Performance Through 12/12/2014Average Annual Returns
Fund Name(4)NAVNAV Daily Change% Daily Change(1)% YTD Return(2)One MonthThree MonthsSix MonthsSince InceptionOne Year Through 9/30/2014Five Year Through 9/30/2014Inception Through 9/30/2014(3)
BTS Bond Asset Allocation Fund Class A$9.83($0.01)-0.10%2.74%0.72%0.35%-0.76%2.41%4.54%N/A2.40%
BTS Bond Asset Allocation Fund Class C$9.81($0.01)-0.10%2.00%0.62%0.20%-1.09%1.66%3.70%N/A1.66%
Barclays Aggregate Bond Index1916.655.520.29%6.06%0.98%2.33%2.54%4.50%3.96%4.12%4.28%
(1) Represents the percentage increase/decrease in the net asset value from the prior trading day.
(2) Performance for periods less than one year is not annualized.
(3) Inception date of the fund is January 4, 2010.
(4) The maximum sales charge for Class A Shares is 5.00%. Class A Share investors may be eligible for a reduction in sales charges.