I hereby represent that I:

» am an institutional investor that is a "qualified client" as that term is defined in Rule 205-3(d)(1) under the Investment Advisers Act of 1040, as amended; and

» have such knowledge and experience in financial and business matters that I am capable of evaluating the merits and risks of the investments that may be presented to me by Touchstone Investments.

Close I agree

Touchstone Mid Cap Fund

Objective

The Fund seeks long-term capital growth by investing primarily in common stocks of mid-cap U.S. listed companies.

Investment Style

  • Emphasizes investments in mid-cap companies
  • Utilizes a bottom-up security selection process that screens potential investments against a proprietary quantitative model for return on capital, earnings to value ratio, free cash flow and return on equity
  • Looks at a company's corporate governance structure and management incentives to try to ascertain whether or not management's interests are aligned with shareholder interests
  • Seeks to identify the sources of a company's competitive advantage as well as what means management has at its disposal to increase shareholder value
  • Seeks to purchase generally profitable, financially stable companies that consistently generate high returns on unleveraged operating capital, are run by shareholder-oriented management, and are trading at a discount to their private market value
A Word About Risk
The Fund invests in equities which are subject to market volatility and loss. The Fund invests in stocks of mid-cap companies which may be subject to more erratic market movements than stocks of larger, more established companies. Current and future portfolio holdings are subject to risk. The advisor engages the sub-advisor to manage the Fund's portfolio; the sub-advisor's judgment may impact the Fund's performance.

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Fund Facts

A Shares
NASDAQ Symbol TMAPX
CUSIP 89155H629
Touchstone Fund Number 350
Portfolio Turnover Rate1 20%
Total Annual Fund Operating Expense Ratio2 1.51%
Net Annual Fund Operating Expense Ratio2 1.25%
Total Net Assets as of 3/31/2014 $60,798,398
Inception Date 5/14/2007

Fiscal Year End September 30th
Benchmark Russell Midcap Index3
Prospectus Date 1/30/2014

1 Annualized as of 9/30/2013