Here’s how the major fund categories performed in 2000:

 

 

Large Growth

-13.18

Mid-Cap Growth

-7.55

Small Growth

-9.31

Large Blend

-7.97

Mid-Cap Blend

-0.26

Small Blend

6.47

Large Value

1.41

Mid-Cap Value

9.55

Small Value

8.94

Specialty-Precious Metals

-20.65

Specialty-Natural Resources

17.66

Specialty-Technology

-27.80

Specialty-Utilities

3.66

Specialty-Health

45.91

Specialty-Financial

17.98

Specialty-Real Estate

23.09

Specialty-Communications

-26.61

Domestic Hybrid

0.58

Convertibles

-1.84

Foreign Stock

-17.33

World Stock

-12.37

Europe Stock

-10.49

Diversified Pacific/Asia

-33.56

Pacific/Asia ex-Japan Stk

-26.39

Japan Stock

-33.61

Diversified Emerging Mkts

-30.20

Latin America Stock

-17.26

International Hybrid

-2.96

Long Government

14.66

Intermediate Government

10.12

Short Government

7.19

Long-Term Bond

8.40

Interm-Term Bond

8.81

Short-Term Bond

7.42

Ultrashort Bond

5.89

High Yield Bond

-9.66

Multisector Bond

0.36

International Bond

0.90

Muni National Long

9.42

Muni National Interm

7.50

Muni Single State Long

9.80

Muni Single State Interm

8.60

Muni Short

4.74

Muni New York Long

10.89

Muni California Long

11.97

Emerging Markets Bond

7.42

Muni New York Interm

9.54

Muni California Interm

9.69

 

*Data as of Dec. 15, 2000

 

Source: Morningstar