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MGSYX:NASDAQ

MassMutual Select BlackRock Global Allocation Fund Class Y – MGSYX Fund Overview

Last PriceToday's Change52-Week RangeTrading Volume
11.690.07 (+0.60%)9.88 - 11.690.0

Market data as of 8:00PM 05/17/13. Quotes are delayed by at least 15 min.

Overview - MGSYX

The investment seeks long-term total return. The fund invests in both equity and debt securities, including money market securities and other short-term debt obligations, of issuers located around the world, including emerging markets. It allocates approximately 40% or more of assets in securities. The fund buys debt securities of varying maturities, debt securities paying a fixed or floating rate of interest, and debt securities of any kind in domestic and foreign market. It seeks to reduce volatility by allocating its assets broadly across markets, industries and issuers and without geographic or market capitalization limits.

Growth of $10,000 (10 Years)

Total Return6.07%
Yield (Trailing 12 Mo.)1.54%
Expense Ratio1.10%
Front LoadNone
Deferred LoadNone
Minimum Investment$5,000,000
Management Tenure3 Years
Fund Inception12/01/2009

Trailing Total Returns - MGSYX

as of 04/30/2013
TimeframeMGSYXS&P 500World Allocation
1 Month2.15%1.93%1.68%
3 Month3.63%7.18%2.60%
Year-to-Date6.43%12.74%4.99%
1 Year9.77%16.89%9.24%
3 Year6.43%12.80%7.61%
5 Year--5.21%3.34%
10 Year--7.88%8.36%
Since Inception6.07%10.38%--

Sector Allocation - MGSYX

as of 04/30/2013
Basic Materials
 
8.00%
Consumer Cyclical
 
9.32%
Financial Services
 
17.40%
Real Estate
 
2.27%
Consumer Defensive
 
7.18%
Healthcare
 
13.08%
Utilities
 
3.12%
Communication Services
 
7.41%
Energy
 
10.26%
Industrials
 
10.92%
Technology
 
11.04%

Asset Allocation - MGSYX

as of 04/30/2013
By PercentShort0%LongNet
Stock0.00
 
 
32.8532.85
Bond0.00
 
 
7.087.08
Other0.56
 
 
7.567.00
Foreign Stock1.27
 
 
26.2024.93
Foreign Bond7.23
 
 
16.188.95
Total9.0689.8780.81
Cash0.81
 
 
16.6215.82
Total Net Assets$624.19M
Total Stock Holdings470
Total Bond Holdings114

Bond Credit Quality - MGSYX

as of 04/30/2013
AAA50.71%
AA3.25%
A7.33%
BBB14.98%
BB3.76%
B6.57%
Below B1.52%
Not Rated11.88%

Top Ten Holdings - MGSYX

as of 04/30/2013
CompanyYTD Return% of Assets
Brsfuhq40 Irs Usd P V 03mlibor Dub Irs Usd P V 03mlibor--2.38%
Brsfuhq40 Irs Usd R F 1.01000 Dub Irs Usd R F 1.01000--2.38%
Brsfuwgn6 Irs Usd P V 03mlibor Glm Irs Usd P V 03mlibor--2.33%
Brsfuwgn6 Irs Usd R F .99750 Glm Irs Usd R F .99750--2.33%
US Treasury Note 3.5%--1.80%
Mml Sel Cayman Global Alloc Fd--1.62%
United Kingdom Of Great Britain And FRN--1.24%
S+p500 Emini Fut Jun13 Xcme 20130621--1.09%
Germany (Federal Republic Of) 4.25%--1.01%
Australia(Cmnwlth) 5.5%--1.01%

Valuation & Growth - MGSYX

as of 04/30/2013
ValuationMGSYXCategory Range
Price/Earnings13.45
Price/Book1.78
Price/Sales1.10
Price/Cash Flow8.55
Dividend Yield2.23
LT Earnings10.88
Historical Earnings14.17
Sales Growth-15.51
Cash-Flow Growth-47.59
Book-Value Growth7.98
Key:  Lo 
 Hi

Morningstar Summary - MGSYX, 3 Year

Rate Sensitivity
High
Mid
Low
Ratingvs Category
Overall
RiskAvg
ReturnBelow Avg
Key:  Lo 
 Hi

Tax Analysis - MGSYX, 3 Year Avg

Pretax Return6.43%
Tax-adjusted Return5.71%
Tax Cost Ratio0.68%
Potential Cap Gains11.88%

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