Frontegra Funds
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Ticker: FRTRX
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2Q 2010 Holdings
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Additional Frontegra Fund Information
  Annual Report
  Semi-Annual Report
  Statement of Additional Information
Fund Fact Sheet

Historical Net Asset Values

Month-End Since Inception
2010
Jan 31.82 Feb 32.00 Mar 31.80 Apr 32.25 May 32.51 Jun 32.70
Jul Aug Sep Oct Nov Dec
2009
Jan 25.33 Feb 24.06 Mar 24.74 Apr 27.65 May 30.66 Jun 30.42
Jul 31.70 Aug 32.51 Sep 32.74 Oct 33.09 Nov 33.47 Dec 31.15
2008
Jan 31.82 Feb 31.51 Mar 31.44 Apr 31.78 May 31.55 Jun 30.73
Jul 30.61 Aug 30.60 Sep 28.74 Oct 26.70 Nov 25.56 Dec 26.14
2007
Jan 31.07 Feb 31.53 Mar 31.01 Apr 31.18 May 30.94 Jun 30.42
Jul 30.62 Aug 31.20 Sep 31.24 Oct 31.49 Nov 32.05 Dec 31.48
2006
Jan 30.78 Feb 30.82 Mar 30.03 Apr 29.98 May 30.01 Jun 29.72
Jul 30.15 Aug 30.61 Sep 30.54 Oct 30.77 Nov 31.14 Dec 31.05
2005
Jan 31.28 Feb 31.09 Mar 30.80 Apr 31.21 May 31.63 Jun 31.50
Jul 31.34 Aug 31.77 Sep 31.16 Oct 30.90 Nov 30.98 Dec 30.66
2004
Jan 31.08 Feb 31.45 Mar 31.44 Apr 30.72 May 30.61 Jun 30.51
Jul 30.85 Aug 31.38 Sep 31.28 Oct 31.51 Nov 31.33 Dec 31.18
2003
Jan 30.96 Feb 31.11 Mar 30.85 Apr 31.58 May 31.98 Jun 31.92
Jul 30.91 Aug 31.20 Sep 31.73 Oct 31.54 Nov 31.70 Dec 30.81
2002
Jan 30.88 Feb 31.09 Mar 30.44 Apr 30.84 May 31.08 Jun 30.12
Jul 29.86 Aug 30.63 Sep 29.96 Oct 29.81 Nov 30.79 Dec 30.37
2001
Jan 31.02 Feb 31.35 Mar 31.25 Apr 31.18 May 31.34 Jun 31.01
Jul 31.77 Aug 32.14 Sep 31.81 Oct 32.20 Nov 31.78 Dec 30.68
2000
Jan 28.70 Feb 29.02 Mar 29.09 Apr 29.17 May 29.13 Jun 29.36
Jul 29.65 Aug 30.09 Sep 29.85 Oct 29.82 Nov 30.30 Dec 30.40
1999
Jan 30.71 Feb 30.21 Mar 30.00 Apr 30.10 May 29.82 Jun 29.34
Jul 29.29 Aug 29.25 Sep 29.13 Oct 29.21 Nov 29.22 Dec 28.61
1998
Jan 31.07 Feb 31.04 Mar 30.72 Apr 30.89 May 31.11 Jun 30.90
Jul 30.98 Aug 31.13 Sep 31.64 Oct 31.38 Nov 31.56 Dec 30.57
1997
Jan 29.68 Feb 29.74 Mar 28.93 Apr 29.39 May 29.66 Jun 29.70
Jul 30.59 Aug 30.28 Sep 30.41 Oct 30.85 Nov 30.92 Dec 30.57
1996
Inception --> Nov 30.01 Dec 29.63

Past performance does not guarantee future results. The principal value of an investment and investment return will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted and may be obtained by calling 888-825-2100. Investment performance reflects contractual fee waivers in effect. In the absence of such waiver, total returns would be reduced.

The Fund's investment objectives, risks, charges, and expenses must be considered carefully before investing. The prospectus contains this and other important information about the Frontegra Funds, and it may be obtained by downloading or calling 888-825-2100.  To download, select the Prospectus option located on the left sidebar.

Mutual fund investing involves risk; principal loss is possible.

Frontegra Funds, Inc. are distributed by Frontegra Strategies, LLC, an affiliate of Frontegra Funds, Inc., and managed by Frontegra Asset Management, Inc.

Frontegra Strategies, LLC is located at 400 Skokie Boulevard, Suite 500, Northbrook, Illinois 60062, and can be contacted by calling (847) 509-9860. Frontegra Strategies, LLC is a member of the Financial Industry Regulatory Authority (www.finra.org), Inc. and SIPC.

You may obtain information about SIPC, including the SIPC brochure, by visiting www.sipc.org or calling SIPC at (202) 371-8300.

The Frontegra Funds are not offered for sale in countries other than the United States and its territories.