StephensChoice Performance Update

Performance for Month Ending April 30, 2008

Annualized*
All Performance Data is Historic and as of 3/31/2008.

SymbolFund NameYTD Return   1 Year*3 Year*5 Year*10 Year*Since Inception*Inception Date
Actively Managed Funds
CLDBXBlackRock Low Duration Blk.37% 4.34% 3.97% 2.96% 4.68%   
LAIAXColumbia Acorn International A-7.19% 2.92% 19.66% 29.09% 11.80%  10/16/00 
DODFXDodge & Cox International Stock-10.78% -5.09% 13.53% 27.27% -% 13.11% 5/1/01 
AGSXXFederated Auto Gov. Cash Reserve       
RGACXGrowth Fund of America R3-7.97% .48% 9.33% 14.22% 8.97%  5/21/02 
JMCVXJanus Mid Cap Val Inv-4.41% -1.13% 9.23% 17.30%  15.46%  
LSGLXLoomis Sayles Global Bond Fund4.24% 11.11% 5.92% 7.94% 7.89%   
PTTDXPIMCO Total Return D3.23% 10.45% 6.20% 5.23% 6.56%   
RYTFXRoyce Total Return S-5.65% -6.53% 6.39% 13.65% 9.18%  1/3/02 
SAGWXSentinel Small Company A-8.48% -3.60% 8.05% 14.97% 10.66%   
SSEMXSSgA Emerging Markets Fund-12.26% 20.34% 30.09% 35.77% 13.74%   
TRVLXT. Rowe Price Value-7.96% -8.19% 6.03% 13.79% 6.06%   
THGRXThornburg Core Growth R5-18.10% -12.50% 11.07% 18.17% -% 6.64% 10/03/05 
Previously Offered Actively Managed Funds
DODGXDodge & Cox Stock Fund-11.93% -13.30% 4.52% 13.74% 9.01%   
FLPSXFidelity Low Priced Stock-7.63% -7.12% 7.18% 17.44% 11.09%   
gcmaxGoldman Sachs Mid Cap Value A-7.89% -9.46% 6.50% 15.57% 8.74%   
BJBIXJulius Baer International Equity Fund A-9.23% 1.60% 17.96% 24.31% 13.82%   
JETAXJulius Baer International Equity II A-9.05% 1.55% -% -% -% 17.63% 5/4/05 
RYLPXRoyce Low Priced Stock Inv.-5.28% -7.48% 9.83% 17.65% 12.11%   
SVSPXSSgA S&P 500 Index Fund-9.57% -5.24% 5.67% 11.13% 3.33%   
Index Funds
FMDCXFederated Mid-Cap Index Fund-8.89% -7.29% 6.64% 14.58% 8.39%   
FMCPXFederated Mini-Cap Index Fund-10.10% -13.86% 4.24% 13.95% 3.71%   
GBFAXVan Eck Emerging Markets A-18.56% 3.98% 23.92% 34.52% 9.85%   

IMPORTANT PERFORMANCE INFORMATION

The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Additional information is available upon request. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance data quoted. Data shown is the most recent month-end on this Website. For more complete information about the actively managed mutual funds including investment objectives, risks, fees, expenses, and charges, obtain a current prospectus by calling 1-800-643-9691 ext. 2505. Please read the prospectus carefully before investing.

Information included in this site was obtained from internal and external sources considered to be reliable but have not been independently verified and is not guaranteed as to is accuracy or completeness. Such information is believed to be accurate on the date stated.

The performance data quoted above in the chart does not reflect the deduction of our advisory fees. Your investment return will be reduced by advisory fees and other account expenses. Our advisory fees are disclosed in our Form ADV, Part II. Please note that these performance numbers are of the Actively Managed Funds in the StephensChoice investment line-up and the performances of the funds does not necessarily reflect the performance of your account.

^On May 4, 2005, the Julius Baer International Equity Fund A closed to new investors. That fund was one of the international equity actively managed funds in the StephensChoice line-up. The Julius Baer International Equity Fund II A’s is the replacement fund and has an inception date of May 4, 2005. Given the inception date, the performance numbers shown with the ^ marking are the MSCI EAFE Index. Any other performance number shown without a marking is the Fund’s performance. The MSCI EAFE Index is an unmanaged list of equity securities from Europe, Australia, Asia, and the Far East, with all values expressed in U.S. dollars. It is not possible to invest directly in an index or average. The MSCI EAFE Index is the benchmark for the Julius Baer International Equity II A fund.