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The performance data quoted represents past performance and does not guarantee future results. Investment return and principal value will fluctuate and, when redeemed, may be worth more or less than their original cost. The Fund's current performance may be lower or higher than that shown. Performance data current to the most recent month-end may be obtained on this site and performance reflects fee waivers in effect. The average annualized total returns reflect the deduction of the Fund's maximum sales load.

Monthly Performance As of 5/31/2013


International Equity - All Classes



 Average Annual Total Returns 
 As of 5/31/2013 
Share Class Ticker MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark International Opportunities Fund
FiduciaryHIOFX-2.90%5.74%28.91%10.74%-2.29%9.38%7.27%4/4/20061.35%
Retail A (Net Asset Value)HIOAX-2.89%5.72%28.75%10.55%-2.43%9.16%7.02%4/3/20061.60%
Retail A (Max Sales Charge) HIOAX-8.20%-0.14%21.66%8.48%-3.52%8.55%6.84%4/3/20061.60%
Retail C (Net Asset Value)HITCX-2.90%5.44%27.96%9.85%-3.08%8.48%6.44%4/3/20062.10%
Retail C (Max Sales Charge) HITCX-3.87%4.44%26.96%9.85%-3.08%8.48%6.44%4/3/20062.10%
Retail M (Net Asset Value)HIOMX-2.77%5.88%29.29%10.92%-2.12%9.53%7.45%4/3/20061.10%
Retail M (Max Sales Charge) HIOMXN/AN/AN/AN/AN/AN/AN/A4/3/20061.10%

Specialty Equity - All Classes



 Average Annual Total Returns 
 As of 5/31/2013 
Share Class Ticker MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark Enhanced Growth Fund
FiduciaryHEGFX4.13%10.59%17.18%13.81%5.20%7.13%2.47%4/4/20061.35%
Retail A (Net Asset Value)HEHAX4.08%10.34%16.77%13.35%4.80%6.71%2.09%4/3/20061.60%
Retail A (Max Sales Charge) HEHAX-1.66%4.24%10.34%11.23%3.62%6.11%1.60%4/3/20061.60%
Retail C (Net Asset Value)HEGCX4.08%10.13%16.17%12.71%4.15%6.14%1.54%4/3/20062.10%
Retail C (Max Sales Charge) HEGCX3.08%9.13%15.17%12.71%4.15%6.14%1.54%4/3/20062.10%
Retail M (Net Asset Value)HEGMX4.12%10.57%17.25%13.82%5.22%7.18%2.55%4/3/20061.10%
Retail M (Max Sales Charge) HEGMXN/AN/AN/AN/AN/AN/AN/A4/3/20061.10%
HighMark NYSE Arca Tech 100 Index Fund
FiduciaryPTSFX4.18%14.40%26.99%18.69%9.48%9.90%11.39%6/8/20091.02%
Retail A (Net Asset Value)PPTIX4.15%14.24%26.61%18.34%9.25%9.78%11.32%6/10/19961.27%
Retail A (Max Sales Charge) PPTIX-1.58%7.98%19.65%16.13%8.02%9.16%10.95%6/10/19961.27%
Retail B (Net Asset Value)**PSEBX4.12%13.98%25.83%17.63%8.56%9.03%10.64%7/27/19981.77%
Retail B (Max Sales Charge) **PSEBX-0.88%8.98%20.83%16.90%8.27%9.03%10.64%7/27/19981.77%
Retail C (Net Asset Value)PTICX4.12%13.96%25.86%17.65%8.56%9.03%10.73%5/8/20001.77%
Retail C (Max Sales Charge) PTICX3.12%12.96%24.86%17.65%8.56%9.03%10.73%5/8/20001.77%

