The AmericaFirst Income Trends Fund

Model Objective

The AmericaFirst Income Trends Fund seeks to achieve total return with a high rate of income and less volatility than common stocks as measured by standard deviation.

Principal Model Strategy

The AmericaFirst Income Trends Fund applies a specialized quantitative approach that considers numerous factors including (but not limited to) dividend yield, price momentum, trading volume, bid/ask spread, and price as compared to simple & exponential moving averages. The Fund rebalances on a quarterly basis and will not hold more than one security from the same issuer to assure diversification.

If not enough securities make the cut, US Treasuries and/or money market will serve as substitute holdings. The model upon which the Fund is based was developed by AmericaFirst Capital Management, LLC.