Current Performance - Multiclass as of August 19, 2014

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Fund Name Closing
NAV
Daily
Change
YTD
(%)
1 yr
(%)
3 yr
(%)
5 yr
(%)
10 yr
(%)
Life
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Incept
Date
Max.
Sales
Charge
(%)
(1)
Gross 
Exp.
Ratio
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(2)
Net
Exp.
Ratio
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(3)
Gabelli ABC Fund ADV $ 10.26   $ +0.01   + 0.98   + 2.49   + 4.14   + 3.60   + 4.41   + 6.11   05/14/93 0.00   0.83   0.83  
Gabelli Asset Fund A $ 67.69   $ +0.18   + 4.43   +17.36   +21.01   +17.52   +10.42   +12.56   03/03/86 5.75   1.35   1.35  
Gabelli Asset Fund C $ 65.03   $ +0.17   + 3.91   +16.46   +20.11   +16.64   + 9.60   +12.25   03/03/86 1.00   2.10   2.10  
Gabelli Asset Fund I $ 68.24   $ +0.18   + 4.58   +17.62   +21.31   +17.81   +10.59   +12.62   03/03/86 0.00   1.10   1.10  
Gabelli Dividend Growth A $ 20.55   $ +0.09   + 7.76   +20.29   +21.10   +14.11   + 8.15   + 6.22   08/26/99 5.75   2.00   2.00  
Gabelli Dividend Growth C $ 19.43   $ +0.09   + 7.29   +19.40   +20.16   +13.24   + 7.32   + 5.65   08/26/99 1.00   2.75   2.75  
Gabelli Dividend Growth I $ 20.70   $ +0.10   + 7.98   +20.61   +21.42   +14.39   + 8.40   + 6.39   08/26/99 0.00   1.75   1.75  
Gabelli Enterprise M&A A $ 12.94   $ +0.02   + 1.01   + 6.07   + 8.04   + 7.75   + 5.00   + 4.66   02/28/01 5.75   1.69   1.69  
Gabelli Enterprise M&A B $ 12.11   $ +0.02   + 0.67   + 5.49   + 7.49   + 7.19   + 4.43   + 4.09   02/28/01 5.00   2.24   2.24  
Gabelli Enterprise M&A C $ 12.10   $ +0.02   + 0.67   + 5.49   + 7.46   + 7.18   + 4.43   + 4.09   02/28/01 1.00   2.24   2.24  
Gabelli Enterprise M&A Y $ 13.60   $ +0.02   + 1.34   + 6.50   + 8.56   + 8.24   + 5.49   + 5.14   02/28/01 0.00   1.24   1.24  
Gabelli Equity Income A $ 29.52   $ +0.12   + 6.17   +17.31   +19.66   +15.67   + 9.19   +10.65   01/02/92 5.75   1.39   1.39  
Gabelli Equity Income C $ 27.03   $ +0.11   + 5.70   +16.46   +18.76   +14.81   + 8.38   +10.27   01/02/92 1.00   2.14   2.14  
Gabelli Equity Income I $ 30.18   $ +0.13   + 6.36   +17.64   +19.96   +15.95   + 9.38   +10.74   01/02/92 0.00   1.14   1.14  
Gabelli Focus Five A $ 15.87   $ +0.01   + 4.48   +16.93   +25.19   +17.05   + 9.80   +10.20   12/31/02 5.75   1.48   1.48  
Gabelli Focus Five C $ 14.20   $ +0.01   + 3.95   +16.08   +24.30   +16.19   + 8.97   + 9.40   12/31/02 1.00   2.23   2.23  
Gabelli Focus Five I $ 16.01   $ +0.01   + 4.64   +17.26   +25.50   +17.34   + 9.94   +10.33   12/31/02 0.00   1.23   1.23  
Gabelli Gl Rising Inc & Div A $ 22.50   $ +0.05   + 1.76   -78.23   + 6.09   + 8.03   + 3.57   + 4.42   02/03/94 5.75   2.31   2.00  
Gabelli Gl Rising Inc & Div C $ 19.39   $ +0.05   + 1.31   -78.46   + 4.19   + 6.48   + 2.42   + 3.96   02/03/94 1.00   3.06   2.75  
Gabelli Gl Rising Inc & Div I $ 22.55   $ +0.05   + 1.90   -78.18   + 6.39   + 8.31   + 3.73   + 4.69   02/03/94 0.00   2.06   1.75  
Gabelli Gold Fund A $ 14.65   $ -0.17   +36.53   + 3.46   -19.42   - 2.41   + 6.25   + 5.37   07/11/94 5.75   1.57   1.57  
Gabelli Gold Fund C $ 13.72   $ -0.15   +35.84   + 2.69   -20.08   - 3.17   + 5.43   + 4.90   07/11/94 1.00   2.32   2.32  
Gabelli Gold Fund I $ 14.84   $ -0.16   +36.77   + 3.70   -19.29   - 2.21   + 6.40   + 5.44   07/11/94 0.00   1.32   1.32  
Gabelli Small Cap Growth A $ 48.99   $ +0.17   + 1.47   +15.92   +21.84   +16.94   +11.40   +13.29   10/22/91 5.75   1.39   1.39  
Gabelli Small Cap Growth C $ 44.98   $ +0.15   + 0.99   +15.07   +20.93   +16.07   +10.58   +12.90   10/22/91 1.00   2.14   2.14  
Gabelli Small Cap Growth I $ 49.64   $ +0.17   + 1.64   +16.21   +22.14   +17.24   +11.59   +13.37   10/22/91 0.00   1.14   1.14  
Gabelli SRI Fund A $ 14.09   $ +0.01   + 3.76   +14.46   +11.71   +13.08   --     + 6.22   06/01/07 5.75   1.74   1.74  
Gabelli SRI Fund C $ 13.48   $ +0.02   + 3.30   +13.56   +10.89   +12.23   --     + 5.43   06/01/07 1.00   2.49   2.49  
Gabelli SRI Fund I $ 14.27   $ +0.01   + 3.86   +14.71   +11.97   +13.35   --     + 6.47   06/01/07 0.00   1.49   1.49  
Gabelli Utilities A $ 5.54   $ +0.03   + 6.38   +15.41   +13.26   +12.10   + 9.12   + 8.32   08/31/99 5.75   1.37   1.37  
Gabelli Utilities C $ 4.46   $ +0.03   + 5.78   +14.45   +12.40   +11.27   + 8.31   + 7.68   08/31/99 1.00   2.12   2.12  
Gabelli Utilities I $ 5.61   $ +0.03   + 6.49   +15.64   +13.47   +12.34   + 9.28   + 8.40   08/31/99 0.00   1.12   1.12  
Gabelli Value 25 Fund A $ 20.13   $ +0.01   + 1.77   +14.23   +20.47   +18.95   + 9.09   +11.13   09/29/89 5.75   1.39   1.39  
Gabelli Value 25 Fund C $ 17.40   $ +0.01   + 1.28   +13.35   +19.54   +18.05   + 8.28   +10.66   09/29/89 1.00   2.14   2.14  
Gabelli Value 25 Fund I $ 20.14   $ +0.01   + 1.92   +14.43   +20.77   +19.25   + 9.28   +11.21   09/29/89 0.00   1.14   1.14  
GAMCO Growth A $ 49.34   $ +0.30   + 5.83   +21.88   +22.23   +14.82   + 7.80   +10.07   04/10/87 5.75   1.45   1.45  
GAMCO Growth C $ 45.73   $ +0.28   + 5.32   +20.98   +21.32   +13.95   + 6.99   + 9.75   04/10/87 1.00   2.20   2.20  
GAMCO Growth I $ 49.73   $ +0.30   + 5.99   +22.20   +22.52   +15.09   + 7.97   +10.13   04/10/87 0.00   1.20   1.20  
GAMCO Global Growth A $ 32.41   $ +0.13   + 4.11   +17.02   +20.58   +14.72   + 9.23   + 9.26   02/07/94 5.75   1.77   1.77  
GAMCO Global Growth C $ 29.14   $ +0.12   + 3.63   +16.15   +19.69   +13.85   + 8.41   + 8.68   02/07/94 1.00   2.52   2.52  
GAMCO Global Growth I $ 32.64   $ +0.13   + 4.28   +17.30   +20.88   +15.01   + 9.43   + 9.35   02/07/94 0.00   1.52   1.52  
GAMCO Global Opportunity A $ 24.76   $ +0.09   + 3.60   +13.47   +13.27   +12.14   + 7.92   + 7.24   05/11/98 5.75   2.74   2.00  
GAMCO Global Opportunity C $ 24.12   $ +0.09   + 3.08   +12.61   +12.42   +11.30   + 7.14   + 5.64   05/11/98 1.00   3.49   2.75  
GAMCO Global Opportunity I $ 24.94   $ +0.09   + 3.74   +13.74   +13.55   +12.43   + 8.10   + 7.35   05/11/98 0.00   2.49   1.75  
GAMCO Global Telecom A $ 25.11   $ -0.04   + 1.13   +14.15   +12.07   +10.26   + 7.43   + 8.10   11/01/93 5.75   1.64   1.64  
GAMCO Global Telecom C $ 24.32   $ -0.05   + 0.62   +13.27   +11.25   + 9.45   + 6.61   + 7.54   11/01/93 1.00   2.39   2.39  
GAMCO Global Telecom I $ 25.14   $ -0.05   + 1.25   +14.42   +12.35   +10.55   + 7.60   + 8.18   11/01/93 0.00   1.39   1.39  
GAMCO Intl Growth A $ 23.90   $ +0.06   + 1.70   + 9.02   + 9.94   +10.58   + 7.03   + 7.03   06/30/95 5.75   2.24   2.24  
GAMCO Intl Growth C $ 21.81   $ +0.06   + 1.21   + 8.24   + 9.12   + 9.76   + 6.21   + 6.55   06/30/95 1.00   2.99   2.99  