Domestic Equity - All Classes



 Average Annual Total Returns 
 As of 5/31/2013 
Share Class Ticker MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark Small Cap Core Fund
FiduciaryHSAFX2.89%15.22%30.73%17.84%7.61%N/A3.18%3/1/20071.71%
Retail A (Net Asset Value)HSAAX2.84%15.05%30.27%17.45%7.28%N/A2.88%3/1/20071.96%
Retail A (Max Sales Charge) HSAAX-2.81%8.73%23.12%15.24%6.07%N/A1.95%3/1/20071.96%
Retail C (Net Asset Value)HSCAX2.85%14.84%29.56%16.77%6.54%N/A2.20%3/1/20072.46%
Retail C (Max Sales Charge) HSCAX1.85%13.84%28.56%16.77%6.54%N/A2.20%3/1/20072.46%
HighMark Cognitive Value Fund
FiduciaryHCLFX2.27%12.38%28.65%15.97%6.33%9.21%7.39%4/4/20061.34%
Retail A (Net Asset Value)HCLAX2.19%12.18%28.10%15.61%5.97%8.87%7.07%4/3/20061.61%
Retail A (Max Sales Charge) HCLAX-3.45%5.98%21.06%13.45%4.77%8.25%6.56%4/3/20061.61%
Retail C (Net Asset Value)HCLCX2.18%11.91%27.46%14.91%5.34%8.23%6.45%4/3/20062.11%
Retail C (Max Sales Charge) HCLCX1.18%10.91%26.46%14.91%5.34%8.23%6.45%4/3/20062.11%
Retail M (Net Asset Value)HCLMX2.27%12.47%28.77%16.12%6.42%9.33%7.53%4/3/20061.09%
Retail M (Max Sales Charge) HCLMXN/AN/AN/AN/AN/AN/AN/A4/3/20061.09%
HighMark Geneva Small Cap Growth Fund
FiduciaryHGFSX5.30%15.25%26.81%19.72%N/AN/A20.52%6/12/20091.82%
Retail A (Net Asset Value)HGASX5.27%15.12%26.50%19.41%N/AN/A20.21%6/12/20092.07%
Retail A (Max Sales Charge) HGASX-0.51%8.78%19.54%17.18%N/AN/A18.52%6/12/20092.07%
Retail C (Net Asset Value)HGCSX5.19%14.83%25.73%18.71%N/AN/A19.52%6/12/20092.57%
Retail C (Max Sales Charge) HGCSX4.19%13.83%24.73%18.71%N/AN/A19.52%6/12/20092.57%
HighMark Geneva Mid Cap Growth Fund
FiduciaryPNMFX2.45%11.04%14.03%16.17%7.06%10.52%7.81%6/8/20091.26%
Retail A (Net Asset Value)PNMAX2.40%10.90%13.73%15.86%6.82%10.40%7.73%1/4/19991.51%
Retail A (Max Sales Charge) PNMAX-3.22%4.79%7.47%13.70%5.62%9.78%7.31%1/4/19991.51%
Retail B (Net Asset Value)**PNMBX2.33%10.62%13.01%15.17%6.14%9.64%6.99%1/4/19992.01%
Retail B (Max Sales Charge) **PNMBX-2.68%5.62%8.01%14.41%5.83%9.64%6.99%1/4/19992.01%
Retail C (Net Asset Value)MGPCX2.34%10.62%13.04%15.16%6.15%9.63%7.08%5/8/20002.01%
Retail C (Max Sales Charge) MGPCX1.34%9.62%12.04%15.16%6.15%9.63%7.08%5/8/20002.01%
HighMark Large Cap Growth Fund
FiduciaryHMGRX0.56%10.15%15.77%14.21%5.38%6.54%5.24%11/18/19931.27%
Retail A (Net Asset Value)HMRGX0.57%10.06%15.36%13.90%5.09%6.25%5.02%6/20/19941.52%
Retail A (Max Sales Charge) HMRGX-5.00%4.04%9.06%11.78%3.92%5.66%4.72%6/20/19941.52%
Retail B (Net Asset Value)**HMGBX0.53%9.87%14.82%13.23%4.51%5.63%4.52%2/2/19982.02%
Retail B (Max Sales Charge) **HMGBX-4.48%4.87%9.82%12.45%4.17%5.63%4.52%2/2/19982.02%
Retail C (Net Asset Value)HGRCX0.53%9.87%14.86%13.24%4.48%5.61%4.61%11/30/19992.02%
Retail C (Max Sales Charge) HGRCX-0.47%8.87%13.86%13.24%4.48%5.61%4.61%11/30/19992.02%
HighMark Large Cap Core Equity Fund
FiduciaryHMCFX2.47%15.65%27.90%16.89%6.03%7.17%2.17%5/31/20001.28%
Retail A (Net Asset Value)HCEAX2.43%15.45%27.43%16.51%5.72%6.88%1.89%6/30/20001.53%
Retail A (Max Sales Charge) HCEAX-3.20%9.11%20.44%14.33%4.52%6.27%1.45%6/30/20001.53%
Retail C (Net Asset Value)HCECX2.40%15.17%26.72%15.81%5.02%6.24%1.49%11/28/20032.03%
Retail C (Max Sales Charge) HCECX1.40%14.17%25.72%15.81%5.02%6.24%1.49%11/28/20032.03%
HighMark Value Fund
(Effective March 26, 2012, the HighMark Large Cap Value Fund merged into the HighMark Value Momentum Fund and the resulting Fund is now named HighMark Value Fund. Read More >>)

