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Huntington Funds’ Fund Managers Gain National Recognition

First Quarter 2012



Dow Jones
January 4, 2012
"DJ TIP SHEET: Huntington Fund Takes Rosier View of Financial Sector" Kirk Mentzer and Dividend Capture Fund are profiled. Kirk discusses his investment strategy for the Fund.

Bloomberg News
January 9, 2012
"EBay Poised to Gain 30% Chasing Amazon Without PayPal: Real M&A" Peter Sorrentino discusses EBay and merger and acquisition activities.

Bloomberg News
January 10, 2012
"Stocks to Keep Climbing in 2012: Birinyi"
Peter Sorrentino comments on current stock market.

Bloomberg/Washington Post
January 10, 2012
"Sorrentino Likes Agriculture, Transport Equipment Stocks" Peter Sorrentino gives his current favorite stock picks.

BusinessWeek/Bloomberg
January 11, 2012
"Most U.S. Stocks Rise as Bank Rally Overshadows Europe Concerns" Madelynn Matlock discusses current stock market trends and impact on European markets.

Fox Business Channel
January 17, 2012
"Debt, Regulation in the Way of Economic Recovery?" Randy Bateman was a live guest on Fox Business Channel. Randy shared his current views on the economic environment.

Reuters
January 20, 2012
"Analysis: GE bangs dividend drum, but constrained by Fed" Peter Sorrentino discusses GE.

Bloomberg News
January 25, 2012
"Dow Average Rallies to Highest Level Since May on Fed's Pledge" Madelynn Matlock discusses current steps taken by the Federal Reserve and market reaction.

CNN/Money
January 27, 2012
"The Anti-Kodak: Eastman Chemical" Randy Bateman discusses Kodak.

Bloomberg News
January 30, 2012
"Longest S&P 500 Valuation Slump Since Nixon Discounts Profit" Peter Sorrentino discusses current state of the economy.

Bloomberg News
"U.S. Stocks Fall as 10-Year Treasuries Advance on Consumer Confidence Data" January 31, 2012
Peter Sorrentino discusses current stock trends.

Fox Business Channel
February 6, 2012
"Uncertainty Driving Market Volatility" Peter Sorrentino weighs in on the European debt crisis and uncertainty in Greece and how it is impacting the markets.

Reuters
February 6, 2012
"GLOBAL MARKETS-Stocks, euro stall alongside Greek deal" Randy Bateman offers his perspective on the Greek debt crisis and its potential effects on the market.

The Economic Times
February 7, 2012
"Wall Street edges lower after string of gains" Randy Bateman weighs in on possibly Greek bailout.

CNBC
February 14, 2012
"Squawk Box" Randy Bateman shares his outlook on the markets, which he deems as "The New Abnormal".

SmartMoney
February 14, 2012
"Buy/Sell/Hold: Energy Stocks" Peter Sorrentino discusses the price of uranium and concerns about price increase.

BusinessWeek
February 15, 2012
"U.S. Stocks Fall Amid Concern Greece May Be Closer to Default" Peter Sorrentino offers his viewpoint on how the markets are reacting to Greece's debt crisis.

Bloomberg News
February 16, 2012
"LinkedIn puts slip to record low as Facebook IPO lures back bulls" Peter Sorrentino discusses Facebook IPO.

Washington Post
February 20, 2012
"Sorrentino Sees Gold Rising Over $2,000 Early This Year" Peter Sorrentino talks about opportunities in emerging markets, the outlook for gold and his investment strategy.

International Business Times
February 21, 2012
"$2,000 Gold by April amid "Continual Growing of Demand"" Peter Sorrentino discusses his outlook on gold.

Bloomberg News
February 21, 2012
"S&P 500 Index Tops Its Best Close Since 2008 as Oil, Treasury Yields Gain" Madelynn Matlock discusses Greek bailout and climbing oil prices.

BusinessWeek
February 21, 2012
"U.S. Stocks Erase Gains After S&P 500 Tops Highest Since 2008" Madelynn Matlock discusses Greek bailout and global stock market.

Bloomberg News
February 21, 2012
"Europe Debt Crisis, Emerging Markets, Gold" Peter Sorrentino talks about opportunities in emerging markets, the outlook for gold and his investment strategy.

