1. Go to Control > Query
2. Click New
3. Click Funds
4. Expand Funds > Fund
5. Click on Fund Name to highlight it
6. Click Add
7. In the first dropdown menu choose "="
8. In the second dropdown menu, choose your fund name
9. Select any other filters you need
10. Click Next
11. Choose your Output Fields
12. Click Next
13. Sort your query if necessary
14. Click Finish