Morningstar Style Box
High
Med.
Low
Val. Core GR. 

Equity Income Fund
Equity Funds

  • a Shares (BAEIX)
    Inception: 06.30.2004
  • c Shares (BCEGX)
    Inception: 06.30.2004
  • i Shares (BEGIX)
    Inception: 06.30.2004
  • r Shares (BAERX)
    Inception: 06.30.2004

Fund Overview

Philosophy and Process

The Fund's management team utilizes fundamental analysis overlaid with top-down macroeconomic trends. They look for the best ideas that include companies with strong balance sheets that are reasonably valued and have shown market share/sales gains over time with a credible plan to continue such growth in the future. Valuation is key to the management of the Fund and the management team evaluates on the front end and buys basic businesses that are in demand all the time, have done well in past market downturns and where management has a vested interest in the value per share of the stock. The Fund represents a concentrated portfolio utilizing "best ideas" with typical number of holdings between 24 to 30 common stocks/ADRs.

Dividends matter to the management team and they only include companies that have raised their dividends for the last three consecutive years or for six of the last 10 years. They target stocks with dividend yields greater than 2%.

Investment Considerations

The Fund invests primarily in dividend-paying securities but also in convertible securities in search of yield. These securities may be undervalued not performing as anticipated and its value could be negatively affected by a rise in interest rates. The Fund may engage in writing covered call options. By selling covered call options, the Fund limits its opportunity to profit from an increase in the price of the underlying stock above the exercise price, but continues to bear the risk of a decline in the stock. While the Fund receives premiums for writing the call options, the price it realizes from the exercise of an option could be substantially below a stock's current market price.

Fund Facts
Class A Shares Class C Shares Inst'l Shares Class R Shares
Ticker BAEIX BCEGX BEGIX BAERX
Inception Date 06/30/2004 06/30/2004 06/30/2004 06/30/2004
Investment Minimum $1,000.00 $1,000.00 $1,000,000.00 $1,000.00
Subsequent Investment Minimum* $0.00 $0.00 $0.00 $0.00
Max. Up Front Sales Charge 5.75% N/A N/A N/A
Max. Deferred Sales Charge N/A 1.00% N/A N/A

*If subsequent investments are made as part of an AIP, the minimum is $25.

Management



The Investment Team Supporting the Fund:



Performance

Average Annual Total Returns as of (06/30/2017)
Class A Shares Class C Shares Inst'l Shares Class R Shares
without sales charge with 5.75% sales charge without sales charge with 1.00% sales charge
3 Months 3.05% -2.85% 2.93% 1.93% 3.16% 3.02%
YTD 7.14% 0.95% 6.75% 5.75% 7.30% 7.03%
1 Year 16.89% 10.17% 16.02% 16.02% 17.14% 16.57%
3 Years 5.80% 3.73% 5.02% 5.02% 6.07% 5.55%
5 Years 10.09% 8.79% 9.27% 9.27% 10.36% 9.82%
10 Years 6.79% 6.16% 6.00% 6.00% 7.06% 6.68%
Since Inception 9.54% 9.04% 8.72% 8.72% 9.81% 9.51%

The total expense ratios for Class A, C, I and R Shares are 1.07%, 1.82%, 0.82% and 1.32%, respectively. 

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain performance information current to the most recent month end, please visit www.sterlingcapitalfunds.com/funds/performance-summary/.

The performance of the Equity Income Fund reflects the deduction of fees for value-added services associated with a mutual fund, such as investment management and fund accounting fees. The inception date for Class A Shares is 6/30/04. The inception date for Class C Shares is 6/30/04. The performance shown reflects the reinvestment of all dividend and capital gains distributions.


Performance Summary

Characteristics

Top 10 Holdings
as of (06/30/2017)
NameValue
Abbott Laboratories4.83%
Accenture PLC, Class A4.59%
Enbridge, Inc.4.52%
Discover Financial Services4.25%
AbbVie, Inc.4.16%
QUALCOMM, Inc.4.08%
PepsiCo, Inc.4.03%
Johnson & Johnson3.92%
Microsoft Corp.3.92%
United Parcel Service, Inc., Class B3.86%

Current and future portfolio holdings are subject to change and risk.Based on
Market Value of securities.

Sector Breakdown
as of (06/30/2017)

Hover over slice to view more info.

