Other Funds
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Fund Performance

Asset Allocation As of 01/31/2017
Empty table header cell Cash US Stock Non US S. Bond Other
Independence Fund 0.15% 52.86% 42.25% 0.00% 1.68%

Sector Weightings (As of 01/31/2017)

Cyclical
Sector Fund
Basic Materials 1.97%
Consumer Cyclical 20.23%
Financial Services 16.58%
Real Estate 1.14%
Sensitive
Sector Fund
Communication Svcs 5.35%
Energy 1.88%
Industrials 9.49%
Technology 20.53%
Defensive
Sector Fund
Consumer Defensive 7.63%
Healthcare 15.21%
Utilities 0.00%

1 Trailing Total Returns are shown net of fund management and operating expenses, but not of redemption fees. For periods greater than one year, average annual total returns are shown.


2 The Growth of $10,000 graph shows a fund's performance based on how $10,000 invested in the fund would have grown over time with distributions reinvested.

3 The Great America Fund changed its benchmark from the Russell MidCap Index and the Russell 2000 Index to the Russell 2500 Growth Index on February 28, 2017. The Emerging Markets Fund changed its benchmark from the FTSE Global All Cap ex-US (Fair Value 16.00 EST) Net Tax (US RIC) Index to the FTSE Emerging Markets All Cap China A Inclusion (Fair Value 16.00 EST) Net Tax (US RIC) Index on February 28, 2017.