Price as of 4/9/26
Monthly as of 3/31/26
   Price
as of 4/9/26
Average Annual Monthly
Total Returns as of 3/31/26
Average Annual Quarterly
Total Returns as of 3/31/26
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---1.640.003.823.590.061.214.580.000.003.823.590.061.214.580.830.73
A Shares (with maximum 2.00% load)5/2/118.540.00-3.63-2.051.792.91-0.341.004.52-2.05-2.051.792.91-0.341.004.520.830.73
Institutional (AIBNX)12/29/058.520.00-1.740.053.963.810.301.434.710.050.053.963.810.301.434.710.730.49
Investor (APBDX)9/28/908.540.00-1.75-0.123.713.550.041.184.57-0.12-0.123.713.550.041.184.570.980.73
Bloomberg US Aggregate Bond Index----1.76-0.054.353.630.311.702.06-1.76-0.054.353.630.311.702.06--
Limited Duration Fund                   
Class A (AASTX)                   
A Shares (at NAV)5/2/11---0.880.363.494.661.811.953.440.360.363.494.661.811.953.441.320.76
A Shares (with maximum 2.00% load)5/2/119.380.00-2.83-1.621.433.971.401.743.38-1.62-1.621.433.971.401.743.381.320.76
Institutional (AISTX)12/29/059.370.00-0.860.433.754.962.092.223.610.430.433.754.962.092.223.611.220.51
Investor (APSTX)10/19/949.370.00-0.880.363.494.711.831.943.440.360.363.494.711.831.943.441.470.76
Bloomberg US Aggregate Bond Index----1.76-0.054.353.630.311.702.06-1.76-0.054.353.630.311.702.06--
Strategic Enhanced Yield Fund                   
Class A (AAENX)                   
A Shares (at NAV)12/26/17---1.570.105.184.830.99-2.090.100.105.184.830.99-2.091.811.01
A Shares (with maximum 2.00% load)12/26/178.870.01-3.50-1.893.054.120.57-1.84-1.89-1.893.054.120.57-1.841.811.01
Institutional (AIENX)12/26/178.870.01-1.550.165.445.091.24-2.340.160.165.445.091.24-2.341.710.76
Investor (APENX)12/26/178.980.00-1.550.115.164.820.98-2.130.110.115.164.820.98-2.131.961.01
Bloomberg US Aggregate Bond Index----1.76-0.054.353.630.311.702.06-1.76-0.054.353.630.311.702.06--
Ultra Short Tax-Free Income Fund                   
Class A (AAUSX)                   
A Shares (at NAV)12/26/17--0.100.422.442.821.75-1.170.420.422.442.821.75-1.171.830.60
A Shares (with maximum 2.00% load)12/26/1710.010.00-0.89-0.571.422.481.55-1.05-0.57-0.571.422.481.55-1.051.830.60
Institutional (AIUSX)12/26/1710.040.000.220.592.793.112.00-1.580.590.592.793.112.00-1.581.730.35
Investor (APUSX)12/26/179.990.000.100.412.472.891.77-1.310.410.412.472.891.77-1.311.850.60
Bloomgerg Municipal Bond Index----2.32-0.184.292.870.842.162.92-2.32-0.184.292.870.842.162.92--
Price as of 4/9/26
Monthly as of 3/31/26
   Price
as of 4/9/26
Average Annual Monthly
Total Returns as of 3/31/26
Average Annual Quarterly
Total Returns as of 3/31/26
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)12/28/2013.200.07-4.07-3.6416.059.405.93-6.52-3.64-3.6416.059.405.93-6.521.761.10
Investor (APLIX)12/28/2013.250.07-4.06-3.6315.919.175.69-6.26-3.63-3.6315.919.175.69-6.262.011.35
Class A (AALIX )                   
A Shares (at NAV)12/28/20---4.05-3.7715.799.135.65-6.23-3.77-3.7715.799.135.65-6.231.861.35
A Shares (with maximum 2.00% load)12/28/2013.210.07-5.96-5.6813.448.395.23-5.83-5.68-5.6813.448.395.23-5.831.861.35
S&P 500----4.98-4.3317.8018.3012.0614.1514.37-4.98-4.3317.8018.3012.0614.1514.37--
World Energy Fund                   
Class A (AAWEX)                   
A Shares (at NAV)2/3/14--4.0828.9757.0724.2122.5412.378.3428.9728.9757.0724.2122.5412.378.341.291.16
A Shares (with maximum 2.00% load)2/3/1422.20-0.122.0126.3653.9723.3722.0412.158.1726.3626.3653.9723.3722.0412.158.171.291.16
Class C (ACWEX)2/3/1421.88-0.113.9728.6955.9123.2721.6111.547.6828.6928.6955.9123.2721.6111.547.682.191.91
Institutional (AIWEX)2/3/1422.27-0.114.0929.0257.4924.5322.8412.678.6229.0229.0257.4924.5322.8412.678.621.190.91
Investor (APWEX)2/3/1422.27-0.124.0428.9657.0224.1922.5312.368.3328.9628.9657.0224.1922.5312.368.331.441.16
S&P 500----4.98-4.3317.8018.3012.0614.1514.37-4.98-4.3317.8018.3012.0614.1514.37--
Price as of 4/9/26
Monthly as of 3/31/26

For Money Market Current Yields, please visit: Yield Information

   Price
as of 4/9/26
Monthly
Total Returns as of 3/31/26
Quarterly
Total Returns as of 3/31/26
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)9/21/901.000.000.260.743.454.182.941.812.470.740.743.454.182.941.812.470.690.69
Institutional (APHXX)9/21/901.000.000.290.843.884.613.242.062.570.840.843.884.613.242.062.570.440.27
Select (APSXX)9/21/901.000.000.300.863.964.693.312.122.560.860.863.964.693.312.122.560.440.19
Premier (APPXX)7/31/231.000.000.260.743.444.213.011.962.510.740.743.444.213.011.962.510.940.69
U.S. Treasury Fund                   
Administrative (APGXX)9/5/901.000.000.260.753.474.172.891.742.280.750.753.474.172.891.742.280.670.67
Institutional (APKXX)9/5/901.000.000.290.853.914.603.232.052.390.850.853.914.603.232.052.390.420.25
Select (APNXX)12/26/171.000.000.300.873.994.693.292.062.370.870.873.994.693.292.062.370.420.17