Portfolio Managers Pedro Marcal and David Schiffman Featured on Asset TV

Aquila’s equity and high-yield strategies were enhanced with the recent addition of a new portfolio management team, which brings a distinct and disciplined investment process to each strategy. This further complements Aquila’s state-specific municipal bond funds, and significantly increases its internal capacity in managing both equity and fixed income strategies.

Pedro Marcal, Director of Equities and High Yield, Lead Portfolio Manager of Aquila Opportunity Growth Fund—and David Schiffman, Lead Portfolio Manager of Aquila High Income Fund—were interviewed by Asset TV to provide valuable insights into the Funds’ investment and research approach.

Discover how Aquila Group of Funds’ equity and high-yield strategies may help diversify your investment portfolio.

Mutual fund investing involves risk; loss of principal is possible. Investment risks include, but are not limited to, potential loss of vale, market risk, financial risk, interest rate risk, credit risk, and investments in highly-leveraged companies, lower-quality debt securities, foreign markets and foreign currencies.

Shares of the Funds may only be sold by offering the Funds’ Prospectus. Before investing in a Fund, carefully read about and consider the investment objectives, risks, charges, expenses, and other information found in the Fund prospectus. The prospectus is available here, from your financial advisor, and by calling Aquila Group of Funds at 800-437-1020.