Conestoga Small Cap Fund
The Portfolio Managers of our Mutual Fund, the Conestoga Small Cap Fund, are Bill Martindale and Bob Mitchell. Bill and Bob utilize the same investment philosophy, style and process for the Fund that they have employed in constructing separately managed small cap accounts since 1989.

Daily NAV: $32.27 as of 9/18/2014

Ticker Symbol: CCASX

CUSIP: 207019100

Investment Objective: The Fund seeks to provide long-term growth of capital.

The Conestoga Small Cap Fund paid a short term capital gain of $0.12018 and a long-term capital gain and $0.51293, with a record date as of December 26, 2013; ex and payable date as of December 27, 2013.

To Open an Account or for Operational Questions, please call the Fund's Servicing Agent, Mutual Shareholder Services, at: (800) 494-2755.

For more detailed information on the Fund, please see our Approach, Process, and Separate Account links above, along with the following:
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Purchase the Fund

purchase shares and open an account

Fund Facts

Conestoga Small Cap Fund holdings, characteristics and performance

Additional Information

annual and semi-annual reports
Conestoga SMid Cap Fund

Daily NAV: $9.12 as of 9/18/2014

Ticker Symbol: CCSMX

CUSIP: 207019506

Investment Objective: The Fund seeks to provide long-term growth of capital.

purchase shares and open an account
The Conestoga Small and SMid Cap Funds can be purchased fund direct or through most major mutual fund platforms. Please visit www.conestogacapital.com or contact Conestoga Capital Advisors for additional instructions. Conestoga Small Cap Fund, Russell 2000 and Russell 2000 Growth characteristics are generated by Factset analytical system. Performance is based upon closing NAV calculation on listed dates and represents past performance. Past performance does not guarantee future results and current performance may be lower or higher than the performance quoted. Performance data includes reinvestment of dividends. Investment returns and principal value of an investment in the Conestoga Small and SMid Cap Funds will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. For the Funds' daily NAV, list of additional holdings, total return as of the most recent month-end and a copy of the Funds' prospectus, please visit www.conestogacapital.com or call 1-800-320-7790. The prospectus contains information about the Funds' investment objective, risks, charges, and expenses which an investor should consider before investing. (1) Although the Funds have adopted a Shareholder Servicing Plan that will allow the Funds to pay an annual fee of up to 0.25% of its average daily net assets for providing services to the Fund’s shareholders, the Funds do not expect to pay any Shareholder Servicing Fees in the current fiscal year. (2) Conestoga Capital Advisors, LLC (the Adviser) has contractually agreed to limit the Funds' net annual operating expenses to 1.10% of the Funds' average daily net assets until at least February 1, 2015, subject to termination at anytime at the option of the Funds. Arbor Court Capital, LLC (Member FINRA & SIPC) serves as the Distributor to the Conestoga Small and  SMid Cap Funds.