Resources

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Fund NameTickerShare ClassFact SheetQuarterly ReviewCommentaryHoldings
Global Equity
Global Leaders FundWGFIXClass I
Global Leaders FundWGGNXClass N
Global Leaders FundBGGIXClass R6
International Leaders FundWILIXClass I
International Leaders FundWILNXClass N
International Leaders FundWILJXClass R6
International Growth FundBIGIXClass I
International Growth FundWBIGXClass N
International Growth FundWBIRXClass R6
International Small Cap Growth FundWISIXClass I
International Small Cap Growth FundWISNXClass N
International Small Cap Growth FundWIISXClass R6
Emerging Markets Leaders FundWBELXClass I
Emerging Markets Leaders FundWELNXClass N
Emerging Markets Leaders FundWELIXClass R6
Emerging Markets Growth FundWBEIXClass I
Emerging Markets Growth FundWBENXClass N
Emerging Markets Growth FundBIEMXClass R6
Emerging Markets ex China Growth FundWXCIXClass I
Emerging Markets ex China Growth FundWXCRXClass R6
Emerging Markets Small Cap Growth FundBESIXClass I
Emerging Markets Small Cap Growth FundWESNXClass N
Emerging Markets Small Cap Growth FundWESJXClass R6
China Growth FundWICGXClass I
China Growth FundWRCGXClass R6
U.S. Growth and Core Equity
Growth FundBGFIXClass I
Growth FundWBGSXClass N
Growth FundBGFRXClass R6
Large Cap Growth FundLCGFXClass I
Large Cap Growth FundLCGNXClass N
Large Cap Growth FundLCGJXClass R6
Small-Mid Cap Growth FundWSMDXClass I
Small-Mid Cap Growth FundWSMNXClass N
Small-Mid Cap Growth FundWSMRXClass R6
Small-Mid Cap Core FundWBCIXClass I
Small-Mid Cap Core FundWBCRXClass R6
Small Cap Growth FundWBSIXClass I
Small Cap Growth FundWBSNXClass N
Small Cap Growth FundWBSRXClass R6
U.S. Value Equity
Mid Cap Value FundWVMIXClass I
Mid Cap Value FundWVMRXClass R6
Small-Mid Cap Value FundISMVXClass I
Small-Mid Cap Value FundRSMVXClass R6
Small Cap Value FundICSCXClass I
Small Cap Value FundWBVNXClass N
Small Cap Value FundWBVRXClass R6
Emerging Markets Debt
Emerging Markets Debt FundWEDIXClass I
-
Emerging Markets Debt FundWEDRXClass R6
-

Download the holdings for our Institutional International Growth Fund.

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Strategy NameFact SheetQuarterly ReviewCommentaryProfile
International Leaders ADR SMA
-
All Cap Growth SMA
-
Large Cap Growth SMA
 Account Applications and Forms
Account Application - Class N & I
Account Application - Class R6
Transfer on Death Registration Request
IRA Applications and Forms
IRA Application
IRA Beneficiary
IRA Distribution
Education IRA Application
UMB Bank Company Privacy Notice

Proxy Voting Information: William Blair Funds

Our mutual funds often own sizable stakes in public companies, and our proxy votes have a significant impact on the corporate governance of these companies. We take this responsibility seriously and are glad to share our policies and voting record with you.


Information about the policies and procedures that the William Blair Funds uses to determine how to vote proxies relating to its portfolio securities, as well as the voting activity of the Funds can be found via the links below.

 
Policies and Procedures

William Blair Investment Management Proxy Voting Policy Statement and Procedures

 

All William Blair Mutual Funds follow the ISS Benchmark voting guidelines.

William Blair Funds - Filings & Proxy Voting Information

2024 Year-End Final Dividend and Capital Gain Distributions

William Blair & Company, L.L.C., distributor to the William Blair Funds, announces year-end estimated dividend and capital gain distributions for the Funds. Distributions will be paid to shareholders of record as of Wednesday, December 18, 2024. The record date, ex-dividend and reinvestment date, and the payable date are as follows:

  • Record Date: December 18, 2024
  • Ex-Dividend and Reinvestment Date: December 19, 2024
  • Payable Date: December 20, 2024

2024 Year-End Distributions and Dividends

Emerging Markets Debt Fund Dividends

Emerging Markets Debt Fund’s (“the Fund”) net investment income will be declared at the close of a regular trading day on the New York Stock Exchange, which is generally 3:00 p.m., Central time, on each day that the Fund is open for business as a dividend to shareholders who were of record prior to the declaration. Dividends will be paid to shareholders monthly.

Interim distributions may be made if the Board of Trustees believes it is necessary, and the Funds may vary these dividend practices at any time.

Emerging Markets Debt Fund 2024 Tax Information

Historical 
Year-End Dividends and Distributions
2024 Year-End Distributions and Dividends
2023 Year-End Distributions and Dividends
2022 Year-End Distributions and Dividends
2021 Year-End Distributions and Dividends
2020 Year-End Distributions and Dividends
2019 Year-End Distributions and Dividends
2018 Year-End Distributions and Dividends

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.

Contact Us

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.
Contact Us

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.
Contact Us

Any investment or strategy mentioned herein may not be appropriate for every investor. There can be no assurance that investment objectives will be met. Products and services listed are available only to residents of this jurisdiction and may only be available to certain categories of investors. The information on this website does not constitute an offer for products or services, or a solicitation of an offer to any persons outside of this jurisdiction who are prohibited from receiving such information under applicable laws and regulations. Nothing on this webpage should be construed as advice and is therefore not a recommendation to buy or sell shares.

Please carefully consider the William Blair Funds’ investment objectives, risks, charges, and expenses before investing. This and other information is contained in the Funds’ prospectus and summary prospectus, which you may obtain by calling 1-800-742-7272. Read the prospectus and summary prospectus carefully before investing. Investing includes the risk of loss.

The William Blair Funds are distributed by William Blair & Company, L.L.C., member FINRA/SIPC.

William Blair Investment Management, LLC is an investment adviser registered with the U.S. Securities and Exchange Commission.