EQUITY INVESTOR FUND SELECT TEN PORT 2000 SER J DEF ASS FNDS
497, 2000-06-01
Previous: NELNET STUDENT LOAN CORP- 2, 424B3, 2000-06-01
Next: CWMBS INC MORT PASS THR CERT SER 1999-6, 8-K, 2000-06-01





Defined Asset Funds[Registered]

HOME  |  FUND DIRECTORY  |   FEATURES & EVENTS

Today's Date:  May 25, 2000

Stock Funds
   Domestic Funds
   International Funds
   Sector Funds
Performance
   Strategy
   Concept
Prices
   Domestic Funds
   International Funds
   Sector Funds
Fund Search Tools
   Fund Finder
   Advanced Finder


Performance From Inception Through March 31, 2000 (including annual rollovers)

<TABLE>
Series     Inception   Cumulative  Average Annual   Most Recently Completed   Portfolio
             Date     Total Return  Total Return       Offer to End Date        Return

Select Ten Portfolio

<S>          <C>          <C>           <C>        <C>                        <C>
Series B     5/17/91      173.44%       11.99%         6/1/98 - 7/9/99          6.82%
Series A      1/3/92      136.86%       11.02%        2/4/99 - 3/10/00        -15.59%
Series C      9/1/92      168.06%       13.89%      9/28/98 - 10/29/99         11.44%
Series 3     7/22/96       46.37%       10.87%        8/3/98 - 9/10/99         11.05%
Series 5     11/1/96       32.57%        8.61%      1/16/98 - 12/17/99          2.36%
Series J      1/2/97       14.21%        4.18%       1/11/99 - 2/11/00        -18.07%
Series 1     2/25/97        4.11%        1.31%         3/2/98 - 4/9/99          2.65%
Series 2     4/28/97       12.96%        4.25%         5/4/98 - 6/4/99          2.47%
Series 4      9/3/97        2.31%        0.89%       9/8/98 - 10/15/99          8.75%

Standard & Poor's Industrial Portfolio

Series A     1/22/97        7.70%        2.35%       2/17/99 - 3/24/00        -19.41%
Series B     2/24/97        9.23%        2.89%       3/23/98 - 4/23/99          6.13%
Series C     4/21/97       12.51%        4.08%        4/27/98 - 6/4/99         12.29%
Series D      6/9/97       -5.51%       -2.00%       6/15/98 - 7/23/99          7.93%
Series E     7/21/97       -5.18%       -1.95%       7/27/98 - 8/27/99          1.39%
Series F      9/8/97        4.71%        1.81%      9/14/98 - 10/15/99         -1.91%
Series G    10/20/97       -5.23%       -2.17%      10/26/98 - 12/3/99          5.03%

<PAGE>


Series H    12/2/97        -9.73%       -4.30%      12/14/98 - 1/14/00        -10.68%
Series J     1/8/98       -12.02%       -5.59%       1/11/99 - 2/11/00        -25.77%

Select Growth Portfolio

Series A     2/14/95      555.31%       44.27%       2/17/98 - 3/19/99         26.37%
Series B     6/6/95       120.06%       17.77%       5/18/98 - 6/18/99        -13.99%
Series C     8/1/95        60.00%       10.59%       8/24/98 - 10/1/99         43.53%
Series D    11/1/95       207.83%       28.99%       12/1/98 - 1/7/00         193.63%

Standard & Poor's Intrinsic Value Portfolio

Series C    11/21/96       67.86%       16.67%       12/14/98 - 1/14/00        33.38%
Series A     4/2/97        81.48%       22.00%        4/13/98 - 5/21/99        16.95%
Series B     8/6/97        32.82%       11.30%        8/10/98 - 9/10/99        27.02%

Select Ten United Kingdom Portfolio

Series B     6/21/93       50.14%        6.18%        6/1/98 - 7/9/99          -1.98%
Series C     9/28/93       56.97%        7.17%       9/28/98 - 10/29/99        19.62%
Series A      1/5/94       36.44%        5.11%        2/4/99 - 3/10/00         -6.20%
Series 3     7/22/96       35.59%        8.59%        8/3/98 - 9/10/99          6.80%
Series 5     11/1/96       24.18%        6.55%      11/16/98 - 12/17/99        14.84%
Series 1     2/25/97       33.27%        9.72%        3/2/98 - 4/9/99           6.44%
</TABLE>

Past performance is no indication of future results. Principal value, unit
prices and investment returns fluctuate with changes in market conditions. Your
investment may be worth more or less than your original cost when you redeem.
Return figures represent changes in unit price plus reinvestment of income and
principal distributions and reflect deduction of maximum applicable sales
charges and expenses. Average Annualized Return differs from Most Recently
Completed Portfolio because the figures reflect different performance periods
and a reduced sales charge on annual rollovers.

Contact your Financial Professional for a free prospectus (or download one from
this site) containing more complete information on any Defined Asset Fund,
including sales charges, expenses and risks. Please read it carefully before
you invest or send money.


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission