The Fund seeks to provide absolute (positive) returns with low correlation to the U.S. equity market, by investing, primarily in domestic and foreign securities, both debt and equity, that the Adviser deems to be undervalued or out of favor. The Adviser can position the Fund in a net long or a net short position.

Information Ratio for 1 Year to Last Month End

Relative Performance for 5 Years to Last Month End

Relative Performance for 3 Years to Last Month End

Relative Performance for 1 Year to Last Month End

Relative Performance for 6 Months to Last Month End

Relative Performance for 1 Month to Last Month End

Relative Performance for 10 Years to Last Month End

Relative Performance for 3 Months to Last Month End

Return/Risk Ratio for 1 Year to Last Month End

Standard Deviation for 1 Year to Last Month End