PT Asset Management, LLC

NAV

As of 12/20/2024

-

$19.55

YTD Total Return

As of 11/30/2024

-

5.33%

30 DAY SEC YIELD

As of 11/30/2024

Subsidized

5.64%

Unsubsidized

5.64%

FUND ASSETS

As of 11/30/2024

-

Overview

The investment objective of the Performance Trust Total Return Bond Fund is to purchase undervalued fixed-income assets and achieve investment returns through interest income and potential capital appreciation.

Performance

Total Returns as of YTD 1-Year 3-Year 5-Year 10-Year Since Inception Inception Date
Total Returns as of YTD 1-Year 3-Year 5-Year 10-Year Since Inception Inception Date

Performance data quoted represents past performance which 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 original cost. Current performance may be lower or higher than the performance quoted. For periods less than one year, performance is cumulative. For performance data current to the most recent month-end please see table above. Since Inception performance shown for the Index is as of the Fund's oldest share class.

Performance shown for Class A shares prior to its inception (1/1/2019) reflects the performance of the Institutional Class shares (inception 9/1/2010), adjusted to reflect Class A expenses and the Class A front-end sales charge of 2.25%.

No load represents annualized returns without a sales charge. Class A has a maximum sales charge of 2.25%.

The distribution information shown in the table above is presented for informational purposes only; they are subject to change and may not be accurate or complete for tax reporting. This information is not intended to be a substitute for specific tax documents or specific individualized tax, legal or investment planning advice. Where specific advice is necessary or appropriate, we recommend consultation with a qualified tax advisor, CPA, or Financial Planner.

Portfolio

The credit quality of the securities in a portfolio is assigned by a nationally recognized statistical rating organization (NRSRO) such as Standard & Poor's, Moody's, or Fitch, as an indication of an issuer's creditworthiness. Ratings range from 'AAA' (highest) to 'D' (lowest). Bonds rated 'BBB' or above are considered investment grade. Credit ratings 'BB' and below are lower-rated securities. High yielding, non-investment-grade bonds involve higher risks than investment-grade bonds. Adverse conditions may affect the issuer's ability to pay interest and principal on these securities.

Fund Facts

Ticker

PTAOX

Fund Inception Date

09/01/2010

Share class Inception Date

01/01/2019

Number of Holdings

As of 09/30/2024

1,601

Portfolio Managers

Anthony Harris, CPA

Senior Portfolio Manager

Mark Peiler, CFA

Portfolio Manager

Lars Anderson, CFA

Portfolio Manager

Literature

Fact Sheet
Commentary
Prospectus

You are now leaving the PTAM Mutual Funds and ETF webpage and entering the PTAM advisor webpage.

FOR SOPHISTICATED INVESTORS AND FINANCIAL PROFESSIONALS ONLY.

The information contained in the following pages is intended for use by those individuals and institutions that have the resources and financial expertise necessary to independently analyze this information and who have the financial expertise to understand the risks and limitations of these types of presentations. This intended audience includes pension funds, financial intermediaries and professionals, investment consultants, endowments, foundations, and investment advisers.  It is not intended for use by retail investors or retail clients.

By clicking “Accept” below, you expressly acknowledge that you have the resources and financial expertise described above and that you have read, understood and accepted the Terms of Use of the site and the following legal terms and conditions.

The information provided on this website is intended for your viewing only and is not intended for distribution to, or use by, any other person or entity. For information about our privacy policy and practices, please see here.

Find the right Insights for you by selecting the appropriate site:

Financial Professional in the US
Individual Investor in the US

You are now exiting the PT Asset Management, LLC (PTAM) website and entering the HANetf Limited website. HANetf provides services for eligible investors outside of the United States.  Your eligibility for HANetf’s products and services is subject to their investment rules and requirements.