Class U (Net Asset Value)HVMUX3.52%15.70%31.29%16.75%3.97%7.60%9.30%1/4/20120.89%
Class U (Max Sales Charge) HVMUXN/AN/AN/AN/AN/AN/AN/A1/4/20120.89%
FiduciaryHMVMX3.51%15.57%31.03%16.65%3.91%7.57%9.29%2/1/19911.14%
Retail A (Net Asset Value)HMVLX3.50%15.50%30.71%16.35%3.65%7.29%9.07%4/2/19921.39%
Retail A (Max Sales Charge) HMVLX-2.19%9.15%23.56%14.18%2.48%6.69%8.80%4/2/19921.39%
Retail B (Net Asset Value)**HVMBX3.48%15.19%30.02%15.68%3.03%6.64%8.62%2/2/19981.89%
Retail B (Max Sales Charge) **HVMBX-1.52%10.19%25.02%14.92%2.71%6.64%8.62%2/2/19981.89%
Retail C (Net Asset Value)HVMCX3.50%15.22%30.05%15.69%3.06%6.65%8.72%11/30/19991.89%
Retail C (Max Sales Charge) HVMCX2.50%14.22%29.05%15.69%3.06%6.65%8.72%11/30/19991.89%
HighMark Equity Income Fund
FiduciaryNJPFX-0.09%15.27%24.00%17.46%5.25%N/A5.28%6/8/20091.65%
Retail A (Net Asset Value)NJPAX-0.17%15.15%23.67%17.02%5.14%N/A5.21%4/1/20051.90%
Retail A (Max Sales Charge) NJPAX-5.66%8.86%16.82%14.86%3.96%N/A4.48%4/1/20051.90%
Retail B (Net Asset Value)**NJPBX-0.17%14.91%22.93%16.36%4.47%N/A4.49%4/1/20052.40%
Retail B (Max Sales Charge) **NJPBX-5.17%9.91%17.93%15.62%4.14%N/A4.49%4/1/20052.40%
Retail C (Net Asset Value)NJPCX-0.26%14.86%22.85%16.31%4.45%N/A4.62%4/4/20052.40%
Retail C (Max Sales Charge) NJPCX-1.26%13.86%21.85%16.31%4.45%N/A4.62%4/4/20052.40%

