NAV as of: 05/24/2013 $11.96 - Daily NAV change: $-0.01 (-0.08%)

Fund CharacteristicsAs of: 03/31/2013

TickerJAZZX
Inception Date05/23/2011
Cusip470259797
Total Net Assets as of 05/24/2013 ($mil)$13.92
Price/Earnings Ratio (12m trailing)12.43
Price/Book Ratio14.13
Dividend Yield1.96
Weighted Average Market Capitalization ($ mil)35,318.7
Median Market Capitalization ($ mil)5,272.7
Total Number of Equity Issues55

Fund Operating Expenses:Prospectus 11/01/2012

Management Fee1.18%
Distribution (12b-1) Fee0.25%
Other Expenses0.22%
Acquired Fund Fees and Expenses(AFFE)0.01%
Dividend Expense on Securites sold short1.01%
Total Annual Fund Operating Expenses2.67%

Market Capitalization Equity HoldingsAs of: 03/31/2013

(Less than $250 mil )0.00%
($250 - $1,000 mil)14.43%
($1,000 - $4,000 mil)30.59%
($4,000 - $7,000 mil)7.32%
(Greater than $7,000 mil)47.66%
Total100.00%

Top 5 Contributors to PerformanceAs of: 03/31/2013

SINCLAIR BROADCAST GROUP-A
TESORO CORP
FLOTEK INDUSTRIES INC
DELUXE CORP
ALASKA AIR GROUP INC

Asset AllocationAs of: 03/31/2013

Longs 96.14%
Cash 43.78%
Shorts -39.92%
Total100.00%

Top Five Sector AllocationsAs of: 03/31/2013

Consumer Cyclical 14.61%
Consumer Non-Cyclical 14.55%
Energy 13.10%
Finance 12.61%
Technology 12.20%
Total as % of Fund67.06%

Top Five Industry AllocationsAs of: 03/31/2013

Drugs-Ethical 8.68%
Banks-Regional 7.25%
Oil-Secondary 6.99%
Utilities-Electric 5.73%
Retail-Department Stores 5.33%
Total as % of Fund33.98%
 

Top Ten Equity Holdings (% of Fund)As of: 01/31/2013

Sturm Ruger & Co Inc 3.85%
HollyFrontier Corp 3.62%
Buckeye Technologies Inc 3.60%
Eli Lilly & Co 3.53%
Pfizer Inc 3.52%
Tesoro Corp 3.51%
UnitedHealth Group Inc 3.45%
Portland General Electric Co 3.27%
Deluxe Corp 3.00%
Fifth Third Bancorp 2.98%
Total as % of Fund34.33%

Region Exposure Top ThreeAs of: 03/31/2013

United States of America 99.48%
Canada 0.52%
Argentina 0.00%
Total as % of Fund100.00%

Bottom 5 Contributors to PerformanceAs of: 03/31/2013

DILLARDS INC CL A
NAVISTAR INTERNATIONAL (short)
SOURCEFIRE INC (short)
ANGIE'S LIST INC (short)
NEKTAR THERAPEUTICS (short)

Fund Income DataAs of: 03/31/2013

Average Duration to Worst 0.00

Top Five Sector Allocations (Fixed) As of: 03/31/2013

Total as % of Fund0.00%

Top Five Industry Allocations (Fixed) As of: 03/31/2013

Total as % of Fund0.00%

Market Capitalization Equity HoldingsAs of: 03/31/2013

(Less than $250 mil ) 0.00%
($250 - $1,000 mil) 29.33%
($1,000 - $4,000 mil) 49.53%
($4,000 - $7,000 mil) 9.52%
(Greater than $7,000 mil) 11.61%
Total100.00%

Short CharacteristicsAs of: 03/31/2013

Price/Book Ratio 8.13
Dividend Yield 1.15
Weighted Average Market Capitalization ($mil) 5,008.4
Median Market Capitalization ($mil) 1,471.1
Total Number of Equity Issues 138.00

Top Five Sector Allocations (Shorts Only) As of: 03/31/2013

Technology -14.89%
Consumer Non-Cyclical -7.53%
Energy -6.91%
Basic Materials -3.18%
Consumer Cyclical -2.96%
Total as % of Fund-35.48%

Top Five Industry Allocations (Shorts Only) As of: 03/31/2013

Information Processing-Software & Services -6.00%
Medical-Biotechnology -4.23%
Oil-Drilling -3.23%
Drugs-Ethical -3.14%
Medical Supplies -2.49%
Total as % of Fund-19.08%

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You should carefully consider the investment objectives, potential risks, management fees, and charges and expenses of the Fund before investing. The Fund's prospectus contains this and other information about the Fund, and should be read carefully before investing. You may obtain a current copy of the Fund's prospectus by calling 1-800-995-2637 or click here to view or download a prospectus online.

Mid, Small and Micro Cap investing involve greater risk not associated with investing in more established companies, such as greater price volatility, business risk, less liquidity and increased competitive threat. Fund holdings and sector weightings are subject to change without notice. Past performance is no guarantee of future results.