Russell Investments Investment Grade Bond Fund Class M
RIWTX
NASDAQ
Weiss Ratings | RIWTX-NASDAQ | Click to Compare |
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Rating | ||||
Reward Index | Weak | |||
Reward Grade | D | |||
Risk Index | Fair | |||
Risk Grade | C- | |||
Company Info | RIWTX-NASDAQ | Click to Compare |
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Provider | Russell | |||
Manager/Tenure (Years) | Brian Pringle (0), Riti Samanta (0) | |||
Website | http://https://russellinvestments.com | |||
Fund Information | RIWTX-NASDAQ | Click to Compare |
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Fund Name | Russell Investments Investment Grade Bond Fund Class M | |||
Category | Intermediate Core Bond | |||
Sub-Category | US Fixed Income | |||
Prospectus Objective | Multisector Bond | |||
Inception Date | Mar 16, 2017 | |||
Open/Closed To New Investors | Open | |||
Minimum Initial Investment | 0.00 | |||
Minimum Subsequent Investment | -- | |||
Front End Fee | -- | |||
Back End Fee | -- | |||
Dividends and Shares | RIWTX-NASDAQ | Click to Compare |
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Dividend Yield | 4.78% | |||
Dividend | RIWTX-NASDAQ | Click to Compare |
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Dividend Yield (Forward) | 0.00% | |||
Asset Allocation | RIWTX-NASDAQ | Click to Compare |
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Cash | 7.50% | |||
Stock | 0.05% | |||
U.S. Stock | 0.05% | |||
Non-U.S. Stock | 0.00% | |||
Bond | 92.41% | |||
U.S. Bond | 83.53% | |||
Non-U.S. Bond | 8.88% | |||
Preferred | 0.00% | |||
Convertible | 0.03% | |||
Other Net | 0.00% | |||
Price History | RIWTX-NASDAQ | Click to Compare |
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7-Day Total Return | -0.32% | |||
30-Day Total Return | 0.86% | |||
60-Day Total Return | 2.36% | |||
90-Day Total Return | 2.16% | |||
Year to Date Total Return | 6.15% | |||
1-Year Total Return | 2.59% | |||
2-Year Total Return | 15.11% | |||
3-Year Total Return | 14.93% | |||
5-Year Total Return | -3.48% | |||
Price | RIWTX-NASDAQ | Click to Compare |
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Closing Price | -- | |||
1-Month Low Price | -- | |||
1-Month High Price | -- | |||
52-Week Low Price | -- | |||
52-Week Low Price (Date) | -- | |||
52-Week High Price | -- | |||
52-Week High Price (Date) | -- | |||
NAV | RIWTX-NASDAQ | Click to Compare |
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Nav | $18.51 | |||
1-Month Low NAV | $18.38 | |||
1-Month High NAV | $18.65 | |||
52-Week Low NAV | $17.68 | |||
52-Week Low NAV (Date) | Jan 13, 2025 | |||
52-Week High NAV | $18.96 | |||
52-Week High Price (Date) | Oct 01, 2024 | |||
Beta / Standard Deviation | RIWTX-NASDAQ | Click to Compare |
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Beta | 0.98 | |||
Standard Deviation | 6.87 | |||
Balance Sheet | RIWTX-NASDAQ | Click to Compare |
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Total Assets | 1.03B | |||
Operating Ratios | RIWTX-NASDAQ | Click to Compare |
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Expense Ratio | 0.41% | |||
Turnover Ratio | 77.00% | |||
Performance | RIWTX-NASDAQ | Click to Compare |
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Last Bull Market Total Return | 6.47% | |||
Last Bear Market Total Return | -5.30% | |||