FundX Aggressive Upgrader Fund (HOTFX)

Ten years of Ugrading

HOTFX invests in a diversified portfolio of speculative mutual funds and ETFs.

Following our most aggressive popular growth model, HOTFX targets 60% in speculative equity funds, with 40% in core aggressive underlying funds and ETFs.

The FundX Aggressive Upgrader Fund is designed for investors willing to take on more risk in the hope of achieving higher potential returns over the long run. We believe HOTFX can serve as a more aggressive component of a diversified equity portfolio, or HOTFX could be a core equity holding for more enterprising investors.

Investors in HOTFX should have a time horizon of at least five years.

Purchase Information

Ticker HOTFX
Inception Date: 7/1/02
Assets: $67.8 Million
Minimum Investment: $1,000
Redemption Fee: 2% under 30 Days

Diversification does not assure a profit or protect against a loss in a declining market.

This chart illustrates the performance of a hypothetical $10,000 investment made in the Fund Since Inception on 7/1/2002 for the period ending 3/31/2013.  It assumes reinvestment of dividends and capital gains, but does not reflect the effect of any applicable sales charge or redemption fees.  This chart does not imply any future performance. The S&P 500 Index is a broad based unmanaged index of 500 stocks, which is widely recognized as representative of the equity market in general. You cannot invest directly in an index.

Average Annual Total Returns Quarter-End March 31st, 2013

1 Yr 5 Yrs 10 Yrs Since Inception
FundX Aggressive Upgrader
10.64
0.88
9.82
7.62
S&P 500 Index
13.96
5.81
8.53
6.73

Current Total Returns Period Ending April 30th, 2013

          Average Annualized Return
1 Mo 3 Mo 6 Mo YTD 1 Yrs 5 Yrs 10 Yrs Since Inception 07/01/2002
FundX Aggressive Upgrader
1.39
4.01
13.76
9.36
12.60
-0.05
9.17
7.70
S&P 500 Index
1.93
7.18
14.42
12.74
16.89
5.21
7.88
6.86
Expense Ratios
Gross 1.84
Management Fee 1.00

Performance data quoted represents past performance; past performance 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 their original cost. Current performance of the fund may be lower or higher than the performance quoted. Performance data quoted is current to the most recent month end. Returns shown are cumulative, unless otherwise noted. Performance data shown does not reflect the 2.00% redemption fee imposed on shares held within 30 days. If it did, total returns would be reduced.

Holdings as of 04-30-2013

Name
Ticker
Holding %
Speculative Funds
Ariel Appreciation
CAAPX
5.02
Baron Partners Instl
BPTIX
5.10
Brown Cap Mgm Sm Co
BCSIX
3.13
Dreyfus Midcap Value
DMCVX
3.98
Fidelity Leveraged Co S
FLVCX
5.85
iShrs DJ Transportation
IYT
4.00
iShrs MSCI Switzerland
EWL
4.09
iShrs Nasdaq Biotechnol
IBB
0.53
JPMorgan SmCp Value Sel
PSOPX
4.86
SPDR Financial Sector
XLF
3.27
SPDR Health Care
XLV
0.45
SPDR Homebuilders
XHB
5.71
TRPrice Health Science
PRHSX
1.86
Vanguard Extended Marke
VXF
3.89
Vanguard Sm Cap Val ETF
VBR
5.10
Wasatch Intl Gr
WAIGX
3.26
Speculative Funds Total 60.10
Core Funds
Ariel Fund
ARGFX
5.35
Dodge & Cox Internation
DODFX
2.21
Fidelity Value Fund
FDVLX
3.03
iShrs Russell MidCp Val
IWS
2.04
iShrs S&P MidC 400 Val
IJJ
5.04
Janus Contrarian I
JCONX
4.12
Nicholas Fund
NICSX
4.34
Oakmark Global
OAKGX
4.27
PIMCO Intl StocksPLUS T
PISIX
1.65
PIMCO StksPlus Absolute
PSPTX
0.86
TCW Div Focused I
TGDFX
3.79
WellsF Advtg Spec MidCa
WFMIX
3.07
Core Funds Total 39.77
Cash
Cash
CASH
0.13
Cash Total 0.13

Fund holdings are subject to change at any time and are not recommendations to buy or sell any of the underlying funds.

References to other mutual funds should not be considered an offer of these securities.

Prices & Dividends

Capital Gain and Income Distributions $

Year Total Income Dividend Short Term Cap Gain Long Term Cap Gain Total Cap Gain Date
2002
N/A
N/A
N/A
N/A
01-02-03
2003
0.0112
N/A
N/A
N/A
01-02-04
2004
0.3053
N/A
0.4542
0.4542
01-03-05
2005
0.3928
0.3196
0.8627
1.1823
01-03-06
2006
0.64335
N/A
1.30498
1.30498
01-03-07
2007
1.04667
1.38018
2.84714
4.22732
01-02-08
2008
0.00034
N/A
N/A
N/A
01-02-09
2009
0.12768
N/A
N/A
N/A
01-04-10
2010
0.05
N/A
N/A
N/A
01-03-11
2011
N/A
N/A
N/A
N/A
01-03-12
2012
0.12706
N/A
N/A
N/A
01-02-13