Our Funds - Holdings
Aston/ClariVest Mid Cap Growth Fund - N Class (ACVMX)
Fund Profile Fact Sheet PDF
Overview Holdings Management Performance Fund Commentary

Display Full List of Holdings Click to view Sector Breakdown
Top Ten Holdings (as of 7/31/2008)
Company Ticker CUSIP Number of Shares Market Value % of Net Assets
Ametek Inc AME 031100100 189 $9,046 1.98%
Air Products & Chemicals Inc APD 009158106 55 $5,237 1.15%
Cash Equivalents & Other -- -- -- $4,868 1.07%
Apollo Group Inc-cl A APOL 037604105 78 $4,859 1.07%
Affiliated Computer Svcs-a ACS 008190100 96 $4,627 1.01%
Amkor Technology Inc AMKR 031652100 509 $4,459 0.98%
Bmc Software Inc BMC 055921100 119 $3,914 0.86%
Amphenol Corp-cl A APH 032095101 77 $3,671 0.81%
Arrow Electronics Inc ARW 042735100 87 $2,803 0.61%
Avnet Inc AVT 053807103 102 $2,781 0.61%
Annaly Capital Management In NLY 035710409 155 $2,336 0.51%
  $48,599 11%



Powered by a SySys® data & content management system.

Please read important
Disclaimer and Privacy Statement.
Not FDIC Insured. May Lose Value. No Bank Guarantee.
Distributed by PFPC Distributors, Inc. effective December 1, 2006

ContactUs@AstonFunds.com
Give Us Your Feedback