WVMIX

Mid Cap Value Fund

Share Class

Daily NAV (USD)

$13.95

As of 08/12/2026

Why Consider This Fund?

Approach
  • Invests in undervalued mid-cap companies that we believe possess solid balance sheets and free cash flow generation along with management teams that are strong stewards of capital allocation
  • Harnesses the focused knowledge of individual career sector analysts and the collective experience of the team to pinpoint companies that we believe have the potential to outperform the broader market over time
  • Combines a focus on quality companies trading at attractive valuations in an attempt to provide consistent upside capture and downside protection across market cycles

Fund Facts

Fund FactsAs of 07/31/2026
Total Net Assets ($Million)$2
Number of Holdings55
Inception Date03/16/2022
Expense Ratio (Gross)9.25%
Expense Ratio (Net)0.75%
Ticker SymbolWVMIX
CUSIP969251396
BenchmarkRussell Midcap® Value Index

The Fund’s Adviser has contractually agreed to waive fees and/or reimburse expenses to limit fund operating expenses until 4/30/27.