After the Q4 distribution fiasco, I gave some time to think this one over. The fund has done well in the past and the recent rough patch has affected other funds in that sector as well. The two manager losses may have been more than the company could handle. So I sold my shares at today's market close. The funds will be consolidated into other funds I own.
I still own MAINX. Teresa Kong has proved to be not only a top fund manager in a difficult area, but she communicates with her shareholders. In fact I had received a email regarding a question on MAINX last year and the response was very good.
A difficult decision but it appears that MAPIX may be changing into something I didn't invest in for in the first place. If one doesn't have confidence in the management of the fund, then what else is there?
Comments
And, 3 alarm metrics...none so far...
As a former engineer, I am a stats/numbers junkie. Perhaps that's why I so appreciate your compilation of data. But I especially enjoy your ability to post not just the overall risk/return profile for the life of the fund, but also it's 1, 3, 5, and 10 years. Also your risk/return profile over a full market cycle is unmatched by anything I've ever come across.
My question to you, Charles, is how difficult would it be for you to produce the depth of information you have provided in the above example for MAPIX, but for any fund that we input in the risk profile search? I know that is asking a lot of you. But I thoroughly enjoy this extra depth of information. Keep up the great work!
Sincerely,
Mike_E