Data as of February 03, 2012
Daily Stats SP 500
Index¹
NASDAQ
Composite²
Daily NAV 38.84 1344.90 2905.66

Change from Prior NAV 0.67 72.63 45.98

One day return (%) 1.76% 1.47% 1.61%


Total Return

Month to Date** 3.88% 2.52% 3.26%

Quarter to Date** 9.01% 7.11% 11.54%

Year to Date** 9.01% 7.11% 11.54%


Data as of December 31, 2011
One Year* -2.20% 2.11% -1.80%

Three Year* 20.57% 14.11% 18.21%

Five Year* 5.16% -0.25% 1.52%

Ten Year* 5.45% 2.92% 2.94%

Since inception *^ 4.34% 2.13% 2.34%

Since inception **^ 57.47% 25.20% 28.02%



2011 -2.20% 2.11% -1.80%

2010 20.89% 15.06% 16.91%

2009 48.23% 26.46% 43.89%

2008 -42.37% -37.00% -40.54%

2007 27.34% 5.49% 9.81%

2006 16.18% 15.79% 9.52%

2005 -1.55% 4.91% 1.37%

2004 9.95% 10.88% 8.59%

2003 38.92% 28.68% 50.01%

2002 -24.31% -22.10% -31.3%

2001³ -7.40% -6.11% -4.15%

* Annualized

** Non-Annualized

You should consider the investment objectives, risks, charges and expenses of the fund carefully before investing. Call 1-800-930-3828 or click on the "Prospectus" link at the top of the page for the most recent month-end performance data. You should read the prospectus carefully before you invest.

 ^ The Internet Fund - Advisor Class A inception date is 4/26/01. Performance data quoted represents past performance and does not guarantee future results. Figures include changes in principal value, reinvested dividends and capital gains distributions. Investment return and principal value will vary, and shares may be worth more or less at redemption than original purchase. Current performance may be lower or higher than the performance data quoted. Performance data does not reflect the deduction of the sales load or fee. You will be charged a redemption fee equal to 2.00% of the net amount of the redemption if you redeem or exchange your shares 30 days or less after you purchase them.

¹ Reflects S&P returns which include dividends reinvested.

² Reflects NASDAQ returns which do not include dividends being reinvested.

³ Cumulative return from Fund inception to year end.

The Fund's Total Gross and Net Expense Ratios can be found by clicking on the "Statistics" tab to the left hand side of the page.

Sales charges are not reflected in the Fund's performance above. If these amounts were reflected, returns would be less than those shown.

Due to market volatility, current performance may be more or less than those shown for standard quarter-end periods.

Because the Fund invests in a single industry, its shares do not represent a complete investment program. Internet stocks are subject to a rate of change in technology, obsolescence and competition which is generally higher than that of other industries, and have experienced extreme price and volume fluctuations. As a non-diversified and single industry fund, the value of its shares may fluctuate more than shares invested in a broader range of industries and companies.

Kinetics Mutual Funds, unlike other investment companies that directly acquire and manage their own portfolios of securities, pursue their investment objectives by investing all of their investable assets in a corresponding portfolio series of Kinetics Portfolio Trust.

The NASDAQ Composite (NASDAQ) and the Standard & Poor's 500 Index (S&P 500) each represent an unmanaged, broad-based basket of stocks. They are typically used as a proxy for overall market performance.




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