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THE OBERWEIS FUNDS
Capital Gain Distribution Information
On December 28, 2007 the Oberweis Emerging Growth, Micro-Cap, Mid-Cap, and China Opportunities Funds paid long-term capital gain distributions of $3.30, $2.13, $0.58 and $2.04, per share respectively, for shareholders of record on December 27, 2007. The Oberweis International Opportunities Fund did not declare a capital gain distribution.
 
Management of The Oberweis Funds
proudly announces a new fund available 2/1/2008:

THE OBERWEIS
ASIA OPPORTUNITIES FUND (OBAOX)
THE OBERWEIS ASIA OPPORTUNITIES FUND invests, under normal circumstances, at least 80% of its net assets in Asia securities as defined by the preliminary prospectus. There are no restrictions on the capitalization of companies whose securities the Fund may buy; however, the Fund will generally invest in the stocks of small to mid-size companies. The Fund may also invest in securities of countries in developed and developing (or emerging) markets.

Click here for the WRAPPER AND PROSPECTUS.
Click here for an ACCOUNT APPLICATION.
 
For more complete information on The Oberweis Funds, including all charges, expenses, and the risks associated with the funds, please view the prospectus or call (800) 323-6166 to request a copy. Please read it carefully before you invest or send money. The Oberweis Funds invest in rapidly growing smaller and medium sized companies which may offer greater return potential. However, these investments often involve greater risks and volatility. There is no guarantee that the funds can achieve their objectives.
 
Oberweis Asset Management seeks to invest in high growth companies. Candidates for OAM portfolios are generally smaller companies in the early stages of explosive growth. We look for sustainable, internally-generated growth attributable to increasing customer demand. Our ideal company has high competitive barrier, such as a patent, a new technology, or a dynamic marketing concept.

Our team is focused. The OAM portfolio management team has significant experience in evaluating smaller high growth companies. Our framework for initial universe selection using a unique combination of quantitative and qualitative factors creates discipline in our process.

Because our team is exclusively focused on high-growth small-cap issues, we have acquired above-average understanding of the challenges encountered by such companies over time. We have also developed an extensive knowledge base of such companies and their respective product offerings. We apply expertise and network of industry contacts towards an effective qualitative evaluation of each company's business plan.


The Oberweis Funds 
Net Asset Values
 
as of 5/16/2008
 

Symbol NAV Change
OBEGX 20.43 0.05
OBMCX 12.19 0.08
OBMDX 13.85 0.01
OBCHX 23.32 -0.02
OBIOX 13.79 0.19
OBAOX 10.25 0.04
Click here for
Net Asset Value Details
and Current Performance
 

Before investing, consider the fund’s investment objectives, risks, charges, and expenses. To obtain a copy of the prospectus please visit our website at oberweisfunds.com or call 800-323-6166. Read it carefully.

The Oberweis Funds are distributed by Oberweis Securities, Inc. Member: FINRA & SIPC.

© 2008 "Oberweis," the "O" design, "Oberweis Octagon" and the "Oberweis Octagon" design are service marks of
Oberweis Asset Management, Inc. All rights reserved.
The Oberweis Funds are distributed by Oberweis Securities, Inc. Member FINRA & SIPC.