Investment Philosophy

We are extremely selective. In fact fewer than 200 companies qualify for initial consideration. Only about 30 make the final cut. We search for successful, well-managed businesses that are understandable, sustainable, care deeply about shareholder value and are available at sensible prices.

These companies that have achieved strong business performance in each of the last 10 years, have financial strength and generally are less affected by market and economic cycles. They have sustainable competitive advantages, positioning them for leadership within their industries. The ability to maintain these characteristics over time results in increasing cash flow well in excess of operating needs - a prime indicator of a valuable investment.

We believe that these quality companies create value as profitable businesses that will, over time, provide attractive returns with less risk than the market.

The Fund is nondiversified, meaning it may concentrate its assets in fewer individual holdings than a diversified fund. Therefore, the Fund is more exposed to individual stock volatility than a diversified fund.

There is no assurance that the investment process will lead to successful investing or that the stated objective(s) will be met.

For more complete information about The Jensen Portfolio including investment objectives, risks, fees and expenses, please go to Prospectus, or call 800.992.4144. Read the prospectus carefully before you invest or send money.

Return on Equity (ROE): Is equal to a company's after-tax earnings (excluding non-recurring items) divided by its average stockholder equity for the year.

Free Cash Flow: Is equal to the after-tax net income of a company plus depreciation and amortization less capital expenditures.