Integrity Energized Dividend Fund (NRGDX)

The Fund seeks long-term appreciation while providing high current income.
Management Team
Shannon Radke; Michael Morey; Trey Welstad, CFA
Inception Date
Current NAV
$8.33 (as of 06/14/2021)
Distribution Rate
4.40% (without sales charge as of 3/31/2021)
Effective Rate
4.49% (without sales charge as of 3/31/2021)
Morningstar Rating

NAV History

Current NAV Change $ Change % POP
06/14/2021 8.33 0.00 0.00 8.77

Total Returns

As of: 3/31/2021

Year To Date One Year Three Years Since Inception
A Shares 22.56 48.85 -2.62 3.52
With sales charge 16.46 41.40 -4.27 2.43

As of: 4/30/2021

Year To Date One Year Three Years Since Inception
A Shares 22.38 31.81 -5.12 3.43
With sales charge 16.28 25.20 -6.74 2.36

Returns reflect the deduction of the maximum sales load of 5.00%.

30 Day SEC Yield (as of 3/31/2021)

3.166% (subsidized) 1.212% (unsubsidized)

Dividend Rates (Past Year)

Reinvest Date Dividend STCG LTCG Return of Capital
4/28/2021 0.007706 0.000000 0.000000 0.000000
3/29/2021 0.033297 0.000000 0.000000 0.000000
2/24/2021 0.042513 0.000000 0.000000 0.000000
1/27/2021 0.013463 0.000000 0.000000 0.000000
12/29/2020 0.017416 0.000000 0.000000 0.000000
11/25/2020 0.056346 0.000000 0.000000 0.000000
10/28/2020 0.015375 0.000000 0.000000 0.000000
9/28/2020 0.021765 0.000000 0.000000 0.000000
8/27/2020 0.048548 0.000000 0.000000 0.000000
7/29/2020 0.014241 0.000000 0.000000 0.000000
6/26/2020 0.021119 0.000000 0.000000 0.000000

Operating Expenses (as of 11/30/2020)

Management Fees 0.75%
Distribution and Service (12b-1) Fees 0.25%
Other Expenses 1.84%
Total Annual Fund Operating Expenses 2.84%
Fee Waivers and Expense Reimbursements -1.79%
Total Annual Fund Operating Expenses (After Fee Waivers and Expense Reimbursements) 1.05%

Sales Charge Breakpoints

Investment Amount $ Sales Charge as % of POP Dealer Comm. as % of POP
0+ 5.00 4.25
50,000+ 4.50 3.75
100,000+ 3.50 2.75
250,000+ 2.50 1.75
500,000+ 1.75 1.25
1,000,000+ 0.00 1.00

Investments made at or above the $1,000,000 breakpoint may be subject to a 1.00% CDSC on shares redeemed within 24 months of purchase.

Top 10 Holdings (as of 3/31/2021)


The mutual funds referred to in this website are offered by Prospectus only. For more complete information an investor should consider the investment objectives, risks, and charges and expenses of the investment company carefully before investing. The prospectus contains this and other information about the investment company. You may obtain a prospectus and summary prospectuses at no cost from your financial adviser. Please read the prospectus carefully before investing.

The performance data quoted represents past performance. Past performance does not guarantee future results. The Fund’s principal value, share price, yields, rates and total returns will vary due to changing market conditions, so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. To obtain performance data current to the most recent month-end, an investor may call toll free at 800-276-1262.

Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.

Because the Fund can only distribute what it earns, the Fund’s distributions to shareholders could decline when dividend income from stocks in the Fund’s portfolio declines. The Fund’s emphasis on dividend-paying stocks involves the risk that such stocks may fall out of favor with investors and underperform the market. Also, a company may reduce or eliminate its dividend, which could affect the Fund’s ability to generate income.

Because the Fund normally invests in common stocks of companies engaged in natural resources-related activities in a limited geographical area, the Fund’s performance largely depends on the overall economic condition of the related sectors and geographical area. Additionally, diplomatic, political or economic developments in foreign countries could adversely impact the Fund’s investment in securities of foreign companies.

Morningstar Ratings: For each fund with at least a 3-year history, Morningstar calculates a risk-adjusted return measure that accounts for variation in a fund's monthly performance (excluding sales charges and including fees and expenses versus all funds in the Morningstar category), placing more emphasis on downward variations and rewarding consistent performance. These ratings change monthly. The top 10% of funds in each category receive a Morningstar Rating™ of 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. (Each share class is counted as a fraction of one fund and rated separately.) Past performance does not guarantee future results. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.