Fund & Portfolio Comparison

Performance Comparison
Comparison Box

Portfolio Performance Comparison
Name YTD Return 1Yr AR 3Yr AR 5Yr AR 10Yr AR 15Yr AR 20Yr AR Common Inception
MGVMX (BNY Mellon Intermediate US Govt M) NA 0.85% 2.41% 2.86% 3.31% 4.50% NA
Data as of 03/05/2013, Common starting date is 04/14/1997
More Performance Analytics Comparison
Name Start Date End Date
MGVMX (BNY Mellon Intermediate US Govt M) 04/14/1997 03/05/2013
Last 1 Week 1 Yr 3 Yr 5 Yr 10 Yr 15 Yr 20 Yr Common Inception 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997
Annualized Return (%) 0.00 0.85 2.41 2.86 3.31 4.50 NA -0.61 1.52 4.07 3.51 0.67 7.82 6.82 3.42 2.51 3.19 1.86 10.00 7.10 10.73 -0.82 7.18 8.61
Sharpe Ratio NA 0.38 0.99 0.83 0.67 NA NA -2.25 0.69 1.56 1.39 0.16 1.34 1.21 0.04 0.13 0.63 0.29 1.83 0.88 1.71 -0.96 1.11 2.67
Standard Deviation(%) NA 2.06 2.38 3.24 3.28 NA NA 1.60 2.12 2.59 2.47 3.55 5.14 3.16 2.74 2.65 3.54 4.05 4.85 5.51 3.90 4.19 3.48 3.23
Draw Down(%) NA 1.18 2.92 3.59 4.60 NA NA 0.81 1.45 1.28 2.44 2.48 3.59 1.97 2.01 1.79 4.15 4.60 2.47 4.96 2.55 3.99 2.19 1.22
Yield(%) 0.00 1.43 2.08 2.79 3.47 4.25 3.57 0.07 1.61 2.24 2.80 4.61 3.24 4.78 4.61 4.54 4.41 4.05 4.60 5.49 5.71 5.48 5.38 4.46
Data as of 03/05/2013, Common starting date is 04/14/1997
Performance Comparison Chart
Annualized Rolling Returns Comparison (Minimum)
Ticker/Portfolio Name 3 Year 5 Year 10 Year 15 Year
MGVMX (BNY Mellon Intermediate US Govt M) 1.21%
May 2003 – May 2006
2.76%
Feb 2008 – Feb 2013
3.33%
Feb 2003 – Feb 2013
4.46%
Feb 1998 – Feb 2013
Annualized Rolling Returns Comparison (Maximum)
Ticker/Portfolio Name 3 Year 5 Year 10 Year 15 Year
MGVMX (BNY Mellon Intermediate US Govt M) 10.02%
May 2000 – May 2003
7.19%
Sep 1997 – Sep 2002
5.52%
Jan 2000 – Jan 2010
4.99%
May 1997 – May 2012
Annualized Rolling Returns Comparison Chart

3-Year Annualized Rolling Return