Catalyst/Groesbeck Growth of Income Fund


Fund Objective

The Fund’s investment objective is income with capital appreciation as a secondary objective.

Reasons to Invest

The Catalyst/Groesbeck Growth of Income Fund offers an investment option for those seeking investment in dividend-paying stocks that offer dividend yields above the market average and show promise for future dividend increases.

Growing Income
The Fund offers the potential upside of equities while generating current income that increases over time by investing in dividend-paying stocks that increase their payouts every year and have above market average yields.

Quality Companies
Stocks are selected for the portfolio using a quantitative analysis that evaluates factors such as earnings growth, dividend growth, and financial strength. In-depth fundamental analysis is performed to determine a company’s ability to grow its earnings and dividends over the long term.

The Fund attempts to provide greater downside protection during periods of market turmoil through a higher than average dividend yield and higher quality stocks than the overall market.

Fund Management

Investment Advisors

Investment Advisor:
Catalyst Capital Advisors LLC

Groesbeck Investment Management Corp. (GIM)

Portfolio Managers:
Robert P. Groesbeck, CFA | President
Robert Dainesi | Executive Vice President

Fund Overview

Share Class Class I Class A Class C Class A w/ Sales Load
CUSIP 62827L856 62827L872 62827L864 62827L872
Inception Date 2010-11-24T00:00:00 2009-12-30T00:00:00 2009-12-30T00:00:00 2009-12-30T00:00:00
As of Date 2019-02-15T00:00:00 2019-02-15T00:00:00 2019-02-15T00:00:00 2019-02-15T00:00:00
Daily NAV 9.73 9.66 9.37 9.66
NAV Change 0.06 0.07 0.07 0.07
% NAV Change 0.62% 0.73% 0.75% 0.73%

Current Fund Performance

Data as of: 2019-02-15T00:00:00

Share Class 1 Month 3 Months 6 Months YTD 1 Year 3 Years Annualized 5 Years Annualized 10 Years Annualized Since Inception Annualized
Class I 6.22% 3.21% 0.95% 11.07% 0.18% 14.23% 7.09% N/A 9.77%
Class A 6.27% 3.05% 0.71% 10.91% -0.19% 13.78% 6.74% N/A 8.89%
Class C 6.24% 2.82% 0.36% 10.76% -0.98% 12.97% 5.95% N/A 8.05%
Class A w/Sales Load 0.21% -2.88% -5.04% 4.55% -5.92% 11.55% 5.48% N/A 8.19%

Quarterly Fund Performance

Data as of quarter end: 2018-12-31T00:00:00

Share Class 1 Month 3 Months 6 Months YTD 1 Year 3 Years Annualized 5 Years Annualized 10 Years Annualized Since Inception Annualized
Class I -8.77% -11.36% -7.35% -9.00% -9.00% 7.10% 4.39% N/A 8.51%
Class A -8.78% -11.48% -7.41% -9.19% -9.19% 6.71% 4.07% N/A 7.78%
Class C -8.82% -11.59% -7.75% -9.85% -9.85% 5.94% 3.31% N/A 6.95%
Class A w/Sales Load -14.03% -16.58% -12.72% -14.45% -14.45% 4.63% 2.84% N/A 7.07%

The Fund’s maximum sales charge for Class “A” shares is 5.75%. Investments in mutual funds involve risks. Performance is historic and does not guarantee future results. Investment return and principal value will fluctuate with changing market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. To obtain the most recent month end performance information or the Fund’s prospectus please call the Fund, toll free at 1-866-447-4228. You can also obtain a prospectus at

Fund Expenses

Share Class Class I Class A Class C Class A w/ Sales Load
Gross Expense Ratio 2.37% 2.62% 3.37% 2.62%
Net Expense Ratio 1.13% 1.38% 2.13% 1.38%

The Advisor has contractually agreed to waive fees and/or reimburse expenses of the Fund to the extent necessary to limit total annual fund operating expenses (excluding brokerage costs; underlying fund expenses; borrowing costs such as (a) interest and (b) dividends on securities sold short; taxes; and extraordinary expenses, such as regulatory inquiry and litigation expenses) at 1.38%, 2.13% and 1.13% for Class A shares, Class C shares and Class I shares, respectively, through October 31, 2019.

There is no assurance that the Fund will achieve its investment objective.

Investing in the Fund carries certain risks. The value of the Fund may decrease in response to the activities and financial prospects of an individual security in the Fund’s portfolio. The performance of the Fund may be subject to substantial short term changes. These factors may affect the value of your investment.


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