
Tony Dong

Vice Chairman, Chief Investment Officer and Senior Portfolio Manager

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