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The S&P
500 Index is a broad based unmanaged index of 500 stocks, which
is widely recognized as representative
of the equity market in general. You cannot invest directly in
an index.
The original FundX Upgrader Fund (FUNDX — Inception 11/1/2001) is designed for moderately aggressive investors seeking long-term growth. FUNDX consists primarily of funds categorized as Class 3 — Higher Quality Funds, with the option of using choices from the other three risk classes for equity funds. Ordinarily, the fund would not expect to extend more than 30% of its portfolio into the more aggressive funds in Classes 1 and 2.
FUNDX could be a core equity fund for most investors. It may be appropriate for long-term investors willing to accept an above-average level of market risk associated with investing in a portfolio that depends largely on the value of common stock holdings. The Fund's investment objective is to maximize capital appreciation over the long term without regard to income.
| |
Average
Annualized Return |
|
| |
12
Mo |
5 Yr |
Since Inception |
Cumulative
Return
Since
Inception
(11/1/01) |
Gross
Expense Ratio |
*
Net Expense Ratio |
|
-0.62 |
17.68 |
10.85 |
93.56 |
1.90 |
1.11 |
|
-5.15 |
11.32 |
5.01 |
36.72 |
|
|
|
Average
Annualized
Return |
Cumulative
Return Since
Inception
(11/1/01) |
|
|
1
mo |
3
mo |
YTD |
6
Mo |
12
Mo |
3
Yrs |
5
Yrs |
Since
Inception
(11/1/01)
|
Fundx
Upgrader Fund |
5.39 |
3.15 |
-6.45 |
-12.35 |
0.59 |
14.90 |
17.19 |
11.60 |
103.99 |
|
4.94 |
1.02 |
-5.00 |
-9.70 |
-4.74 |
8.22 |
10.62 |
5.73 |
43.47 |
Performance
data quoted represents past performance; past performance does
not guarantee future results. The investment return and principal
value of an investment will fluctuate so that an investor's shares,
when redeemed, may be worth more or less than their original
cost. Current performance of the fund may be lower or higher
than the performance quoted. Performance data quoted is current
to the most recent month end. Returns shown are cumulative, unless
otherwise noted.
* *The advisor has contractually agreed to reduce its fees and/or
pay each Fund’s expenses for a period of at least ten years
(three
years for the ETF Upgrader Funds), and indefinitly thereafter. The
figures shown represent the net expense ratios without Acquired
Fund Fees and Expenses and are after the effects of fee waivers,
recoupments and rebated fees.
| Class 1 & 2 |
|
|
| AmCen Heritage Inv |
TWHIX |
1.73% |
| CGM Focus |
CGMFX |
0.54% |
| Claymore BNY BRIC |
EEB |
0.79% |
| Columbia Emerging Mkts |
UMEMX |
1.62% |
| Fidelity Latin America |
FLATX |
0.89% |
| iShrs DJ Transportation |
IYT |
1.07% |
| iShrs DJ US Energy |
IYE |
0.59% |
| iShrs MSCI Brazil Idx |
EWZ |
0.81% |
| iShrs MSCI Canada Idx |
EWC |
0.68% |
| iShrs MSCI Emg Mkts |
EEM |
2.07% |
| iShrs MSCI Germany |
EWG |
1.70% |
| iShrs MSCI Hong Kong Id |
EWH |
1.10% |
| iShrs MSCI Malaysia |
EWM |
0.78% |
| iShrs MSCI Mexico Idx |
EWW |
0.72% |
| iShrs MSCI Pacific x-Jp |
EPP |
0.61% |
| iShrs MSCI Spain Index |
EWP |
1.04% |
| iShrs S&P Latin America |
ILF |
0.88% |
| iShrs S&P N. Am Nat Res |
IGE |
1.87% |
| Ivy Lrg Cap Growth Y |
WLGYX |
0.74% |
| JHancock LrgCp Equity A |
TAGRX |
1.08% |
| Market Vectors Russia |
RSX |
0.68% |
| Matthews India |
MINDX |
0.77% |
| Pioneer Emerging Mrkts |
PEMFX |
0.96% |
| PowerShrs DB Commodity |
DBC |
0.76% |
| PowerShrs Water Resourc |
PHO |
0.43% |
| StTRK Gold |
GLD |
0.84% |
| Vanguard Consumer Stpls |
VDC |
1.02% |
| Vanguard Emerging Mkts |
VWO |
1.97% |
| WisdomTree Pac X-Jpn To |
DND |
0.87% |
| Class 3 |
|
|
| Alliance Bernstein Intl |
AWPAX |
3.57% |
| BlackRock Fundamental G |
MAFGX |
4.48% |
| BlackRock Intl Opp Svc |
BRESX |
3.37% |
| Calamos Growth Fund A |
CVGRX |
3.92% |
| Diamond Hill Lg-Shrt A |
DIAMX |
3.43% |
| Diamonds Trust |
DIA |
5.06% |
| Fairholme Fund |
FAIRX |
3.43% |
| Harbor International |
HAINX |
3.97% |
| iShrs MSCI EMU Idx |
EZU |
5.37% |
| Ivy Asset Strategy A |
WASAX |
4.91% |
| Julius Baer Int'l Equit |
BJBIX |
4.30% |
| Oppenheimer Quest Oppor |
QVOPX |
3.34% |
| Quaker Strategic Gr I |
QAGIX |
2.89% |
| SPDR DJ Euro STOXX 50 |
FEZ |
1.30% |
| Thornburg Intn'l Value |
TGVAX |
5.69% |
| UMB Scout International |
UMBWX |
3.48% |
| Vanguard Growth ETF |
VUG |
4.29% |
| Wintergreen |
WGRNX |
1.60% |
| WisdomTree DIEFA |
DWM |
1.70% |
| Cash |
|
|
| Cash |
CASH |
0.29% |
| Total Class 1 & 2 |
|
29.61% |
| Total Class 3 |
|
70.10% |
| Total Cash |
|
0.29% |
| Total # of Positions |
|
48 |
Fund holdings are subject
to change at any time and are not recommendations
to buy or sell any of the underlying funds.
A Word About Risk
Mutual fund investing involves risk; loss of principal
is possible. Foreign investments by the underlying
funds involve risks, including changing currency
values, different political and regulatory environments
and other overall economic factors in those countries.
The underlying funds will also be subject to
interest rate, credit and high-yield risks. Underlying
funds that are non-diversified will invest a
larger percentage of their assets in individual
companies than a diversified fund. This will
result in greater volatility of a fund’s
share price than a diversified fund. Derivatives
will increase the velocity of potential losses
and the underlying holdings will lose more than
the original amount invested in the derivative.
Furthermore, derivatives involve risk that other
parties will fail to meet obligations, causing
losses.
The FUNDX Upgrader Fund may hold underlying funds
that invest in smaller companies, and this will
involve additional risks such as limited liquidity
and greater volatility.
Please consult your investment professional regarding
your particular investment situation. While the
funds invest in noload mutual funds, all mutual
funds charge management fees and other operating
expenses. Please refer to the prospectus for important
information about the FUNDX Upgrader Funds, including
investment objectives, risks, charges and expenses.
The FUNDX Upgrader Funds are distributed by Quasar
Distributors, LLC.
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