Multi-Asset - All Classes



 Average Annual Total Returns 
 As of 5/31/2013 
Share Class Ticker MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark Tactical Capital Growth Allocation Fund
FiduciaryHGAFX0.93%9.67%22.13%12.87%4.07%N/A5.49%11/15/20061.99%
Retail A (Net Asset Value)HMAAX0.94%9.59%21.82%12.59%3.80%N/A5.28%10/12/20042.24%
Retail A (Max Sales Charge) HMAAX-4.61%3.55%15.14%10.48%2.63%N/A4.60%10/12/20042.24%
Retail C (Net Asset Value)HMACX0.86%9.27%21.02%11.79%3.07%N/A4.55%10/12/20042.74%
Retail C (Max Sales Charge) HMACX-0.14%8.27%20.02%11.79%3.07%N/A4.55%10/12/20042.74%
HighMark Tactical Growth & Income Allocation Fund
FiduciaryHGIFX0.53%7.17%17.23%10.89%4.43%N/A5.34%11/15/20061.81%
Retail A (Net Asset Value)HMRAX0.49%7.09%16.95%10.62%4.17%N/A5.14%10/12/20042.06%
Retail A (Max Sales Charge) HMRAX-5.02%1.19%10.52%8.55%3.00%N/A4.46%10/12/20042.06%
Retail C (Net Asset Value)HMRCX0.46%6.78%16.14%9.85%3.44%N/A4.41%10/12/20042.56%
Retail C (Max Sales Charge) HMRCX-0.55%5.78%15.14%9.85%3.44%N/A4.41%10/12/20042.56%
HighMark Balanced Fund
FiduciaryHMBAX0.14%6.52%11.55%10.91%5.29%5.97%6.80%2/1/19911.63%
Retail A (Net Asset Value)HMBRX0.16%6.50%11.30%10.66%5.03%5.70%6.59%11/13/19921.88%
Retail A (Max Sales Charge) HMBRX-5.37%0.66%5.17%8.60%3.86%5.10%6.32%11/13/19921.88%
Retail B (Net Asset Value)**HMBBX0.13%6.21%10.62%9.97%4.40%5.06%6.17%2/2/19982.38%
Retail B (Max Sales Charge) **HMBBX-4.87%1.21%5.62%9.14%4.06%5.06%6.17%2/2/19982.38%
Retail C (Net Asset Value)HMBCX0.08%6.15%10.58%9.99%4.40%5.05%6.24%11/30/19992.38%
Retail C (Max Sales Charge) HMBCX-0.92%5.15%9.58%9.99%4.40%5.05%6.24%11/30/19992.38%
HighMark Asset Allocation Funds’ value will go up and down in response to changes in the share prices of the investments that they own. There is no guarantee the Funds’ principal value will increase and it is possible to lose money by investing in the Funds

Tax-Free Fixed Income - All Classes



   Average Annual Total Returns 
   As of 5/31/2013 
Share Class Ticker SEC Yield MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark Wisconsin Tax-Exempt Fund
FiduciaryWTEFX2.86%-0.95%0.40%1.66%4.11%4.32%3.57%4.46%6/8/20091.07%
Retail A (Net Asset Value)PWTEX2.55%-0.97%0.30%1.41%3.86%4.17%3.50%4.42%6/13/19941.32%
Retail A (Max Sales Charge) PWTEX2.55%-3.22%-1.99%-0.89%3.08%3.69%3.26%4.30%6/13/19941.32%
Retail B (Net Asset Value)**WTEBX1.90%-0.94%0.10%0.78%3.16%3.45%2.76%4.01%1/6/20031.82%
Retail B (Max Sales Charge) **WTEBX1.90%-5.89%-4.87%-4.15%2.21%3.10%2.76%4.01%1/6/20031.82%
Retail C (Net Asset Value)WTECX2.15%-1.01%0.11%0.96%3.40%3.65%2.86%4.06%1/6/20031.57%
Retail C (Max Sales Charge) WTECX2.15%-2.00%-0.88%-0.03%3.40%3.65%2.86%4.06%1/6/20031.57%
HighMark CA Intermediate Tax-Free Bond Fund
FiduciaryHMITX1.95%-1.40%-0.33%1.85%3.63%4.22%3.40%4.33%10/15/19931.02%
Retail A (Net Asset Value)HMCIX1.66%-1.42%-0.34%1.61%3.39%3.99%3.15%4.18%10/15/19931.27%
Retail A (Max Sales Charge) HMCIX1.66%-3.61%-2.55%-0.66%2.62%3.51%2.91%4.06%10/15/19931.27%
Retail C (Net Asset Value)HCTCX1.25%-1.47%-0.62%1.16%2.91%3.50%2.70%3.97%11/28/20031.52%
Retail C (Max Sales Charge) HCTCX1.25%-2.45%-1.61%0.17%2.91%3.50%2.70%3.97%11/28/20031.52%
HighMark National Intermediate Tax-Free Bond Fund
FiduciaryHMNTX1.65%-1.14%-0.03%1.73%3.50%4.14%3.41%4.74%2/17/19891.08%
Retail A (Net Asset Value)HMNFX1.37%-1.16%-0.04%1.56%3.24%3.89%3.17%4.48%10/18/20021.33%
Retail A (Max Sales Charge) HMNFX1.37%-3.38%-2.30%-0.73%2.47%3.42%2.93%4.38%10/18/20021.33%
Retail C (Net Asset Value)HNTCX0.95%-1.20%-0.23%1.10%2.80%3.49%2.66%4.42%12/1/20091.58%
Retail C (Max Sales Charge) HNTCX0.95%-2.18%-1.22%0.11%2.80%3.49%2.66%4.42%12/1/20091.58%

