Price as of 11/13/25
Monthly as of 10/31/25
   Price
as of 11/13/25
Average Annual Monthly
Total Returns as of 10/31/25
Average Annual Quarterly
Total Returns as of 9/30/25
Expense
Ratio


Incep.
Date
Price $
N.A.V.
Change $Month-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Quarter-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Gross %Net %
Bond Fund                   
Class A (AABOX)                   
A Shares (at NAV)5/2/11--0.666.075.555.58-0.291.384.621.625.382.504.67-0.551.274.610.800.70
A Shares (with maximum 2.00% load)5/2/118.61-0.02-1.413.963.474.89-0.681.184.56-0.373.280.423.96-0.961.064.560.800.70
Institutional (AIBNX)12/29/058.58-0.020.566.185.695.81-0.071.604.761.685.582.754.93-0.291.514.750.700.45
Investor (APBDX)9/28/908.61-0.020.666.075.555.58-0.291.364.621.625.382.504.66-0.551.274.610.950.70
Bloomberg US Aggregate Bond Index---0.626.806.165.60-0.241.902.091.096.132.884.92-0.451.842.06--
Limited Duration Fund                   
Class A (AASTX)                   
A Shares (at NAV)5/2/11--0.384.314.845.341.611.873.450.393.913.374.961.471.833.451.070.76
A Shares (with maximum 2.00% load)5/2/119.39-0.01-1.612.212.734.631.201.663.38-1.601.821.314.261.061.623.381.070.76
Institutional (AISTX)12/29/059.38-0.010.394.535.105.661.892.143.620.464.123.645.321.782.093.610.970.50
Investor (APSTX)10/19/949.390.000.374.424.845.441.671.873.450.504.033.495.061.531.833.441.220.75
Bloomberg US Aggregate Bond Index---0.626.806.165.60-0.241.902.091.096.132.884.92-0.451.842.06--
Strategic Enhanced Yield Fund                   
Class A (AAENX)                   
A Shares (at NAV)12/26/17--0.667.376.755.430.53-2.122.536.673.584.880.24-2.062.831.01
A Shares (with maximum 2.00% load)12/26/178.91-0.01-1.345.174.594.710.11-1.860.474.481.534.17-0.16-1.802.831.01
Institutional (AIENX)12/26/178.90-0.020.687.597.025.740.78-2.372.606.873.835.140.48-2.312.380.76
Investor (APENX)12/26/179.02-0.020.657.326.715.450.52-2.162.516.623.584.870.23-2.103.411.01
Bloomberg US Aggregate Bond Index---0.626.806.165.60-0.241.902.091.096.132.884.92-0.451.842.06--
Ultra Short Tax-Free Income Fund                   
Class A (AAUSX)                   
A Shares (at NAV)12/26/17--0.122.242.722.971.54-1.110.762.122.743.021.49-1.101.430.60
A Shares (with maximum 2.00% load)12/26/1710.010.00-0.871.231.702.631.34-0.98-0.231.101.722.681.29-0.971.430.60
Institutional (AIUSX)12/26/1710.040.000.242.553.083.261.78-1.520.732.312.993.241.73-1.511.320.35
Investor (APUSX)12/26/179.980.000.142.332.873.051.56-1.260.762.192.893.061.52-1.251.440.60
Bloomgerg Municipal Bond Index---1.243.914.175.461.162.422.992.322.641.394.730.852.342.92--
Price as of 11/13/25
Monthly as of 10/31/25
   Price
as of 11/13/25
Average Annual Monthly
Total Returns as of 10/31/25
Average Annual Quarterly
Total Returns as of 9/30/25
Expense
Ratio


Incep.
Date
Price $
N.A.V.
Change $Month-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Quarter-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Gross %Net %
Hedged Equity Income Fund                   
Institutional (AILIX)12/28/2013.28-0.151.9117.6319.7812.45--8.008.1115.4316.6113.78--7.721.561.10
Investor (APLIX)12/28/2013.30-0.161.9017.3619.5412.19--7.738.1015.1716.2713.52--7.451.811.35
Class A (AALIX )                   
A Shares (at NAV)12/28/20--1.9117.3119.4912.14--7.718.0515.1116.3213.47--7.431.661.35
A Shares (with maximum 2.00% load)12/28/2013.28-0.16-0.1515.0017.0911.39--7.275.8712.8414.0112.71--6.981.661.35
S&P 500---2.3417.5221.4522.6517.6314.6215.163.6514.8317.6024.9116.4615.2915.07--
World Energy Fund                   
Class A (AAWEX)                   
A Shares (at NAV)2/3/14--1.8725.2027.6812.3428.879.136.608.0222.9031.1718.4128.169.856.481.311.18
A Shares (with maximum 2.00% load)2/3/1417.66-0.28-0.1722.7325.1111.5828.368.916.425.8920.4828.5117.6127.659.636.301.311.18
Class C (ACWEX)2/3/1417.43-0.281.8324.4026.7911.5027.908.345.937.8122.1630.1817.5127.169.055.802.211.93
Institutional (AIWEX)2/3/1417.72-0.281.9225.5228.0912.6329.189.436.888.0623.1631.5118.7228.4610.156.761.210.93
Investor (APWEX)2/3/1417.72-0.281.8625.2127.7712.3528.879.136.598.0622.9231.1618.4128.169.856.471.461.18
S&P 500---2.3417.5221.4522.6517.6314.6215.163.6514.8317.6024.9116.4615.2915.07--
Price as of 11/13/25
Monthly as of 10/31/25

For Money Market Current Yields, please visit: Yield Information

   Price
as of 11/13/25
Monthly
Total Returns as of 10/31/25
Quarterly
Total Returns as of 9/30/25
Expense
Ratio


Incep.
Date
Price $
N.A.V.
Change $Month-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Quarter-
End %
YTD %1YR %3YR %5YR %10YR %Since
Incep. %
Gross %Net %
Government Securities Money Market Fund                   
Administrative (APCXX)9/21/901.000.000.293.123.814.282.681.682.460.892.833.884.262.621.652.460.700.70
Institutional (APHXX)9/21/901.000.000.323.484.254.692.951.922.561.003.154.324.662.881.892.550.450.28
Select (APSXX)9/21/901.000.000.333.554.334.773.011.972.541.023.214.404.742.941.942.540.450.20
Premier (APPXX)7/31/231.000.000.293.123.814.352.761.842.510.892.833.884.342.701.812.500.950.70
U.S. Treasury Fund                   
Administrative (APGXX)9/5/901.000.000.303.093.774.232.631.612.270.922.783.834.202.571.582.260.680.68
Institutional (APKXX)9/5/901.000.000.333.454.204.672.931.902.371.033.104.274.642.861.872.370.430.26
Select (APNXX)12/26/171.000.000.343.514.294.762.991.912.351.053.174.354.722.921.882.350.430.18