Sector Breakdown
as of (06/30/2017)
Sector Fund
HEALTH CARE 25.83%
INFORMATION TECHNOLOGY 16.39%
FINANCIALS 11.94%
CONSUMER DISCRETIONARY 11.58%
INDUSTRIALS 11.36%
ENERGY 6.60%
CONSUMER STAPLES 6.47%
TELECOMMUNICATION SERVICES 3.77%
MATERIALS 1.55%
Real Estate 1.41%
Cash & Equivalents 3.10%

Allocations are based on the current weight to funds in the cited Sector. The composition of the fund's holdings is subject to change.

Current and future portfolio holdings are subject to change and risk.

Growth of 10k
as of (06/30/2017)

Hover over line chart to view data points.

Growth of 10k
as of (06/30/2017)
Date Portfolio Benchmark 1 Benchmark 2
Equity Income Fund 06/30/2017 $19,293.00 $17,187.00 $0.00
Equity Income Fund 04/30/2017 $18,896.00 $16,911.00 $0.00
Equity Income Fund 03/31/2017 $18,703.00 $16,927.00 $0.00
Equity Income Fund 03/31/2017 $18,722.00 $16,959.00 $0.00
Equity Income Fund 01/31/2017 $18,690.00 $17,134.00 $0.00
Equity Income Fund 12/31/2016 $17,999.00 $16,539.00 $0.00
Equity Income Fund 12/31/2016 $18,009.00 $16,422.00 $0.00
Equity Income Fund 10/31/2016 $17,751.00 $16,022.00 $0.00
Equity Income Fund 09/30/2016 $16,903.00 $15,156.00 $0.00
Equity Income Fund 09/30/2016 $17,436.00 $15,395.00 $0.00
Equity Income Fund 07/31/2016 $17,350.00 $15,427.00 $0.00
Equity Income Fund 06/30/2016 $16,505.00 $14,877.00 $0.00
Equity Income Fund 06/30/2016 $17,189.00 $15,309.00 $0.00
Equity Income Fund 04/30/2016 $16,491.00 $14,749.00 $0.00
Equity Income Fund 03/31/2016 $16,226.00 $14,524.00 $0.00
Equity Income Fund 03/31/2016 $16,207.00 $14,225.00 $0.00
Equity Income Fund 01/31/2016 $15,230.00 $13,269.00 $0.00
Equity Income Fund 12/31/2015 $15,089.00 $13,272.00 $0.00
Equity Income Fund 12/31/2015 $15,606.00 $13,996.00 $0.00
Equity Income Fund 10/31/2015 $15,931.00 $14,303.00 $0.00
Equity Income Fund 09/30/2015 $16,238.00 $14,249.00 $0.00
Equity Income Fund 09/30/2015 $15,228.00 $13,249.00 $0.00
Equity Income Fund 07/31/2015 $15,796.00 $13,661.00 $0.00
Equity Income Fund 06/30/2015 $16,810.00 $14,527.00 $0.00
Equity Income Fund 06/30/2015 $16,574.00 $14,463.00 $0.00
Equity Income Fund 04/30/2015 $17,009.00 $14,758.00 $0.00
Equity Income Fund 03/31/2015 $16,782.00 $14,583.00 $0.00
Equity Income Fund 03/31/2015 $16,304.00 $14,447.00 $0.00
Equity Income Fund 01/31/2015 $16,517.00 $14,647.00 $0.00
Equity Income Fund 12/31/2014 $15,650.00 $13,971.00 $0.00
Equity Income Fund 12/31/2014 $16,119.00 $14,553.00 $0.00
Equity Income Fund 10/31/2014 $16,241.00 $14,464.00 $0.00
Equity Income Fund 09/30/2014 $15,889.00 $13,862.00 $0.00
Equity Income Fund 09/30/2014 $16,073.00 $14,174.00 $0.00
Equity Income Fund 07/31/2014 $16,258.00 $14,154.00 $0.00
Equity Income Fund 06/30/2014 $15,782.00 $13,652.00 $0.00
Equity Income Fund 06/30/2014 $16,292.00 $13,889.00 $0.00
Equity Income Fund 04/30/2014 $16,053.00 $13,535.00 $0.00
Equity Income Fund 03/31/2014 $15,678.00 $13,340.00 $0.00
Equity Income Fund 03/31/2014 $15,470.00 $13,215.00 $0.00
Equity Income Fund 01/31/2014 $15,156.00 $12,906.00 $0.00
Equity Income Fund 12/31/2013 $15,512.00 $12,827.00 $0.00
Equity Income Fund 12/31/2013 $14,708.00 $12,371.00 $0.00
Equity Income Fund 10/31/2013 $15,298.00 $12,510.00 $0.00
Equity Income Fund 09/30/2013 $14,971.00 $12,171.00 $0.00
Equity Income Fund 09/30/2013 $14,476.00 $11,660.00 $0.00
Equity Income Fund 07/31/2013 $14,214.00 $11,375.00 $0.00
Equity Income Fund 06/30/2013 $14,628.00 $11,824.00 $0.00
Equity Income Fund 06/30/2013 $14,325.00 $11,218.00 $0.00
Equity Income Fund 04/30/2013 $14,351.00 $11,318.00 $0.00
Equity Income Fund 03/31/2013 $13,899.00 $10,870.00 $0.00
Equity Income Fund 03/31/2013 $14,303.00 $11,034.00 $0.00
Equity Income Fund 01/31/2013 $13,371.00 $10,456.00 $0.00
Equity Income Fund 12/31/2012 $13,276.00 $10,308.00 $0.00
