07/02/2026 | Press release | Distributed by Public on 07/02/2026 14:57
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Destinations Real Assets Fund
Class / Ticker: I / DRAFX, Z / DRAZX
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Summary Prospectus
July 1, 2026
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Annual Fund Operating Expenses
(expenses that you pay each year as a percentage of the value of your investment)
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Class I
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Class Z
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Management Fees
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1.00%
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1.00%
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Distribution and Service (12b-1) Fees
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None
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None
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Other Expenses
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0.39%
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0.24%
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Acquired Fund Fees and Expenses (AFFE)*
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0.04%
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0.04%
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Total Annual Fund Operating Expenses
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1.43%
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1.28%
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Fee Waivers and Expense Reimbursements
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(0.25)%**
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(0.25)%**
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Total Annual Fund Operating Expenses Less Fee Waivers and Expense Reimbursements
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1.18%
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1.03%
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*
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Because the Fund incurred AFFE during the most recent fiscal year, the operating expenses in this fee table will not correlate to the expense ratio in the Fund's financial statements (or the "Financial Highlights" section in the prospectus), which does not take into account the indirect costs of investing in other investment companies.
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**
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The Fund's adviser, Orion Portfolio Solutions, LLC d.b.a. Brinker Capital Investments ("the Adviser"), has contractually agreed to waive a portion of its management fee as necessary to keep the Fund's management fee from exceeding 0.444% more than the total amount of sub-advisory fees paid by the Adviser. This fee waiver and reimbursement agreement shall remain in effect until June 30, 2027 and may be amended or terminated only with the consent of the Board of Trustees.
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1
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After 1 year
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After 3 years
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After 5 years
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After 10 years
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Class I Shares
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$120
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$428
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$758
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$1,692
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Class Z Shares
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$105
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$381
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$678
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$1,523
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2
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3
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4
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5
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*
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As described above, from February 1, 2021 through November 13, 2024, the Fund's portfolio consisted entirely of cash.
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*
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From February 1, 2021 through November 13, 2024, the Fund's portfolio consisted entirely of cash.
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1 Year
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5 Years
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Since Inception
(03/20/2017)
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Return Before Taxes
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Class I
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19.12%
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3.32%
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(8.86)%
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Class Z*
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19.61%
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3.40%
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(9.93)%
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Return After Taxes on Distributions
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Class I
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17.88%
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0.98%
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(10.71)%
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Return After Taxes on Distributions and Sale of Fund Shares
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Class I
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11.77%
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1.54%
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(6.49)%
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FTSE All World Developed Index (reflects no deduction for fees, expenses, or taxes)
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22.25%
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11.97%
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12.04%
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**
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The Fund's Class Z shares commenced operations on July 16, 2018.
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6
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Portfolio Manager
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Experience with the Fund
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Title with Adviser
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Brian Storey, CFA
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Since 2024
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Senior Vice President, Head of Multi-Asset Strategies and Senior Portfolio Manager
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Timothy Holland, CFA
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Since 2024
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Chief Investment Officer and Senior Portfolio Manager
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Andrew Goins, CFA
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Since 2024
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Senior Portfolio Manager
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John Hoffman, CFA
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Since 2026
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Portfolio Manager
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Sub-advisers and Portfolio Managers (Title)
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Fund's Portfolio
Manager Since
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Newton Investment Management North America, LLC
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Brock Campbell, CFA, Head of Global Equity Research and Portfolio Manager
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Since 2024
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David Intoppa, Portfolio Manager and Research Analyst
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Since 2024
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Nomura Investments Fund Advisers, a series of Nomura Investment Management Business Trust
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Stefan Löwenthal. CFA, Managing Director and Head of Global Multi-Asset
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Since 2024
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Jürgen Wurzer, CFA, Managing Director and Deputy Head of Global Multi-Asset
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Since 2024
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Aaron Young, Managing Director and Senior Portfolio Manager - Global Multi-Asset
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Since 2024
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Nuveen Asset Management, LLC
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Ben Kerl, Portfolio Manager and Head of Public Real Assets
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Since 2024
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Jagdeep Ghuman, Portfolio Manager and Director of Research, Asia
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Since 2024
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Tryg Sarsland, Portfolio Manager and Director of Global Infrastructure Research
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Since 2024
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Noah Hauser, CFA, Portfolio Manager and Head of Infrastructure Investments
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Since 2024
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Scott Sedlak, Portfolio Manager and Head of U.S. Real Estate Investments
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Since 2024
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Crispin Royle-Davies, Portfolio Manager
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Since 2024
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7
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8
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