^H LIPPER MUTUAL FUND PERFORMANCE AVERAGES ^H
Weekly Summary Report: April 7, 1994
Cumulative Performances With	Dividends Reinvested
NAV	No.	10/11/90- 7/12/90-	4/08/93-	12/31/93-	3/31/94-
Mil. $	Funds	4/07/94	4/07/94	4/07/94	4/07/94	4/07/94
General Equity Funds:
40,067.3	155 Capital Appreciation.	+ 94.25%	49.13%	4- 12.84%	- 1.75%	+ 1.73%
173,318.0	476 Growth Funds	+ 80.465%	41.94%	+ 8.73%	- 1.73%	+ 1.75%
27,936.481	81 Mid Cap Funds	+ 123.13%	64.94%	4- 16.77%	- 1.14%	+ 2.14%
29,763.0	218 Small Company Growth	+ 127.15%	62.54%	+ 16.89%	- 1.01%	+ 2.06%
174,989.4	362 Growth and Income	+ 72.41%	42.20%	+ 6.64%	- 1.86%	+ 1.39%
17,873.1	40 S&P 500 Objective	+ 67.01%	36.49%	+ 4.37%	- 2.79%	+ 1.18%
60,740.8	100 Equity Income	+ 67.21%	+ 41.68%	+ 4.68%	- 2.78%	4- 1 .00%
524,688.0	1432 Gen. Equity Funds Avg.	+ 86.24% 4	<- 46.32%	+ 9.86%	- 1.72%	4- 1.66%
Other Equity Funds:
4,409.5	16 Health/Biotechnology	+ 79.52%	+ 51.00%	+ 23.90%	- 2.89%	+ 1.61%
2.235/5	29 Natural Resources	+ 21.50% 4	+ 13.27%	+ 4.98%	- 3.76%	+ 0.75%
280.5	11 Environmental	+ 18.20% -	- 8.41%	+ 1.03%	- 3.76%	+ 0.75%
4,035.6	25 Science & Technol	+ 163.20% 4	< 78.14%	+ 28.92%	+ 4.47%	+ 3.07%
2,385.5	26 Specialty/Misc.	+ 112.12% 4	t 60.45%	+ 16.16%	- 1.65%	+ 1.24%
27,248.1	73 Utility Funds	+ 52.13% + 45.13%	- 2.60%	- 6.81%	+ 0.05%
1,903.0	14 Financial Services	+ 187.43% 4	1-114.61%	+ 1.72%	- 1.95%	+ 1.06%
970.4	11 Real Estate	+ 88.67% + 51.89%	+ 8.29%	+ 1.27%	+ 0.94%
5,774.7	34 Gold Oriented Funds	+ 35.81% 4	t 28.57%	+ 37.27%	- 7.24%	- 2.67%
32,039.9	97 Global Funds	+ 53.47% 4	t 30.14%	+ 19.73%	- 2.13%	+ 0.23%
4,833.4	15 Global Small Co. Funds	+ 84.76% + 48.83%	+ 27.45%	- 0.14%	+ 0.23%
45,275.2	165 International Funds	+ 44.56% 4	^ 23.24%	+ 22.45%	- 1.05%	+ 0.00%
5,298.6	33 European Region Fds	+ 23.54% 4	^ 5.29%	+ 21.64%	4- 3.06%	- 0.03%
11,322.9	41 Pacific Region Funds	+ 67.27% 4	^ 38.00%	+ 29.82%	- 10.98%	+ 0.63%
6,177.8	19 Emerging Markets Funds	+ 96.27% 4	1- 54.48%	+ 40.25%	- 10.30%	- 2.29%
953.7	7 Japanese Funds	+ 9.15% -	- 12.03%	+ 16.94%	+ 17.69%	+ 0.35%
2,246.2	10 Latin American Funds	N/A%	N/A%	+ 41.04%	- 7.21%	- 4.68%
142.3	2 Canadian Funds	+ 36.80% 4	25.63%	+ 16.19%	- 2.60%	+ 0.35%
114,064.7	423 World Equity Funds Avg.	+ 45.42% + 24.99%	+ 24.93%	- 2.74%	- 0.31%
682,220.8	2060 All Equity Funds Avg.	+ 79.95% 4	t 43.52%	+ 12.74%	- 2.06%	+ 1.18%
Other Funds:
23,562.8	114 Flexible Portfolio	+ 60.98% 4	t 42.35%	+ 5.73%	- 2.20%	+ 0.76%
8,339.7	25 Global Flex Port.	+ 46.48% 4	1- 34.52%	+ 12.39%	- 3.18%	+ 0.31%
47,075.6	155 Balanced Funds	+ 60.74% + 41.75%	+ 4.92%	- 2.53%	+ 0.77%
976.5	9 Balanced Target	4- 64.82% 4	4. 44.84%	4- 4.46%	- 3.65%	+ 0.41%
3,705.8	26 Conv. Securities	+ 82.02% 4	^ 55.76%	+ 8.78%	- 1.43%	+ 0.43%
13,666,3	21 Income Funds	+ 56.71% + 45.53%	+ 3.71%	- 2.80%	+ 0.26%
34,508.7	156 World Income Funds	+ 25.86% 4	^ 33.97%	+ 3.74%	- 4.26%	- 0.28%
344,469.3	1135 Fixed Income Funds	+ 43.85% 4	1- 41.01%	+ 2.31%	- 2.67%	- 0.46%
1,158,525.5	3701 Long-Term Average	+ 66.57% 4	^ 42.59%	4- 8.51%	2.37%	+ 0.57%
	Long-Term Median	+ 58.70% + 39.20%	+ 5.20%	- 2.40%	+ 0.40%
	Funds with % Change	1635	1589	2869	3530	3604
Securities Market	Indexes			
Value	U.S. Equities:					
3693.26	Dow Jones Ind. Avg. xd	4- 56.16 4	^ 24.36	+ 8.74	1.62	+ 1.58
450.88	S&P 500 xd	+ 52.60 4	23.38	+ 2.05	3.34	4- 1.15
527.43	S&P 400 xd	+ 52.06 4	^ 21.70	+ 5.07	2.38	4- 1.18
250.22	NYSE Composite xd	+ 54.27 4	^ 25.54	+ 2.62	3.42	+ 1.28
441.76	ASE Index	+ 50.41 4	1- 21.96	4- 6.13	7.42	0.31
255.95	Russell 2000 Index xd	+ 113.26 	* 51.07	4- 14.86	1.02	+ 1.95
Value	International Equities:					
2,201.41	DAX Index	+ 54.12 4	^ 14.88	+ 32.96	2.88	+ 3.20
3,129.00	FT S-E 100 Index	+ 48.84 4	32.00	+ 10.89	8.47	+ 1.38
1,989.09	Nikkei 225 Average xd	11.93 -	- 38.94	0.38	+ 14.20	+ 4.08
xd-Price	only index. Calculated without reinvestment of dividends. The Nikkei index	value is divided by 10 due to
space limitation. Source: Upper Analytical Services Inc., Summit,	Mew Jersey 07901

. 22.6.   
: Barren's, Dow Jones & Company, Inc., April 11, 1994, pp. MW56, MW71.