Taxable Fixed Income - All Classes



   Average Annual Total Returns 
   As of 5/31/2013 
Share Class Ticker SEC Yield MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark Bond Fund
FiduciaryHMBDX1.93%-1.43%-0.29%3.18%5.54%6.32%4.94%7.41%2/15/19841.00%
Retail A (Net Asset Value)HMRBX1.63%-1.39%-0.40%2.97%5.28%6.06%4.68%7.29%6/20/19941.25%
Retail A (Max Sales Charge) HMRBX1.63%-3.60%-2.63%0.65%4.49%5.58%4.44%7.21%6/20/19941.25%
Retail B (Net Asset Value)**HBDBX0.99%-1.46%-0.60%2.26%4.55%5.34%3.95%6.97%11/30/20001.75%
Retail B (Max Sales Charge) **HBDBX0.99%-6.38%-5.53%-2.68%3.62%5.01%3.95%6.97%11/30/20001.75%
Retail C (Net Asset Value)HBDCX1.24%-1.44%-0.49%2.55%4.83%5.63%4.29%7.18%11/28/20031.50%
Retail C (Max Sales Charge) HBDCX1.24%-2.42%-1.48%1.56%4.83%5.63%4.29%7.18%11/28/20031.50%
HighMark Short Term Bond Fund
FiduciaryHMSFX0.86%-0.28%0.11%1.50%2.16%3.06%N/A3.25%11/2/20040.97%
Retail A (Net Asset Value)HMSAX0.58%-0.40%0.00%1.23%1.89%2.76%N/A2.96%11/2/20041.22%
Retail A (Max Sales Charge) HMSAX0.58%-2.62%-2.23%-1.03%1.13%2.29%N/A2.69%11/2/20041.22%
Retail C (Net Asset Value)HMTCX0.15%-0.34%-0.18%0.76%1.44%2.32%N/A2.57%11/29/20041.47%
Retail C (Max Sales Charge) HMTCX0.15%-1.33%-1.18%-0.24%1.44%2.32%N/A2.57%11/29/20041.47%

