The investment objective of the SciVest Commodity Index PLUS Fund is to provide consistent long-term growth through capital appreciation while maintaining full exposure to the physical commodities futures markets. Over the long term, the Fund is expected to track the performance of the physical commodity markets and produce meaningfully higher returns than the commodity markets in a risk-controlled manner through the use of SciVest's proprietary, conservative, market neutral, overlay strategy. Since the physical commodity markets have low return correlations to the equity and bond markets, physical commodity markets may be viewed as a separate stand-alone asset class distict from stocks, bonds, cash or real estate. As a result, the Fund is expected to provide its investors with material risk reduction through diversification when held within a larger investment portfolio. |