GAMCO Intl Growth I $ 23.63   $ +0.06   + 1.85   + 9.28   +10.22   +10.87   + 7.18   + 7.26   06/30/95 0.00   1.99   1.99  
TW Balanced Fund A $ 13.07   $ +0.04   + 4.30   +11.48   +12.80   + 9.50   + 6.58   + 8.12   10/01/91 4.00   1.53   1.53  
TW Balanced Fund C $ 13.20   $ +0.04   + 4.02   +10.90   +12.23   + 8.95   + 6.04   + 8.27   10/01/91 1.00   2.03   2.03  
TW Balanced Fund I $ 13.00   $ +0.04   + 4.60   +11.94   +13.34   +10.04   + 7.01   + 8.80   10/01/91 0.00   1.03   1.03  
TW Equity Fund A $ 13.67   $ +0.06   + 6.22   +17.33   +20.41   +13.73   + 8.03   +10.20   01/02/87 4.00   1.85   1.85  
TW Equity Fund C $ 13.24   $ +0.06   + 5.84   +16.75   +19.79   +13.14   + 7.48   + 9.83   01/02/87 1.00   2.35   2.35  
TW Equity Fund I $ 13.69   $ +0.07   + 6.29   +17.69   +20.94   +14.21   + 8.47   +10.29   01/02/87 0.00   1.35   1.35  
TW Income Fund A $ 12.33   $ +0.07   + 7.86   +17.36   +17.50   +13.51   + 7.14   + 7.86   09/30/97 4.00   2.82   2.25  
TW Income Fund C $ 13.20   $ +0.06   + 7.42   +16.69   +16.87   +12.95   + 6.59   + 7.54   09/30/97 1.00   3.32   2.75  
TW Income Fund I $ 11.95   $ +0.07   + 8.19   +17.95   +18.08   +14.08   + 7.57   + 8.17   09/30/97 0.00   2.32   1.75  
TW Int. Bond Fund A $ 11.66   unch   + 1.29   + 1.75   + 0.60   + 2.49   + 3.19   + 4.79   10/01/91 4.00   1.46   1.10  
TW Int. Bond Fund C $ 11.09   unch   + 0.94   + 1.12   - 0.05   + 1.84   + 2.55   + 4.24   10/01/91 1.00   2.11   1.75  
TW Int. Bond Fund I $ 11.67   $ -0.01   + 1.41   + 2.02   + 0.95   + 2.85   + 3.46   + 4.96   10/01/91 0.00   1.11   0.75  
TW Mid-Cap Equity A $ 11.87   $ +0.05   + 6.46   +18.26   --     --     --     +15.14   05/31/13 4.00   4.13   1.75  
TW Mid-Cap Equity C $ 11.80   $ +0.05   + 6.12   +17.80   --     --     --     +14.59   05/31/13 1.00   4.63   2.25  
TW Mid-Cap Equity I $ 11.93   $ +0.05   + 6.71   +18.94   --     --     --     +15.68   05/31/13 2.00   3.63   1.25  
TW Mighty Mites A $ 23.38   $ +0.04   - 2.18   +12.40   +20.25   +16.15   +11.70   +11.99   05/11/98 4.00   1.69   1.69  
TW Mighty Mites C $ 21.30   $ +0.04   - 2.47   +11.82   +19.65   +15.57   +11.12   +11.53   05/11/98 1.00   2.19   2.19  
TW Mighty Mites I $ 24.22   $ +0.04   - 1.86   +12.96   +20.83   +16.74   +12.13   +12.31   05/11/98 0.00   1.19   1.19  
TW SmallCap Equity A $ 20.96   $ +0.08   - 0.85   +13.97   +17.79   +15.56   + 9.76   + 7.35   04/15/97 4.00   1.88   1.75  
TW SmallCap Equity C $ 19.41   $ +0.07   - 1.17   +13.38   +17.21   +14.99   + 8.98   + 6.86   04/15/97 1.00   2.38   2.25  
TW SmallCap Equity I $ 21.78   $ +0.08   - 0.55   +14.51   +18.39   +16.14   +10.19   + 7.60   04/15/97 0.00   1.38   1.25  
Comstock Cap Value AAA $ 0.87   $ -0.01   -11.22   -25.00   -24.23   -19.91   -12.45   - 7.07   10/10/85 0.00   2.87   2.87  
Comstock Cap Value C $ 0.77   $ -0.01   -12.50   -25.96   -25.07   -20.60   -12.39   -10.79   08/22/95 1.00   3.62   3.62  
Comstock Cap Value R $ 0.88   $ -0.01   -11.11   -24.79   -24.19   -19.79   -11.51   -10.17   08/22/95 0.00   2.62   2.62  
Returns represent past performance and do not guarantee future results. Current performance may be lower or higher than the performance data quoted. Investment return and principal value will fluctuate so, upon redemption, shares may be worth more or less than their original cost. To obtain the most recent month end performance information and a prospectus, please call 800-GABELLI or visit www.gabelli.com

