Broker Check

Conestoga Mid Cap Fund

The lead portfolio managers of the Conestoga Mid Cap Fund are Derek Johnston and Ted Chang, and Robert Mitchell serves as co-portfolio manager.  The Fund was launched on June 29, 2021.

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

Fund Direct Account Access

​​To open a new Conestoga Fund Account or to view an Existing Fund Direct Account, please access the secure site above.  To open an account or for operational questions, please call the Fund's Servicing Agent (Ultimus Fund Distributors, LLC) at: (800) 494-2755.  Please contact a member of our Shareholder Services department at 1-800-494-2755 with any questions. Representatives are available Monday through Friday, 8:00am - 6:00pm EST.  You may also refer to the Fund's Prospectus and Applications below to assist in buying, exchanging and redeeming shares of each class of the Conestoga Mid Cap Fund. 



Ticker

CUSIP

Net Assets (6/30/21)

Inception

Minimum Initial Investment

Total Gross Operation Expenses

Total Net Operation Expenses*

Investor Class

CCMMX

207019803

N/A

6/29/2021

$2,500

6.80%

1.05%

Institutional Class

CCMAX

207019886

N/A

6/29/2021

$250,000

6.40%

0.80%

* These are expenses that you pay each year as a percentage of the value of your investments.  Conestoga Capital Advisors, LLC (the “Adviser”) has contractually agreed to limit the Fund’s ‘Total Annual Fund Operating Expenses’ to 0.80% (for the Institutional Class) and 1.05% (for the Investors Class) of the Fund’s average daily net assets until at least June 30, 2022, subject to termination at any time at the option of the Fund. There is no guarantee that the agreement to limit the Fund's net annual operating expense will be renewed or extended.              

Investors Share Class (CCMMX) Information

Mid Cap Fund Prospectus & Shareholder Reports


Institutional Share Class (CCMAX) Information


Additional Information