Market Leaders Fund (QMLFX)

FUND OBJECTIVE

The Fund seeks high appreciation on an annual basis consistent with a high tolerance for risk.

FUND FOCUS

Active asset allocation strategy designed to overweight portfolio investments into the top-performing asset classes while eliminating exposure to under-performing assets.

FUND PERFORMANCE
TOTAL RETURNS QTR YTD 1 YEAR 3 YEARS 5 YEARS SINCE
INCEPTION
QMLFX 0.86% 3.7% 1.12% 9.86% 2.32% 7.45%
PERIODS ENDING November 30, 2025
FUND INFORMATION
Symbol QMLFX
Inception Date August 09, 2013
Net Assets $107.13 Million
Expense Ratio 1.48% Investor Class • 2.08% Advisor Class
FACT SHEET