Class A
Fund Stats as of 11/17/2017
Symbol AMWYX
ISIN US3176097588
Inception Date 08/10/1971
Dividends Paid Annual
CUSIP 317609 758
Fund Type Open End Fund
NAV $9.40
NAV Change $0.01
Expenses as of 02/28/2017
Total Expense Ratio1.53%
What You Pay1.15%
Class I
Fund Stats as of 11/17/2017
Symbol AMWIX
ISIN US3176097414
Inception Date 11/02/1998
Dividends Paid Annual
CUSIP 317609 741
Fund Type Open End Fund
NAV $9.65
NAV Change $0.01
Expenses as of 02/28/2017
Total Expense Ratio1.28%
What You Pay0.90%
Class C
Fund Stats as of 11/17/2017
Symbol AMWCX
ISIN US3176096424
Inception Date 06/30/2010
Dividends Paid Annual
CUSIP 317609 642
Fund Type Open End Fund
NAV $8.99
NAV Change $0.01
Expenses as of 02/28/2017
Total Expense Ratio2.27%
What You Pay1.90%
Fund Resources
Fact Sheet 
Semi-Annual Report 
Statement of Additional Information 
Statutory Prospectus 
Summary Prospectus 
Resource Library