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Kensington Managed Income Strategy Returns




        INVESTMENT OBJECTIVE
        The Kensington Managed Income Strategy     $1,750,000
                                                    $1,750,000
        strives to provide investors with the
        potential to generate stable, above
        average total returns, with low drawdown.  $1,500,000
                                                    $1,500,000
        ABOUT THE STRATEGY
        Kensington Analytics uses a proprietary    $1,250,000
                                                    $1,250,000
        trend-following model to identify and
        act on prevailing market sentiment. The
        model provides daily signals to guide the
                                                    $1,000,000
        Strategy’s allocation. Managed Income      $1,000,000
        rotates between two investment modes:
        Risk-On: When markets are generally
                                                     $750,000
        trending upward, Managed Income             $750,000
        allocates to higher yielding fixed income
        securities. This allows the Strategy to reap
                                                     $500,000
        the highest level of yield when confidence   $500,000
        in the market is high.
        Risk-Off: When the overall trend is one
                                                     $250,000
        of decline or high volatility, Managed      $250,000
        Income shifts into shorter duration
        instruments, including Treasuries or
        cash equivalents. This helps protect             $0 $0
        principal and mitigate drawdowns.                  1991  1992  1993  1994   1995  1996  1997  1998  1999  2000   2001  2002  2003  2004  2005   2006  2007  2008  2009  2010  2011   2012  2013  2014  2015  2016  2017   2018  2019
                                                           1991      1992      1993      1994       1995      1996       1997      1998      1999      2000      2001      2002       2003      2004      2005      2006       2007      2008      2009      2010      2011       2012      2013      2014       2015      2016      2017      2018       2019
                                                         Returns are Net
                                                                                                                                                        ICE BofA US Corporate Master
                                                                                                                                                                                                                          S&P 500 TR Index
                                                                               Kensington Managed Income
                                                                                                                                                                                         ICE BofA US High Yield Master II
                                                                                                                       Bloomberg Barclays
        MORNINGSTAR® CLASSIFICATION                                            Kensington Managed Income               US Aggregate Bond                US Corporate Bond                US High Yield Bond               S&P 500
                                                                                                                       US Aggregate Bond Index
                                                                                                                                                                                         Total Return Index
                                                                                                                                                        Total Return Index
        Nontraditional Bond
        MORNINGSTAR® RATING*

        *  The Kensington Managed Income Strategy received a   14%
         5-Star Overall Morningstar® Rating as of December 31,
         2019. The Strategy was rated against the following                Risk/Return (Since 1992)                                                                            Performance Statistics
         numbers of Morningstar® rated composites over the
         following time periods: 37 nontraditional composites in
                                                   12%
         the last 3 years, 34 nontraditional composites in the last   12%                                                                                                Bloomberg Barclays    ICE BofA      ICE BofA
         5 years, and 19 nontraditional composites in the last 10                                                                                       Kensington                                                                S&P 500
         years. With respect to these nontraditional composites,                                                                                        Managed Income   US Aggregate     US Corporate Master    US High Yield Master II    TR Index
         the Kensington Managed Income Strategy received a                                                                                                               Bond Index       Total Return Index   Total Return Index
                                                   10%
         5-Star rating overall, a 4-Star rating for 3 years, a 5-Star   10%
         rating for 5 years and a 5-Star rating for 10 years. Past                                                                 Annualized Return
         performance does not guarantee future results.               Kensington Managed Income   S&P 500 TR Index                 Since Inception        9.14%             5.53%             6.23%              7.32%             8.85%
                                                    8%
                                                                                                                                   Standard Deviation
        INCEPTION DATE                              8%                           ICE BofA US High Yield Master II Total Return Index  Annualized          4.76%             3.55%             5.27%              8.30%            14.24%
        December 31, 1991                                                                                                          Annual
        The Kensington Managed Income Strategy      6%                  ICE BofA US Corporate Master Total Return Index            Sharpe Ratio           1.92              1.56              1.17               0.89              0.62
                                                    6%
        is managed by Advisors Preferred, LLC dba   Annualized Return Since Inception  Bloomberg Barclays US Aggregate Bond Index   Maximum
        Kensington Analytics LLC. Additional                                                                                       Drawdown              (4.60%)           (5.15%)           (16.07%)          (33.23%)          (50.95%)
        information about the Strategy and          4%
        the adviser can be obtained by viewing      4%                                                                             Percent of            75.81%            67.85%             68.05%            72.19%            66.37%
        company disclosure documents available                                                                                     Positive Months
        upon request. Past Performance does not                                                                                    Avg Positive
                                                    2%
        guarantee future results.                   2%                                                                             Monthly Return         1.17%             0.99%             1.25%              1.61%             3.06%
                                                                                                                                   Avg Negative
        To Receive a GIPS® Compliant                                                                                               Monthly Return        (0.57%)           (0.67%)            (1.05%)           (1.94%)           (3.67%)
        Presentation Please Contact                 0% 0%                             5%                           10%                           15%                           20%
                                                    0%
        info@kensingtonanalytics.com                  0%             5%            10%           15%            20%            25% As of 03/31/20. Standard Deviation: A measure of the dispersion of monthly returns from its mean return, also known as historical volatility. Sharpe Ratio: A risk-adjusted
                                                                                                                                 measure of a fund’s performance that indicates a fund’s return per unit of risk, defining risk as volatility (standard deviation). Maximum Drawdown: A measure of the
        KensingtonAnalytics.com                                              Standard Deviation                                  maximum loss from a peak to a trough of a portfolio or index, before a new peak is attained. An investment in securities involves risk, including loss of principal.
        877.891.1222                                                                                                             Returns are presented Net of fees and include the reinvestment of all income. Performance represents past performance. Past performancedoes not guarantee
                                                                                                                                 future results.
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