See All of This Company's Exhibits
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Absolute Return Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.70%
1.45%
0.28%
0.57%
0.33%
|
August 31, 2024
August 31, 2024
August 31, 2024
August 31, 2024
August 31, 2024
|
Adjustable Rate Government Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.74%
1.49%
0.60%
0.46%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Alternative Risk Premia Fund
Class R6
Institutional Class
|
0.62%
0.72%
|
October 31, 2024
October 31, 2024
|
Asset Allocation Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.12%
1.87%
0.95%
0.80%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
California Limited-Term Tax-Free Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.80%
1.55%
0.60%
0.50%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
California Tax-Free Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.75%
1.50%
0.55%
0.48%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
Common Stock Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.25%
2.00%
0.83%
1.10%
0.85%
|
January 31, 2025
January 31, 2025
January 31, 2024
January 31, 2024
January 31, 2024
|
Conservative Income Fund
Class A2
Institutional Class
|
0.40%
0.25%
|
December 31, 2024
December 31, 2024
|
Core Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.70%
1.45%
0.33%
0.65%
0.38%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Core Plus Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.67%
1.42%
0.30%
0.60%
0.35%
|
December 31, 2024
December 31, 2024
December 31, 2023
December 31, 2023
December 31, 2023
|
Disciplined Small Cap Fund
Class A
Class R6
Administrator Class
Institutional Class
|
0.92%
0.50%
0.85%
0.60%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Disciplined U.S. Core Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.86%
1.61%
0.43%
0.74%
0.48%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Discovery All Cap Growth Fund2
Class A
Class C
Administrator Class
Institutional Class
|
1.24%
1.99%
1.10%
0.85%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Discovery Innovation Fund3
Class A
Class C
Administrator Class
Institutional Class
|
1.22%
1.97%
1.15%
0.90%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Discovery Large Cap Growth Fund4
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.02%
1.77%
0.60%
0.94%
0.70%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Discovery Mid Cap Growth Fund5
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.18%
1.93%
0.80%
1.10%
0.85%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Discovery Small Cap Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.22%
1.97%
0.80%
1.15%
0.90%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Discovery SMID Cap Growth Fund6
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.21%
1.96%
0.79%
1.14%
0.89%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Diversified Capital Builder Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.11%
1.86%
1.05%
0.78%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Diversified Income Builder Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.84%
1.59%
0.42%
0.77%
0.52%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Emerging Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.22%
1.97%
0.80%
1.15%
0.90%
|
August 31, 2025
August 31, 2025
August 31, 2025
August 31, 2025
August 31, 2025
|
Emerging Markets Equity Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.43%
2.18%
1.01%
1.36%
1.11%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Emerging Markets Equity Income Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.55%
2.30%
1.17%
1.45%
1.22%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Global Investment Grade Credit Fund
Class A
Class C
Class R6
Institutional Class
|
0.82%
1.57%
0.45%
0.50%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Global Long/Short Equity Fund
Class A
Class C
Class R6
Institutional Class
|
1.72%
2.47%
1.30%
1.40%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Government Money Market Fund7
Class A
Administrator Class
Elevate Class
Institutional Class
Roberts & Ryan Class
Select Class
Service Class
Sweep Class
Tribal Inclusion Class
|
0.58%
0.34%
0.16%
0.20%
0.20%
0.14%
0.50%
0.50%
0.16%
|
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
May 31, 2026
|
Government Securities Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.84%
1.59%
0.64%
0.48%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.15%
1.90%
0.70%
0.96%
0.75%
|
November 30, 2025
November 30, 2025
November 30, 2025
November 30, 2025
November 30, 2025
|
Heritage Money Market Fund8
Administrator Class
Institutional Class
Select Class
Service Class
|
0.33%
0.20%
0.13%
0.43%
|
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
|
High Yield Bond Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.92%
1.67%
0.80%
0.53%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
High Yield Municipal Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.80%
1.55%
0.50%
0.70%
0.55%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Income Plus Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.71%
1.46%
0.66%
0.39%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Index Asset Allocation Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.07%
1.82%
0.90%
0.75%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Index Fund
Class A
Class C
Administrator Class
|
0.44%
1.19%
0.25%
|
September 30, 2024
September 30, 2024
September 30, 2024
|
Intermediate Tax/AMT-Free Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.67%
1.42%
0.30%
0.60%
0.35%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
International Equity Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.14%
1.89%
0.79%
1.14%
0.84%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Large Cap Core Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.07%
1.82%
0.65%
0.97%
0.67%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Large Cap Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.02%
1.77%
0.60%
0.94%
0.70%
|
November 30, 2025
November 30, 2025
November 30, 2025
November 30, 2025
November 30, 2025
