|
Fund Manager
The fund’s investment advisor is Giordano Asset Management, LLC. The
advisor serves in that capacity pursuant to an agreement with Giordano
Investment Trust on behalf of the fund. Working in conjunction with the Board
of Trustees of the Trust, the advisor provides guidance and policy direction in
connection with its daily management of the fund’s assets, consistent
with the fund’s investment philosophy.
Our investment philosophy starts with the one belief that companies capable
of paying an above average dividend possess characteristics such as size,
strength, visibablily and economic importance and more resilient than risky.
Because they are run by human beings, virtually all companies will occasionally
have problems. Over time, however, the immense financial and human resources of
these quality companies should help balance out the difficulties they may
encounter.
An investor should consider the investment adjectives, risks, and charges
and expenses of the Fund carefully before investing. The prospectus contains
this and other information about the fund. A copy of the prospectus is
available by calling Shareholder Services at (800) 773-3863. The prospectus
should be read carefully before investing.
Investment in Fund is subject to investment risks including without
limitation, market risk, management style risk, small-cap and mid-cap companies
risk, credit risk, interest rate risk, maturity risk, preferred securities
risk, investment-grade securities risk, senior subordinated unsecured corporate
bonds with, junk bonds or lower-rated securities. Derivative instruments risk,
special risks of “alternative investment”, real estate securities
risk, and other risk as set forth in the Fund’s prospectus.
Distributed By:
Capital Investment Group
116 South Franklin Street
Rocky Mount, NC 27804
1-800-773-3863
|