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Fund data as of 06/30/2018 unless otherwise specified.
NASDAQ Ticker:GLDYX
CUSIP:40171W751
Inception Date:8/27/2001
Fund Fact Sheet:Download
Investment Objective:The Fund seeks current income consistent with preservation of capital.
Investment Strategy:The Fund is actively managed and invests in a diversified portfolio composed primarily of investment grade fixed-income securities with an average dollar-weighted duration normally between one to three years.
Investment Suitability:This Fund may be suitable for investors who have a short-term investment horizon, seek an investment return that is relatively stable and want to diversify their portfolio with a fixed income investment option.

This Fund is subject to interest rate risk. Meaning, when interest rates rise, the value of the existing bonds decrease and vice versa. Changes in interest rates have a bigger impact on long duration holdings that on short duration holdings. To the extent that the investment advisor misjudges current market conditions, the Fund’s volatility may be amplified by its use of short sales and derivatives, and by its ability to select sub-advisers to allocate assets. Short sales by a fund theoretically involve unlimited loss potential since the market price of securities sold short may continuously increase. Leverage may increase the risk of loss and cause fluctuations in the market value of the fund’s portfolio to have disproportionately large effects or cause the NAV of the fund generally to decline faster than it would otherwise.

Fund Size ($ in millions)

Total fund net assets for all share classes942
Number of holdings961
$ in millions

Benchmark

ICE BofAML 1-3 Year Treasury Index100%

Sub-Adviser Composite

BlackRock Financial Management33%
Payden & Rygel32%
Pacific Investment Management Company (PIMCO)35%
Total100%

Risk/Reward

The chart above places the funds in a general risk/reward order according to the historical risk and performance characteristics based on the types of securities in which they invest. It is intended to be a general guide of the risk/reward potential of the funds. There is no guarantee past trends will continue.

For additional information about our benchmarks click here.
For additional information on holdings and characteristics click here.
You should carefully consider the investment objectives, risks, charges and expenses of the GuideStone Funds before investing. A prospectus with this and other information about the Funds may be obtained by calling 1-888-GS-FUNDS (1-888-473-8637) or downloading one. It should be read carefully before investing.
GuideStone Funds shares are distributed by Foreside Funds Distributors LLC, not an advisor affiliate. GuideStone Capital Management, LLC, an affiliate of GuideStone Financial Resources, provides investment advisory services for the funds.
Portfolio composition subject to change at any time.