U.S. Value Select Fund A
April 30, 2013
Fund Characteristics
Inception November 3, 2010
Ticker
FNSAX
CUSIP
360873574
Regular Account:
Minimum Investment
$5,000
Additional Investment
$250
IRA Account:
Minimum Investment
$5,000
Additional Investment
$250
Expense Cap* 1.10%
Net Expense Ratio* 1.35%
Gross Expense Ratio 1.52%
Redemption Fee
(within 90 days)
1.00%
*The Advisor has contractually agreed to reduce or reimburse certain fees until August 31, 2014.

Documents
Factsheet
Prospectus & Reports

Third Party Info
Morningstar®
Investment Objective
The Formula Investing U.S. Value Select Fund ("U.S. Value Select Fund") seeks to achieve long term capital appreciation.
Investment Strategy
The security selection process begins by analyzing a proprietary database of a universe of the largest 1,400 U.S. listed securities measured by market capitalization and ranking the securities based on a systematic methodology. From this universe, a proprietary strategy is used to construct a portfolio of approximately 75-120 of the highest ranked securities that is weighted based on the assessment of a security's fundamental value, based on factors such as earnings yield and return on capital. The Advisor retains full discretion to add, subtract or revise the factors utilized, weightings and processes applied to construct the portfolio as well as discretion to determine the market capitalization of securities for purchase by the Fund.
Risk Considerations
An investment in the Fund is subject to value investing risk, which would be the risk that a security believed to be undervalued does not appreciate in value as anticipated. An investment in the Fund is also subject to the following risks: management risk, market risk and portfolio turnover risk. High turnover rates generally result in higher brokerage costs to the Fund and in higher net taxable gain for shareholders, and may reduce the Fund's returns. More information about these risks and other risks can be found in the Fund's prospectus.
FUND PERFORMANCE
Period Ending 4/30/2013 3 Month YTD 1 Year Since Inception- Annualized
( 11/3/2010 )
FI US Value Select Fund 9.03% 15.35% 16.78% 17.09%
Russell 1000 7.16% 12.97% 17.17% 14.76%
S&P 500 7.18% 12.74% 16.89% 14.64%
Period Ending 3/31/2013 1 Year Since Inception- Annualized
( 11/3/2010 )
FI US Value Select Fund 11.24% 16.29%
Russell 1000 14.43% 14.46%
S&P 500 13.96% 14.27%
  2010
(11/3/2010 - 12/31/2010)
2011 2012
FI US Value Select Fund 5.60% 7.69% 12.88%
Russell 1000 5.69% 1.50% 16.42%
S&P 500 5.37% 2.11% 16.00%
The performance data quoted represents past performance. Past performance is no guarantee of future results. Investment return and principal value will fluctuate so that an investor's shares upon redemption may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Returns would have been lower if certain fees had not been reduced or reimbursed. For performance current to the most recent month-end, please call 877-974-6852.