Phocas Small Cap Value

OverviewQuarterlyHistorical NAVs

Historical Net Asset Values


Institutional Class (formerly known as Class L)


Month-End Since Inception
2017
Jan 39.56 Feb 40.17 Mar 39.56 Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
2016
Jan 30.19 Feb 30.20 Mar 32.37 Apr 32.83 May 33.41 Jun 33.45
Jul 34.75 Aug 35.40 Sep 35.35 Oct 33.92 Nov 38.45 Dec 39.61
2015
Jan 33.11 Feb 34.92 Mar 35.47 Apr 33.94 May 34.43 Jun 34.33
Jul 34.33 Aug 32.75 Sep 32.14 Oct 33.62 Nov 34.47 Dec 32.25
2014
Jan 32.26 Feb 33.57 Mar 34.22 Apr 33.83 May 34.04 Jun 35.96
Jul 34.02 Aug 35.64 Sep 33.55 Oct 35.07 Nov 35.18 Dec 34.16
2013
Jan 25.78 Feb 26.33 Mar 27.88 Apr 27.87 May 28.50 Jun 28.72
Jul 31.08 Aug 30.05 Sep 32.06 Oct 33.33 Nov 34.65 Dec 33.66
2012
Jan 23.97 Feb 24.33 Mar 24.85 Apr 24.33 May 22.43 Jun 23.29
Jul 23.32 Aug 23.88 Sep 24.32 Oct 23.97 Nov 24.00 Dec 24.50
2011
Jan 23.83 Feb 24.90 Mar 25.22 Apr 25.93 May 25.50 Jun 24.51
Jul 24.14 Aug 21.95 Sep 19.58 Oct 22.55 Nov 22.49 Dec 22.50
2010
Jan 17.98 Feb 18.93 Mar 20.56 Apr 21.80 May 19.97 Jun 18.40
Jul 19.88 Aug 18.35 Sep 20.48 Oct 21.23 Nov 22.08 Dec 23.95


Class I


Month-End Since Inception
2012
Jan 23.98 Feb 24.34 Mar 24.85 Apr 24.33 May 22.42 Jun 23.29
Jul 23.32 Aug 23.86 Sep 24.30 Oct 23.94 Nov N/A Dec N/A
2011
Jan N/A Feb N/A Mar N/A Apr 25.93 May 25.50 Jun 24.51
Jul 24.14 Aug 21.95 Sep 19.57 Oct 22.54 Nov 22.48 Dec 22.50


Past performance does not guarantee future results.  The principal value of an investment and investment return will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost.  Current performance may be lower or higher than the performance quoted and may be obtained by calling 888-825-2100.  Investment performance reflects contractual fee waivers in effect.  In the absence of such waiver, total returns would be reduced.

The Fund's investment objectives, risks, charges, and expenses must be considered carefully before investing.  The prospectus contains this and other important information about the Frontier Funds, and it may be obtained by downloading or calling 888-825-2100.  To download, select the Prospectus option located on the right sidebar.

Mutual fund investing involves risk; principal loss is possible.

The Frontier Funds are not offered for sale in countries other than the United States and its territories.

Ticker: FPSVX
CUSIP: 35908Y500
Call Now: 888-825-2100
 
Investment Subadviser
 
Additional Frontier Fund information


IRA/Coverdell Doc

Please take a look at all IRA & Coverdell documentation below:
IRA Application
IRA Disclosure
IRA Transfer
Coverdell Education Savings Account Application



XBRL Risk/Return

Please take a look at all XBRL Risk/Return documentation below:
Institutional/Y-Share Classes
Service Share Class






Download prospectus

Please take a look at all prospectus documentation below:
Institutional/Y-Share Class
Service Share Class

The Frontier Funds, Inc. are distributed by Frontegra Strategies, LLC, an affiliate of Frontier Funds, Inc., and managed by Frontegra Asset Management, Inc.

Frontegra Strategies, LLC is located at 400 Skokie Boulevard, Suite 500, Northbrook, Illinois 60062, and can be contacted by calling (847) 509-9860. Frontegra Strategies, LLC is a member of the Financial Industry Regulatory Authority, Inc. and SIPC. www.finra.org

You may obtain information about SIPC, including the SIPC brochure, by visiting www.sipc.org or calling SIPC at (202) 371-8300.

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