Money Market - All Classes



 Average Annual Total Returns 
 As of 5/31/2013 
Share Class Ticker MTD YTD 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date Gross Expenses
Click for Net Expenses
HighMark CA Tax-Free Money Market Fund
FiduciaryHMCXX0.00%0.01%0.02%0.03%0.32%1.16%1.97%6/10/19910.77%
Retail A (Net Asset Value)HMAXX0.00%0.01%0.02%0.02%0.26%1.00%1.74%6/25/19911.02%
Retail A (Max Sales Charge) HMAXXN/AN/AN/AN/AN/AN/AN/A6/25/19911.02%
Retail S (Net Asset Value)HCSXX0.00%0.01%0.02%0.02%0.21%0.84%1.73%9/30/19991.07%
Retail S (Max Sales Charge) HCSXXN/AN/AN/AN/AN/AN/AN/A9/30/19991.07%
HighMark Diversified Money Market Fund
FiduciaryHMDXX0.00%0.01%0.02%0.04%0.45%1.72%3.16%2/1/19910.75%
Retail A (Net Asset Value)HMVXX0.00%0.01%0.02%0.03%0.36%1.55%2.90%5/28/19911.00%
Retail A (Max Sales Charge) HMVXXN/AN/AN/AN/AN/AN/AN/A5/28/19911.00%
Retail S (Net Asset Value)HDSXX0.00%0.01%0.02%0.03%0.30%1.38%2.91%9/30/19991.05%
Retail S (Max Sales Charge) HDSXXN/AN/AN/AN/AN/AN/AN/A9/30/19991.05%
HighMark U.S. Government Money Market Fund
FiduciaryHMGXX0.00%0.00%0.00%0.01%0.27%1.55%3.58%8/10/19870.76%
Retail A (Net Asset Value)HMUXX0.00%0.00%0.00%0.01%0.23%1.40%2.82%12/1/19901.01%
Retail A (Max Sales Charge) HMUXXN/AN/AN/AN/AN/AN/AN/A12/1/19901.01%
Retail B (Net Asset Value)**HGBXX0.00%0.00%0.00%0.01%0.15%1.05%3.18%2/2/19981.51%
Retail B (Max Sales Charge) **HGBXX-5.00%-5.00%-5.00%-1.00%-0.25%1.05%3.18%2/2/19981.51%
Retail C (Net Asset Value)HGTXX0.00%0.00%0.00%0.01%0.17%1.33%3.49%12/1/20051.26%
Retail C (Max Sales Charge) HGTXX-1.00%-1.00%-1.00%0.01%0.17%1.33%3.49%12/1/20051.26%
Retail S (Net Asset Value)HGSXX0.00%0.00%0.00%0.01%0.19%1.25%3.38%9/30/19991.06%
Retail S (Max Sales Charge) HGSXXN/AN/AN/AN/AN/AN/AN/A9/30/19991.06%
HighMark Treasury Plus Money Market Fund
FiduciaryHMFXX0.00%0.00%0.00%0.01%N/AN/A0.10%8/14/20080.81%
Retail A (Net Asset Value)HMPXX0.00%0.00%0.00%0.01%N/AN/A0.03%8/14/20081.06%
Retail A (Max Sales Charge) HMPXXN/AN/AN/AN/AN/AN/AN/A8/14/20081.06%
Retail S (Net Asset Value)HMSXX0.00%0.00%0.00%0.00%N/AN/A0.00%8/14/20081.11%
Retail S (Max Sales Charge) HMSXXN/AN/AN/AN/AN/AN/AN/A8/14/20081.11%
HighMark 100% U.S. Treasury Money Market Fund
FiduciaryHMTXX0.00%0.00%0.00%0.00%0.09%1.28%3.40%8/10/19870.76%
Retail A (Net Asset Value)HMRXX0.00%0.00%0.00%0.00%0.07%1.14%2.64%12/1/19901.01%
Retail A (Max Sales Charge) HMRXXN/AN/AN/AN/AN/AN/AN/A12/1/19901.01%
Retail S (Net Asset Value)HUSXX0.00%0.00%0.00%0.00%0.05%1.01%3.21%9/30/19991.06%
Retail S (Max Sales Charge) HUSXXN/AN/AN/AN/AN/AN/AN/A9/30/19991.06%


** Calendar year performance does not reflect sales charges or expenses.


Mutual fund investing involves risk, including possible loss of principal. Investors should consider the Funds' investment objectives, risks, charges and expenses carefully before investing. This and other information can be found in the Funds' prospectus, which may be obtained by calling 800.433.6884 or by visiting www.highmarkfunds.com. Please read the prospectus carefully before investing.

HighMark Funds Distributors, LLC, an affiliate of Foreside Funds Distributors LLC, is the principal underwriter of the HighMark Funds. HighMark Capital Management, Inc., a registered investment adviser, is a wholly-owned subsidiary of Union Bank, N.A. and serves as the investment adviser for HighMark Funds. Union Bank, N.A. is wholly owned by UnionBanCal Corporation. UnionBanCal Corporation is wholly owned by The Bank of Tokyo-Mitsubishi UFJ, Ltd., which is a wholly-owned subsidiary of Mitsubishi UFJ Financial Group, Inc. (MUFG, NYSE:MTU), one of the world’s largest financial organizations in market capitalization and deposit taking. NO BANK GUARANTEE, NOT FDIC INSURED, MAY LOSE VALUE. There is no guarantee that the Funds will meet their stated objectives.

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