Baron Emerging Markets Fund Institutional Shares
                        BEXIX
                    
                    
                            NASDAQ
                    
                Rating
						Reward
							Risk
							Fund Information
						Fund Type
							
						Category
							
						Sub-Category
							
						Prospectus Objective
							
						Inception Date
							
						Open/Closed to New Investors
							
						Minimum Initial Investment
							
						Minimum Subsequent Investment
							
						Front End Fee
							
						Back End Fee
							
						Asset Allocation
						Cash
							
						Stock
							
						U.S. Stock
							
						Non U.S. Stock
							
						Bond
							
						U.S. Bond
							
						Non-U.S. Bond
							
						Preferred
							
						Convertible
							
						Other
							
						Services Offered
						Top Holdings
							
					Similar Funds
							Performance
						Beta
							
						7-Day Total Return
							
						30-Day Total Return
							
						60-Day Total Return
							
						90-Day Total Return
							
						Year to Date Total Return
							
						1-Year Total Return
							
						2-Year Total Return
							
						3-Year Total Return
							
						5-Year Total Return
							
						Last Bull Market Total Return
							
						Last Bear Market Total Return
							
						Forward Dividend Yield
							
						Price
						1-Month Low
							
								--
							
						1-Month High
							
								--
							
						52-Week Low
							
								-- - --
							
						52-Week High
							-- - --
						NAV
						1-Month Low
							
						1-Month High
							
						52-Week Low
							
						52-Week High
							
						Company Information
						Provider
							Baron Capital Group, Inc.
						Manager/Tenure 
(Years)
							(Years)
Michael Kass (14)
						Address
							
								767 Fifth Avenue, 48th Floor 
New York NY - 10153
						New York NY - 10153
Country
							  United States
						Phone Number
							 800-992-2766
						Investment Strategy
						 The investment seeks capital appreciation. The fund normally invests 80% of its net assets in equity securities in the form of common stock of growth companies domiciled, headquartered or whose primary business activities or principal trading markets are in developing countries. A developing country is a country included in the MSCI Emerging Markets (EM) Index and other countries determined by the Adviser to be developing countries based on classifications made by the International Monetary Fund or on country characteristics similar to those of the countries in the EM index.