DGCIX Mutual Fund
DGCIX Mutual Fund
NAV$14.85
AUM$704M
TER0.54%
Holdings240
DGCIX Mutual Fund
NAV$14.85
Nomura Corporate Bond Fund Institutional Class
AUM$704M
TER0.54%
Holdings240
DGCIX Mutual Fund Sector Allocation
DGCIX sector allocation breaks down across Financials (21.9%), Utilities (5.9%), Industrials (5.6%), Energy (4.6%), Real Estate (4.5%). Across 240 holdings, this breakdown reveals the mutual fund's investment focus and diversification.
DGCIX sector exposure is important for understanding concentration risk. The fund shows reasonable diversification across sectors.
DGCIX geographic allocation shows country exposure. DGCIX overlap calculator reveals how sector exposure compares with other funds.