Equity Income Fund 12/31/2012 $12,533.00 $9,679.00 $0.00
Equity Income Fund 10/31/2012 $12,423.00 $9,483.00 $0.00
Equity Income Fund 09/30/2012 $12,461.00 $9,487.00 $0.00
Equity Income Fund 09/30/2012 $12,477.00 $9,534.00 $0.00
Equity Income Fund 07/31/2012 $12,429.00 $9,240.00 $0.00
Equity Income Fund 06/30/2012 $12,196.00 $9,044.00 $0.00
Equity Income Fund 06/30/2012 $11,932.00 $8,951.00 $0.00
Equity Income Fund 04/30/2012 $11,567.00 $8,528.00 $0.00
Equity Income Fund 03/31/2012 $12,163.00 $9,059.00 $0.00
Equity Income Fund 03/31/2012 $12,148.00 $9,153.00 $0.00
Equity Income Fund 01/31/2012 $11,964.00 $8,889.00 $0.00
Equity Income Fund 12/31/2011 $11,617.00 $8,548.00 $0.00
Equity Income Fund 12/31/2011 $11,401.00 $8,237.00 $0.00
Equity Income Fund 10/31/2011 $11,202.00 $8,074.00 $0.00
Equity Income Fund 09/30/2011 $10,187.00 $7,282.00 $0.00
Equity Income Fund 09/30/2011 $11,110.00 $8,116.00 $0.00
Equity Income Fund 07/31/2011 $10,687.00 $7,878.00 $0.00
Equity Income Fund 06/30/2011 $10,948.00 $8,402.00 $0.00
Equity Income Fund 06/30/2011 $11,193.00 $8,690.00 $0.00
Equity Income Fund 04/30/2011 $11,292.00 $8,872.00 $0.00
Equity Income Fund 03/31/2011 $11,353.00 $8,967.00 $0.00
Equity Income Fund 03/31/2011 $11,040.00 $8,734.00 $0.00
Equity Income Fund 01/31/2011 $11,025.00 $8,700.00 $0.00
Equity Income Fund 12/31/2010 $10,698.00 $8,390.00 $0.00
Equity Income Fund 12/31/2010 $10,561.00 $8,205.00 $0.00
Equity Income Fund 10/31/2010 $10,012.00 $7,605.00 $0.00
Equity Income Fund 09/30/2010 $10,141.00 $7,645.00 $0.00
Equity Income Fund 09/30/2010 $9,898.00 $7,422.00 $0.00
Equity Income Fund 07/31/2010 $9,314.00 $6,888.00 $0.00
Equity Income Fund 06/30/2010 $8,770.00 $6,740.00 $0.00
Equity Income Fund 06/30/2010 $9,397.00 $7,196.00 $0.00
Equity Income Fund 04/30/2010 $8,959.00 $7,142.00 $0.00
Equity Income Fund 03/31/2010 $9,500.00 $7,781.00 $0.00
Equity Income Fund 03/31/2010 $9,590.00 $7,585.00 $0.00
Equity Income Fund 01/31/2010 $9,156.00 $7,121.00 $0.00
Equity Income Fund 12/31/2009 $8,924.00 $6,903.00 $0.00
Equity Income Fund 12/31/2009 $9,104.00 $7,103.00 $0.00
Equity Income Fund 10/31/2009 $8,956.00 $6,980.00 $0.00
Equity Income Fund 09/30/2009 $8,524.00 $6,607.00 $0.00
Equity Income Fund 09/30/2009 $8,502.00 $6,816.00 $0.00
Equity Income Fund 07/31/2009 $8,231.00 $6,562.00 $0.00
Equity Income Fund 06/30/2009 $8,105.00 $6,236.00 $0.00
Equity Income Fund 06/30/2009 $7,676.00 $5,764.00 $0.00
Equity Income Fund 04/30/2009 $7,679.00 $5,807.00 $0.00
Equity Income Fund 03/31/2009 $7,171.00 $5,469.00 $0.00
Equity Income Fund 03/31/2009 $6,774.00 $4,940.00 $0.00
Equity Income Fund 01/31/2009 $6,342.00 $4,550.00 $0.00
Equity Income Fund 12/31/2008 $6,980.00 $5,252.00 $0.00
Equity Income Fund 12/31/2008 $7,406.00 $5,935.00 $0.00
Equity Income Fund 10/31/2008 $7,235.00 $5,853.00 $0.00
Equity Income Fund 09/30/2008 $7,905.00 $6,306.00 $0.00
Equity Income Fund 09/30/2008 $8,981.00 $7,626.00 $0.00
Equity Income Fund 07/31/2008 $9,577.00 $8,230.00 $0.00
Equity Income Fund 06/30/2008 $9,541.00 $8,093.00 $0.00
Equity Income Fund 06/30/2008 $9,663.00 $8,122.00 $0.00
Equity Income Fund 04/30/2008 $10,290.00 $8,982.00 $0.00
Equity Income Fund 03/31/2008 $10,074.00 $8,996.00 $0.00
Equity Income Fund 03/31/2008 $9,680.00 $8,578.00 $0.00
Equity Income Fund 01/31/2008 $9,684.00 $8,643.00 $0.00
Equity Income Fund 12/31/2007 $9,991.00 $9,397.00 $0.00
Equity Income Fund 12/31/2007 $9,784.00 $9,021.00 $0.00
Equity Income Fund 10/31/2007 $10,110.00 $9,489.00 $0.00
Equity Income Fund 09/30/2007 $10,472.00 $9,977.00 $0.00
Equity Income Fund 09/30/2007 $10,260.00 $9,976.00 $0.00
Equity Income Fund 07/31/2007 $10,054.00 $9,644.00 $0.00
Equity Income Fund 06/30/2007 $9,728.00 $9,538.00 $0.00
Equity Income Fund 06/30/2007 $10,000.00 $10,000.00 $0.00
View more archived data