BusinessWeek
February 24, 2012
"S&P 500 Rises to Highest Level Since 2008 on Economic Reports"
Randy Bateman discusses stock markets.

Financial Post
February 24, 2012
"Markets advance on commodity gains, positive U.S. data" Randy Bateman discusses rise of U.S. stock market.

Bloomberg News
February 29, 2012
"Yelp's IPO Puts Consumer-Review Site in Front of Own Critics" Peter Sorrentino comments on Yelps IPO.

Fox Business Channel
March 1, 2012
Peter Sorrentino discusses the markets and his favorite stock picks.

The Wall Street Journal
March 8, 2012
"Bulls See Legs in Tech-Stock Rally" Randy Bateman discusses the recent technology boom.

CNBC
March 9, 2012
"Closing Bell" Paul Attwood discusses Brazil and its opportunities for growth in 2012

Bloomberg News
March 12, 2012
"Fed Says Labor Market Improves; Policy Unchanged" George Mokrzan comments on the Federal Reserve policy and its impact on domestic and foreign economies.

Bloomberg News
March 12, 2012
"Pandit Pay Climbs Toward $53 Million as Citigroup Revenue Slumps" Peter Sorrentino discusses Citigroup and its CEO, Vikram Pandit.

Bloomberg News
March 14, 2012
"Carlyle Seeks Allison Transmission IPO at Triple 2007 Value" Peter Sorrentino weights in on Allison Transmission Holdings, Inc. IPO.

BusinessWeek
March 15, 2012
"Mortgage Rates for 30-Year Fixed U.S. Loans Increase to 3.92%" George Mokrzan offers his outlook on housing and sees it heading in a positive direction as income rises and financing remains low.

Bloomberg News
March 16, 2012
"U.S. Stocks Little Changed After Consumer Confidence Data" Madelynn Matlock shares her outlook on the current stock market.

Bloomberg News
March 26, 2012
"Hedge Funds Make Wrong-Way Bets for a Fourth Week: Commodities"
Peter Sorrentino discusses commodity markets.

Reuters
March 26, 2012
"Analysis: Worried about stocks rally? Enjoy the peace and quiet"
Randy Bateman discusses the stock markets and his outlook on the economy.



Funds invested in emerging markets subject themselves to risks associated with its investments in emerging market securities, which tend to be more volatile and less liquid than securities traded in developed countries.

Investments in commodities may be affected by overall market movements, changes in interest rates, and other factors such as weather, disease, embargoes and international economic and political developments.

Commodities are assets that have tangible properties, such as oil, metals, and agricultural products. These instruments may subject the Fund to greater volatility than investments in traditional securities.

Investments in international markets present special risks including currency fluctuation, the potential for diplomatic and political instability, regulatory and liquidity risks, foreign taxation and differences in auditing and other financial standards. Risks of foreign investing are generally intensified for investments in emerging markets.

Mutual funds are subject to risks and fluctuate in value.

Small company stocks may be less liquid and subject to greater price volatility than large capitalization stocks.

International investing involves special risks including currency risk, increased volatility of foreign securities, political risks, and differences in auditing and other financial standards.

The S&P 500 Index is an unmanaged index generally representing the performance of the broad domestic economy through changes in the aggregate market value of 500 stocks representing all major industries. Investments cannot be made in an index.

Diversification does not assure a profit nor protect against loss.

Past performance is no guarantee of future results.

The views expressed in these articles are as of the dates written, and are not intended as a forecast or as investment recommendations. Information provided with respect to the Fund's Portfolio Holdings, Sector Weightings, Number of Holdings, Performance and Expense Ratios are as of the dates described in the articles and are subject to change at any time.

The Funds are distributed by Unified Financial Securities, Inc., 2960 North Meridian Street, Suite 300, Indianapolis, IN 46208 (Member FINRA) a wholly owned subsidiary of Huntington Bancshares, Inc. and an affiliate of Huntington Asset Advisors, Inc. the advisor to the Huntington Funds.

For more complete information about the Huntington Funds, call 1-800-253-0412, see your Investment representative or visit www.huntingtonfunds.com for a prospectus. You should consider the fund's investment objectives, risks, charges, and expenses carefully before you invest. Information about these and other important subjects is in the fund's prospectus, which you should read carefully before investing.