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Princeton Fund Facts

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SHARE
CLASS

TICKER CUSIP INVESTMENT
MINIMUM
AIP/AWP &
SUBSEQUENT
MINIMUM
GROSS
EXPENSE
RATIO
NET
EXPENSE
RATIO1
CLASS
STRUCTURE
12B-1
FEE
INCEPTION
DATE
A Share PFFAX 66537V450 $2,500 $100 2.50% 2.03% 5.75% Load 2 0.25% 7.19.2010
I Share PFFNX 66537V443 $100,000 $100 2.24% 1.78% No Load 0.00% 7.19.2010
C Share PFFTX 66537X548 $2,500 $100 3.25% 2.78% No Load 1.00% 6.15.2011

1The Fund's investment adviser has contractually agreed to reduce its fees and/or absorb expenses of the Fund, at least until July 31, 2017, exclusive of certain items and subject to possible recoupment from the Fund in future years. Please review the Fund's Prospectus for more detail on the expense waiver.
2The load may be waived at the discretion of the Adviser

PRINCETON FUTURES STRATEGY FUND MANAGEMENT

ROLE ORGANIZATION
Investment Adviser Princeton Fund Advisors, LLC
Fixed Income Sub Adviser Congress Asset Management, LLP
Commodity Trading Advisor Tulloss Capital Management, LLC
Independent Auditor RSM US LLP
Outside Counsel Thompson Hine, LLP
Custodian MUFG Union Bank
Distributor Foreside Distribution Services, L.P.
Trust Northern Lights Fund Trust

Inception date:7/19/10
The organizations listed above are service providers for the Fund and are not affiliated.

 


Investors should carefully consider the investment objectives, risks, charges and expenses of the Princeton Futures Strategy Fund. This and other important information about the Fund is contained in the Prospectus, which can be obtained by contacting your financial advisor, or by calling 1.888.868.9501. The Prospectus should be read carefully before investing. The Princeton Futures Strategy Fund is distributed by Foreside Distribution Services, L.P. Princeton Fund Advisors, LLC and Foreside Distribution Services, L.P. are not affiliated.