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Large Cap Value Fund9
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.01%
1.76%
0.59%
0.94%
0.69%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
Large Company Value Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.82%
1.57%
0.40%
0.75%
0.50%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Minnesota Tax-Free Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.84%
1.59%
0.60%
0.52%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
Money Market Fund
Class A
Class C
Premier Class
Service Class
|
0.58%
1.33%
0.20%
0.50%
|
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
|
Municipal Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.75%
1.50%
0.40%
0.60%
0.45%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
Municipal Sustainability Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.75%
1.50%
0.40%
0.60%
0.45%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
National Tax-Free Money Market Fund
Class A
Administrator Class
Premier Class
Service Class
|
0.58%
0.30%
0.20%
0.45%
|
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
|
Opportunity Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.17%
1.92%
0.72%
1.00%
0.75%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Pennsylvania Tax-Free Fund
Class A
Class C
Institutional Class
|
0.74%
1.49%
0.49%
|
October 31, 2024
October 31, 2024
October 31, 2024
|
Precious Metals Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.09%
1.84%
0.95%
0.79%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Premier Large Company Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.10%
1.85%
0.65%
1.00%
0.70%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Real Return Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.77%
1.52%
0.40%
0.60%
0.45%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
Short Duration Government Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.77%
1.52%
0.37%
0.60%
0.42%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Short-Term Bond Plus Fund
Class A
Class C
Class R6
Institutional Class
|
0.61%
1.36%
0.24%
0.29%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Short-Term High Income Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.81%
1.56%
0.65%
0.50%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Short-Term Municipal Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.63%
1.38%
0.35%
0.60%
0.40%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
Small Company Growth Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.28%
2.03%
0.86%
1.19%
0.94%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Small Company Value Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.15%
1.90%
0.75%
1.05%
0.85%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
Special Global Small Cap Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.47%
2.22%
1.40%
1.15%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Special International Small Cap Fund
Class A
Class C
Class R6
Institutional Class
|
1.37%
2.12%
0.95%
1.05%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
Special Large Cap Value Fund10
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.01%
1.76%
0.59%
0.94%
0.69%
|
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
November 30, 2024
|
Special Mid Cap Value Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.15%
1.90%
0.73%
1.08%
0.83%
|
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
January 31, 2025
|
Special Small Cap Value Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
1.31%
2.06%
0.89%
1.20%
0.94%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Spectrum Aggressive Growth Fund
Class A
Class C
Administrator Class
Institutional Class
|
0.74%
1.49%
0.67%
0.42%
|
September 30, 2024
September 30, 2024
September 30, 2024
September 30, 2024
|
Spectrum Conservative Growth Fund
Class A
Class C
Institutional Class
|
0.74%
1.49%
0.42%
|
September 30, 2024
September 30, 2024
September 30, 2024
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Spectrum Growth Fund
Class A
Class C
Institutional Class
|
0.74%
1.49%
0.42%
|
September 30, 2024
September 30, 2024
September 30, 2024
|
Spectrum Income Allocation Fund
Class A
Class C
Institutional Class
|
0.74%
1.49%
0.42%
|
September 30, 2024
September 30, 2024
September 30, 2024
|
Spectrum Moderate Growth Fund
Class A
Class C
Institutional Class
|
0.74%
1.49%
0.42%
|
September 30, 2024
September 30, 2024
September 30, 2024
|
Strategic Municipal Bond Fund
Class A
Class C
Class R6
Administrator Class
Institutional Class
|
0.79%
1.54%
0.42%
0.68%
0.47%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
Treasury Plus Money Market Fund
Class A
Administrator Class
Institutional Class
Roberts & Ryan Class
Select Class
Service Class
|
0.58%
0.34%
0.20%
0.20%
0.14%
0.45%
|
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
|
Ultra Short-Term Income Fund
Class A
Class A2
Class C
Administrator Class
Institutional Class
|
0.50%
0.40%
1.25%
0.50%
0.25%
|
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
December 31, 2024
|
Ultra Short-Term Municipal Income Fund
Class A
Class A2
Class C
Class R6
Administrator Class
Institutional Class
|
0.50%
0.40%
1.25%
0.20%
0.50%
0.25%
|
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
October 31, 2024
|
U.S. Long/Short Equity Fund11
Class A
Class C
Class R6
Institutional Class
|
1.57%
2.32%
1.15%
1.25%
|
February 28, 2025
February 28, 2025
February 28, 2025
February 28, 2025
|
FUNDS/CLASSES
|
Capped Operating
Expense Ratio
|
Expiration / Renewal Date
|
Utility and Telecommunications Fund
Class A
Class C
Administrator Class
Institutional Class
|
1.04%
1.79%
0.92%
0.72%
|
July 31, 2024
July 31, 2024
July 31, 2024
July 31, 2024
|
Wisconsin Tax-Free Fund
Class A
Class C
Institutional Class
|
0.70%
1.45%
0.52%
|
October 31, 2024
October 31, 2024
October 31, 2024
|
100% Treasury Money Market Fund
Class A
Administrator Class
Institutional Class
Roberts & Ryan Class
Service Class
Sweep Class
|
0.58%
0.30%
0.20%
0.20%
0.50%
0.50%
|
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
May 31, 2025
|
Name of Fund/Class
|
Date of Removal from Schedule A
|
|
|
|