Fund Facts

# of Holdings

30

Net AUM

$25.3M

Primary Benchmark

S&P 500 Index

Oldest Share Class Inception

9/6/2007

A Performance-Oriented Growth Strategy

The Cromwell Tran Focus Fund is a high-conviction, performance-oriented concentrated equity portfolio comprised of approximately 15-25 holdings. For the Fund, Tran Capital Management seeks high-quality mid- and large-cap companies with above-average growth and competitive advantages, purchased at what the portfolio managers believe to be attractive valuations at the time of investment.

Reasons to Invest

  1. 1

    Growth at Attractive Prices

    The portfolio managers scour the universe for exceptionally managed, well-run companies that offer long-term growth potential, purchased at what are considered to be reasonable prices.
  2. 2

    Intensive Research Process

    Using an intensive fundamental due diligence research process, the portfolio managers attempt to identify companies with owner-oriented management teams that, in their view, generate consistently high returns on capital.
  3. 3

    High Conviction, High Active Share

    The actively managed Fund is focused on a concentrated number of mid- and large-cap companies, between approximately 15-25 holdings. As such, the Fund can serve as a high-conviction, alpha-generating complement to a core equity strategy.

Fund Performance (%)

As of 4/30/25

Class MTD YTD 1 Yr 3 Yr 5 Yr 10 Yr Since Inception
Institutional Class -0.28 -8.76 0.26 3.31 8.57 8.34 7.82
Investor Class -0.31 -8.76 -0.03 3.07 8.29 8.06 7.55
S&P 500 Index -0.68 -4.92 12.10 12.18 15.61 12.32 9.93

As of 3/31/25

Class QTD YTD 1 Yr 3 Yr 5 Yr 10 Yr Since Inception
Institutional Class -8.51 -8.51 -3.03 -0.85 11.13 8.16 7.88
Investor Class -8.48 -8.48 -3.36 -1.09 10.83 7.89 7.60
S&P 500 Index -4.27 -4.27 8.25 9.06 18.59 12.50 10.02

Expense Ratios (gross/net): Institutional 1.63%/1.10%, Investor 1.88%/1.35%

Source: Morningstar

Hypothetical Growth of $10,000 As of 3/31/25

Value of $10,000 invested between 3/31/2024 and 3/31/2025

Share Class Value
Institutional Class (LIMIX) $9,697

Value of $10,000 invested between 3/31/2022 and 3/31/2025

Share Class Value
Institutional Class (LIMIX) $9,743

Value of $10,000 invested between 3/31/2020 and 3/31/2025

Share Class Value
Institutional Class (LIMIX) $16,942

Value of $10,000 invested between 3/31/2015 and 3/31/2025

Share Class Value
Institutional Class (LIMIX) $21,915

Value of $10,000 invested between 9/6/2007 and 3/31/2025

Share Class Value
Institutional Class (LIMIX) $37,657

The Fund’s Investment Manager has contractually agreed to limit fund operating expenses through 4/30/26. Please refer to the prospectus for detailed information.

The performance data shown represents past performance. Past performance is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the 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. For performance information through the most recent month end please call 855.625.7333 or visit thecromwellfunds.com.

Effective at the close of business on 8/5/22, the Tran Capital Focused Fund (the Predecessor Fund), reorganized into the Fund. Performance shown prior to the close of business on 8/5/22, is that of the Predecessor Fund. Returns of the Investor Class and Institutional Class shares shown in the table below reflect the returns of Classes A and I, respectively of the Predecessor Fund. Additionally, the Fund has adopted the Financial Statements of the Predecessor Fund. The Predecessor Fund had the same investment objectives, strategies and portfolio management team as the Fund as of the date of the reorganization.

Portfolio As of 3/31/25

Sector Weightings

Sector Exposure
Information Technology 32.6%
Materials 10.7%
Health Care 10.3%
Consumer Discretionary 10.0%
Utilities 8.7%
Industrials 8.7%
Communication Services 7.6%
Financials 5.3%
Real Estate 3.2%
Consumer Staples 2.8%

Excludes cash.

Top 10 Holdings

Holding Percent
Talen Energy Corp. 8.7%
NVIDIA Corp. 6.5%
Danaher Corp. 5.7%
Amazon.com, Inc. 5.6%
Palo Alto Networks, Inc. 4.8%
Microsoft Corp. 4.5%
Intuit, Inc. 4.0%
Meta Platforms, Inc. 3.9%
Ferguson Enterprises, Inc. 3.9%
Veeva Systems, Inc. 3.9%
Total 51.5%