GRNY Fund Documents

Type Fund Content Date
Prospectus
GRNY
GRNY Supplement to Prospectus 11-17-2025 Download
Rebalance Notifications
GRNY
GRNY Rebalance Notification - November 13, 2025 11-13-2025 Download
Fact Sheet
GRNY
GRNY Fact Sheet 10-08-2025 Download
Rebalance Notifications
GRNY
GRNY Rebalance Notification - August 14, 2025 08-15-2025 Download
SAI
GRNY
GRNY Statement of Additional Information 06-27-2025 Download
Semi-Annual Reports
GRNY
GRNY Semi-Annual Shareholder Report - April 30, 2025 04-30-2025 Download
Financial Statements
GRNY
GRNY Semi-Annual Financial Statements - April 30, 2025 04-30-2025 Download
Holdings
GRNY
GRNY Q1 Holdings Report – January 31, 2025 01-31-2025 Download
SAI
GRNY
GRNY Statement of Additional Information 10-30-2024 Download
SAI
GRNY
GRNY Statement of Additional Information 10-30-2024 Download

Disclosures

BEFORE INVESTING YOU SHOULD CAREFULLY CONSIDER THE FUND’S INVESTMENT OBJECTIVES, RISKS, CHARGES AND EXPENSES. THIS AND OTHER INFORMATION IS IN THE PROSPECTUS, A COPY OF WHICH MAY BE OBTAINED FROM https://grannyshots.com. PLEASE READ THE PROSPECTUS CAREFULLY BEFORE YOU INVEST.

FOR A COMPLETE LIST OF HOLDINGS GO TO https://grannyshots.com. HOLDINGS ARE SUBJECT TO CHANGE WITHOUT NOTICE.

The principal risks of investing in the Fund are summarized below. As with any investment, there is a risk that you could lose all or a portion of your investment in the Fund. Some or all of these risks may adversely affect the Fund's net asset value per share ("NAV"), trading price, yield, total return, and/or ability to meet its investment objective. For more information about the risks of investing in the Fund, see the section in the Fund's Prospectus titled "Additional Information About the Fund-Principal Risks of Investing in the Fund."

Equity Market Risk. Common stocks are generally exposed to greater risk than other types of securities, such as preferred stock and debt obligations, because common stockholders generally have inferior rights to receive payment from specific issuers.

Models and Data Risk. The composition of the Fund's portfolio is heavily dependent on investment models developed by the Sub-Adviser as well as information and data supplied by third parties ("Models and Data"). When Models and Data prove to be incorrect or incomplete, any decisions made in reliance thereon may lead to the inclusion or exclusion of securities from the Fund's portfolio that would have been excluded or included had the Models and Data been correct and complete.

Operational Risk. The Fund is subject to risks arising from various operational factors, including, but not limited to, human error, processing and communication errors,errors of the Fund's service providers, counter parties or other third-parties, failed or inadequate processes and technology or systems failures. The Fund relies on third-parties for a range of services, including custody.

New Fund Risk. The Fund is a recently organized management investment company with no operating history. As a result, prospective investors do not have a track record or history on which to base their investment decisions.

GRNY specific risk: Large-Capitalization Investing. The securities of large-capitalization companies may be relatively mature compared to smaller companies and therefore subject to slower growth during times of economic expansion. Large-capitalization companies may also be unable to respond quickly to new competitive challenges, such as changes in technology and consumer tastes.

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