Price as of 3/26/25
Monthly as of 2/28/25
   Price
as of 3/26/25
Average Annual Monthly
Total Returns as of 2/28/25
Average Annual Quarterly
Total Returns as of 12/31/24
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--2.312.736.00-0.49-0.601.054.62-2.731.901.90-2.29-0.420.864.560.820.72
A Shares (with maximum 2.00% load)5/2/118.48-0.010.270.683.89-1.15-0.990.854.56-4.71-0.10-0.10-2.95-0.820.654.500.820.72
Institutional (AIBNX)12/29/058.45-0.022.212.656.14-0.29-0.381.284.75-2.682.152.15-2.06-0.181.094.690.720.47
Investor (APBDX)9/28/908.48-0.012.312.736.00-0.49-0.621.054.61-2.731.901.90-2.30-0.420.864.550.970.72
Bloomberg US Aggregate Bond Index---1.443.077.30-2.11-0.041.641.911.443.077.30-2.11-0.041.641.91--
Limited Duration Fund                   
Class A (AASTX)                   
A Shares (at NAV)5/2/11--1.231.736.212.391.351.653.44-0.525.005.001.321.401.523.401.060.96
A Shares (with maximum 2.00% load)5/2/119.33-0.01-0.81-0.324.151.710.931.443.37-2.502.952.950.620.981.313.331.060.96
Institutional (AISTX)12/29/059.320.001.141.666.412.691.601.913.60-0.465.325.321.621.681.783.570.960.71
Investor (APSTX)10/19/949.330.001.231.736.152.451.361.653.44-0.524.954.951.381.441.513.401.210.96
Bloomberg US Aggregate Bond Index---1.443.077.30-2.11-0.041.641.911.443.077.30-2.11-0.041.641.91--
Strategic Enhanced Yield Fund                   
Class A (AAENX)                   
A Shares (at NAV)12/26/17--2.192.797.060.31-0.04-1.70-2.903.323.32-1.720.08-1.342.851.01
A Shares (with maximum 2.00% load)12/26/178.70-0.020.100.684.98-0.36-0.44-1.42-4.821.221.22-2.38-0.33-1.062.851.01
Institutional (AIENX)12/26/178.70-0.022.212.847.330.560.19-1.95-2.843.583.58-1.470.33-1.592.750.76
Investor (APENX)12/26/178.82-0.012.172.767.020.32-0.06-1.75-2.853.333.33-1.720.07-1.403.001.01
Bloomberg US Aggregate Bond Index---1.443.077.30-2.11-0.041.641.911.443.077.30-2.11-0.041.641.91--
Ultra Short Tax-Free Income Fund                   
Class A (AAUSX)                   
A Shares (at NAV)12/26/17--0.210.533.022.281.22-0.970.613.013.011.961.14-0.921.200.60
A Shares (with maximum 2.00% load)12/26/1710.010.00-0.78-0.472.011.931.02-0.83-0.391.991.991.620.94-0.781.200.60
Institutional (AIUSX)12/26/1710.040.000.230.573.282.491.46-1.390.673.273.272.161.37-1.341.10.35
Investor (APUSX)12/26/179.980.000.210.553.162.291.23-1.130.683.123.121.971.15-1.071.350.60
Bloomgerg Municipal Bond Index---0.791.306.09-0.471.022.422.980.791.306.09-0.471.022.422.98--
Price as of 3/26/25
Monthly as of 2/28/25
   Price
as of 3/26/25
Average Annual Monthly
Total Returns as of 2/28/25
Average Annual Quarterly
Total Returns as of 12/31/24
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)12/28/2011.27-0.06-0.851.7511.276.08--5.611.0210.6110.614.63--5.381.541.10
Investor (APLIX)12/28/2011.27-0.06-0.851.6611.005.85--5.340.9610.4410.444.40--5.131.791.35
Class A (AALIX )                   
A Shares (at NAV)12/28/20---0.941.5710.925.81--5.311.0510.4510.454.39--5.111.641.35
A Shares (with maximum 2.00% load)12/28/2011.25-0.07-2.93-0.438.655.10--4.81-0.968.278.273.68--4.601.641.35
S&P 500---2.4319.5327.149.3715.9012.9714.792.4319.5327.149.3715.9012.9714.79--
World Energy Fund                   
Class A (AAWEX)                   
A Shares (at NAV)2/3/14---4.33-0.4812.119.9820.175.664.826.7313.1713.1716.2016.445.804.941.311.15
A Shares (with maximum 2.00% load)2/3/1414.59-0.19-6.26-2.449.849.2519.685.444.634.5610.8710.8715.4215.975.594.751.311.15
Class C (ACWEX)2/3/1414.40-0.19-4.38-0.6311.329.1719.274.874.126.5712.3812.3815.3115.595.004.232.211.90
Institutional (AIWEX)2/3/1414.65-0.20-4.31-0.4112.4210.2520.465.935.096.7813.4013.4016.4716.746.075.211.210.90
Investor (APWEX)2/3/1414.63-0.19-4.32-0.4812.1510.0120.165.644.816.7113.2113.2116.1816.465.784.931.461.15
S&P 500---2.4319.5327.149.3715.9012.9714.792.4319.5327.149.3715.9012.9714.79--
Price as of 3/26/25
Monthly as of 2/28/25

For Money Market Current Yields, please visit: Yield Information

   Price
as of 3/26/25
Monthly
Total Returns as of 2/28/25
Quarterly
Total Returns as of 12/31/24
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)9/21/901.000.000.300.634.473.652.191.432.441.034.624.623.442.091.372.430.710.71
Institutional (APHXX)9/21/901.000.000.330.694.914.012.411.642.521.135.065.063.772.311.572.520.460.29
Select (APSXX)9/21/901.000.000.330.714.994.092.461.692.511.155.145.143.852.361.622.500.460.21
Premier (APPXX)7/31/231.000.000.300.634.473.782.271.592.481.034.614.613.562.191.522.480.960.71
U.S. Treasury Fund                   
Administrative (APGXX)9/5/901.000.000.280.604.433.572.131.372.241.024.614.613.372.041.312.230.700.70
Institutional (APKXX)9/5/901.000.000.320.674.873.982.381.632.341.135.055.053.752.291.562.330.450.28
Select (APNXX)12/26/171.000.000.320.684.954.062.441.632.311.155.145.143.822.351.562.310.450.20