The performance does not reflect the full effect of the front-end or back-end sales charges. Quarterly (Standardized) performance reflects the full effect of the front-end sales charge. Other Period Performance does not reflect the full effect of the front-end or back-end sales charges. Please consult your financial advisor for prospectus and for more information on mutual fund sales charges.

(a) Total returns and average annual returns reflect changes in share price, reinvestment of distributions, and are net of expenses. The net asset value of a Fund is reduced on the ex-dividend (payment) date by the amount if the dividend paid. Of course, returns represent past performance and do not guarantee future results. Investment returns and the principal value of an investment will fluctuate. When shares are redeemed they may be worth more or less than their original cost. Investing in small capitalization securities involves special challenges because these securities may trade less frequently and experience more abrupt price movements than large capitalization securities. Investing in micro capitalization securities may involve greater risks than investments in small, medium and large capitalization securities because the securities are subject to more abrupt or erratic movements in price. Investments in foreign securities involves risks not ordinarily associated with investments in domestic issues, including currency fluctuation, economic and political risks. Investing in gold is considered speculative and is affected by a variety of worldwide economic, financial and political factors. Funds concentrating in specific sectors may experience greater fluctuations in value than funds that are more diversified.

(1) Maximum Sales Charge for Class A shares is a percentage of the initial investment and may be reduced based on the size of your investment. Class B and C shares have a contingent deferred sales charge when you redeem your shares depending on your holding period. Please see the Fund's Prospectus or contact your Adviser for a complete description of the applicable sales charge.
(2) Gross Expense Ratio is the expenses of the Fund reflected as a percentage of the Fund's average daily net assets and do not include any voluntary or contractual fee waivers or expense limitations as described in the Fund Prospectus.
(3) Net Expense Ratio is the expenses of the Fund including any voluntary or contractual fee waivers or expense limitations as a percentage of the Fund's average daily net assets. Where applicable, please see the Fund's Prospectus or contact your Adviser for a complete description of the fee waiver or expense limitation, the effective date and the expiration date.

The Fund's share price will fluctuate with changes in the market value of the Fund's portfolio securities. Stocks are subject to market, economic and business risks that cause their prices to fluctuate. Investment returns and the principal value of an investment will fluctuate. When you sell Fund shares, they may be worth less than what you paid for them. Consequently, you can lose money by investing in the Fund.

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.