FUND OBJECTIVE:
Seeks total return through a combination of capital appreciation and income consistent
with what is believed to be a prudent allocation between equity and fixed-income
securities.
PORTFOLIO MANAGEMENT
Portfolio Managers:
John B. Cunningham, CFA

John B. Cunningham, CFA

Managing Director
Chief Investment Officer
Co-Head of The Seligman Core/Growth Investment Team
Joined Seligman: 2004
Industry Experience: 20 years
Mr. Cunningham serves as Portfolio Manager for the following:
He is a member of the Management Committee, chair of the Investment Policy Committee, and Head of the Portfolio Construction and the Proxy Voting Committees.
Education:BA (English) - University of Virginia
MBA - Dartmouth College
Professional Designations and Affiliations:
Chartered Financial Analyst (CFA)
CFA institute (Formerly AIMR)
New York Society of Security Analysts (NYSSA)

Francis L. Mustaro

Francis L. Mustaro

Managing Director
Head of the Seligman Investment Grade Fixed Income Team
Joined Seligman: 2006
Industry Experience: 35 Years
Mr. Mustaro serves as Portfolio Manager for the following:
Education:BA (History with a concentration in Economics) - Lafayette College

J. Eric Misenheimer, CPA, CFA

J. Eric Misenheimer, CPA, CFA

Managing Director
Head of the Seligman High Yield Group
Joined Seligman: 2005
Industry Experience: 15 years
Mr. Misenheimer serves as Portfolio Manager for the following:
Education:BA (Accounting) - Loyola College
MS (Finance) - Loyola College
Professional Designation and Affliations:
Chartered Financial Analyst (CFA)
Certified Public Accountant (CPA)

Investment Team:
Seligman Core Investment Team
Seligman Investment Grade Team
Seligman High-Yield Team
FUND STATISTICS
As of June 30, 2008
Inception March 31, 1947
Total Net Assets $64 million
Number of Holdings 281
TOP 10 HOLDINGS
As of June 30, 2008
ExxonMobil
2.4%
Marvell Technology Group
1.8
JPMorgan Chase
1.5
Comverse Technology
1.4
Chevron
1.3
AT&T
1.2
General Electric
1.2
ConocoPhillips
1.1
Philip Morris International
1.0
Microsoft
1.0
Total
13.9%
PORTFOLIO COMPOSITION
As of June 30, 2008
Common Stocks
62.1%
Corporate Bonds
17.2%
US Government and Government Agency
6.6%
Preferred Stocks
4.4%
Other
3.2%
Equity-Linked Notes
3.1%
Collateralized Mortgage Obligations
1.4%
Asset-Backed Securities
1.1%
Options Purchased
0.6%
Foreign Government Agency
0.3%
TOP 10 INDUSTRY WEIGHTINGS
As of June 30, 2008
Oil, Gas and Consumable Fuels
9.5%
Pharmaceuticals
6.0
Communications Equipment
4.1
Semiconductors and Semiconductor Equipment
3.9
Software
3.7
Energy Equipment and Services
3.5
Diversified Telecommunication Services
3.5
Capital Markets
3.4
Government Agency Mortgage-Backed Securities
3.1
Diversified Financial Services
3.1
Industry Weightings are shown as a percentage of net assets.
FUND CHARACTERISTICS
As of June 30, 2008
P/E
15x
Trailing 3 Year EPS Growth
27%
Weighted Average Market Capitalization*
$70,136
Source: Factset. *In millions.
P/E Ratio is the weighted average of the price of each stock in the Fund's portfolio at June 30, 2008 divided by its after-tax earnings per share over the trailing 12-month period ended on such date, excluding any companies with after-tax losses.
Trailing 3 Year EPS Growth is the weighted average of the change in the earnings per share over the previous 12 quarters of the companies in the Fund's portfolio at June 30, 2008.
Weighted Average Market Capitalization represents the market capitalizations of companies held in the portfolio.
GROWTH of $10,000
(Class A Without Sales Charges: 6/30/88 - 6/30/08)
The chart does not reflect the performance of Class B, C, or R shares, which would differ due to different sales
charges, fees and expenses. See Important Performance Information below.
CALENDAR YEAR TOTAL RETURNS
As of June 30, 2008
Class A Without Sales Charges
The chart does not reflect the performance of Class B, C, or R shares, which would differ due to different sales charges, fees and expenses. See Important Performance Information below.
NOT FDIC INSURED . NOT BANK GUARANTEED . MAY LOSE VALUE