The GAMCO Growth Fund

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OVERVIEW FUND DETAILS PRICE & PERFORMANCE DIVIDEND & TAX INFO

Fund Factsheet     Recent Quarterly Report     Recent Annual Report     Statement of Additional Info           Prospectus           XBRL           Multiclass Info      
Portfolio Manager(s)
Howard F. Ward, CFA
Fund Details
Fund Structure:

Open End
Asset Class:

Equity
Investment Style:

Growth
Investment Objective:

Capital Apprec. - Domestic
Multiclass:

Yes
Key Dates
Inception: April 10, 1987 Dividends Paid: Annual - Dec.
Fiscal Year End: December Capital Gains Paid: Annual - Dec.
Fund Identifiers
Exchange Symbol: GABGX
Cusip Number: 36464V104
Telephone Audio Response Code: 406
Class: AAA   
Minimum Investment Requirements
Initial Investment Subsequent Investment
Regular Account: $ 1,000 Telephone Invest: $   100
IRA, Fiduciary: $ 250 Auto Investment Plan $   100
Coverdell Education Savings Account: $ 250 Mail None
Auto Investment Plan None Wire $   100
The GAMCO Growth Fund

Fund Quarterly Reports


Related Press Releases


On the Air

Nov 13, 2014
Howard Ward on Bloomberg
I'm Not a Fan of Duracell: GAMCO's Howard Ward (7:11)
Why Buffett's Berkshire Wants to Buy P&G's Duracell (3:05)
Decided Uptick in Retail in Next 12 Months: Ward (5:31)
Why GAMCO's Howard Ward Remains Bullish for 2015 (2:28)

Aug 28, 2014
Howard Ward on Bloomberg
How to Search for Big Free Cash Flow Yields (2:42)
Burger King, Tim Hortons Deal is Win-Win: Ward (2:26)

Jun 13, 2014
Howard Ward on CNBC
Trading the Iraq effect (3:01)
Apple growth rate will naturally slow: Pro (1:26)

Feb 10, 2014
Howard Ward on Bloomberg
Heating Bills and Nat Gas Prices Slow U.S. Economy (2:02)
Can Apple Buy Back Confidence? (4:02)
U.S. Economy Continues to Move Forward: Ward (2:35)
Is There a Witch Hunt Against JPMorgan? (2:34)

Jan 17, 2014
Howard Ward on Bloomberg
Capex Spending a Big Driver of 2014 Economy: Ward (1:37)
The Many Facets of General Electric's Business (5:32)
China Is the Centerpiece of Apple's Future: Ward (3:36)

Fund Operating Expenses Account Fees
Management 1.00 % Sales Load: None
12B-1 0.25 % CDSC: * None
Other Expenses 0.20 % Exchange Fee: None
Fee Waiver + (0.00)% IRA Custodian $15 if less than $25,000
Total  1.45 %  Education IRA None 
    Short Term Red. Fee 2.00 % **
* Contingent Deferred Sales Charge

** The Funds are intended for long-term investors and not for those who wish to trade frequently in Fund shares. The Funds believe that excessive short-term trading of Fund shares creates risks for the Funds and their long-term shareholders, including interference with efficient portfolio management, increased administrative and brokerage costs and potential dilution in the value of shares. Certain of the Funds impose and retain a 2.00% redemption fee (short-term trading fee) on shares that are sold or exchanged on or before the seventh day after the date of purchase.
Please refer to Fund's prospectus for more information on the Short term trading fee.

 

The Fund may invest in foreign securities. Investing in foreign securities involves risks not ordinarily associated with investment in domestic issues including currency fluctuations.

Investors should carefully consider the investment objectives, risks, charges and expenses of the Fund before investing. The prospectus, which contains more complete information about this and other matters, should be read carefully before investing. To obtain a prospectus, please call 800-GABELLI or visit www.gabelli.com.

The Gabelli Mutual Funds are distributed by G.distributors, LLC., a registered broker-dealer and member of FINRA.