The Growth of $10,000 chart is hypothetical based upon the performance of A Shares at NAV for the period ended 06/30/2017. It includes the reinvestment of dividends and capital gains.

Statistics

Portfolio Statistics
as of (06/30/2017)
Alpha 2.79
Beta 0.72
R-Squared 88.33
Standard Deviation 12.24
Sharpe Ratio 0.54
Weighted Avg Market Cap. $118.7B
Portfolio Ratios
as of (06/30/2017)
P/E Ratio 19.50
P/B Ratio 3.29
Annual Turnover 13%

*The Funds composition is subject to change.
*Annual Turnover Ratio is 12 month rolling calculation.
*Alpha, Beta, R-Squared, Standard Deviation, and Sharpe Ratio are based on a 10-year calculation.
*Click for a glossary of terms

 


Sterling Capital Funds are:

Not a deposit - Not FDIC insured - Not guaranteed by the bank - Not insured by any government agency - May lose value

An investor should consider a fund's investment objectives, risks, and charges and expenses carefully before investing or sending money. This and other important information about the Sterling Capital Funds can be found in the Funds' prospectus. To obtain a prospectus, please call 1 (888) 228-1872 or click here. Please read the prospectus carefully before investing.

Sterling Capital Management LLC, a separate subsidiary of BB&T Corporation, serves as investment adviser to the Sterling Capital Funds and is paid a fee for its services as described in the prospectus. The Funds are distributed by Sterling Capital Distributors LLC, which is not affiliated with Branch Banking and Trust Company or its affiliates. The Funds are not insured by the FDIC or any other government agency