Skip to main content
Search
Investments

Fund family performance

View standardized performance in the quarterly report.(.pdf)

As of Tuesday, April 30, 2013

Growth Index Fund

  One month Three month Year-to date One year Three years Five years Since inception

A Share (MGNDX)

Inception: May 01, 2007

No Load (%) 1.89 6.87 11.19 13.10 12.26 5.86 4.55

Load * (%) -3.44 1.25 5.38 7.13 10.25 4.73 3.62
  Gross expenses Net expenses    

A Share (MGNDX)

1.26   1.08      

*

Load: Assumes maximum sales charge of: 5.25%

Intermediate Income Fund

  One month Three month Year-to date One year Three years Five years Ten years

A Share (MIIAX)

Inception: May 12, 1999

No Load (%) 0.77 1.41 0.97 3.78 5.04 5.97 4.84

Load * (%) -3.04 -2.44 -2.83 -0.13 3.72 5.17 4.45
  Gross expenses Net expenses    

A Share (MIIAX)

1.07   0.98      

*

Load: Assumes maximum sales charge of: 3.75%

International Index Fund

  One month Three month Year-to date One year Three years Five years Since inception

A Share (MPLAX)

Inception: Dec 31, 2010

No Load (%) 3.83 2.66 6.02 13.34     1.21

Load * (%) -1.67 -2.71 0.50 7.36     -1.09
  Gross expenses Net expenses    

A Share (MPLAX)

1.73   1.73      

*

Load: Assumes maximum sales charge of: 5.25%

Small Cap Fund

  One month Three month Year-to date One year Three years Five years Since inception

A Share (MMSCX)

Inception: May 01, 2007

No Load (%) -3.33 -0.67 4.94 3.79 12.56 6.20 3.16

Load * (%) -8.40 -5.86 -0.59 -1.63 10.55 5.07 2.24
  Gross expenses Net expenses    

A Share (MMSCX)

1.92   1.73      

*

Load: Assumes maximum sales charge of: 5.25%

Value Index Fund

  One month Three month Year-to date One year Three years Five years Ten years

A Share (MVIAX)

Inception: May 01, 2001

No Load (%) 2.05 7.56 14.22 20.10 10.21 2.57 6.07

Load * (%) -3.30 1.94 8.26 13.84 8.23 1.46 5.49
  Gross expenses Net expenses    

A Share (MVIAX)

1.21   1.21      

*

Load: Assumes maximum sales charge of: 5.25%


Gross expenses reflect the expense ratio as reported in the prospectus dated April 30, 2013.
Net expenses reflect contractual fee waivers in effect from May 1, 2013, through April 30, 2014, for the Praxis Growth Index Fund, Praxis Intermediate Income Fund, Praxis Small Cap Fund and Praxis International Index Fund. 
You should consider the fund's investment objectives, risks and charges and expenses carefully before you invest. The fund's prospectus contains this and other information. Call (800) 977-2947 or visit www.praxismutualfunds.com for a prospectus, which you should read carefully before you invest. Praxis Mutual Funds are advised by Everence Capital Management and distributed through FINRA member BHIL Distributors Inc. Investment products offered are not FDIC insured, may lose value, and have no bank guarantee.
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 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.praxismutualfunds.com.