Cramer Rosenthal McGlynn
Mutual Funds

Shareholder Resources

Distributions

As a shareholder of a Fund, you are entitled to dividends and other distributions arising from net investment income and net realized gains, if any, earned on the investments held by the Funds. Dividends and distributions, if any, are declared and paid annually to you. Each Fund expects to distribute any net realized gains once a year.

Distributions are payable to the shareholders of record at the time the distributions are declared (including holders of shares being redeemed, but excluding holders of shares being purchased). All distributions are reinvested in additional Fund shares unless you have elected to receive the distributions in cash.

Past Performance does not guarantee future results

A fund’s income from dividends and interest and any net realized short-term capital gains are paid to shareholders as income dividends. A fund realizes capital gains whenever it sells securities for a higher price than it paid for them. Net realized long-term gains are paid to shareholders as capital gain dividends. A dividend will reduce the net asset value of a fund share by the amount of the dividend on the ex-dividend date. View the prospectus for more information.

When you open an account, all dividends and capital gains will be automatically reinvested in the distributing Fund unless you specify on your account application that you want to receive your distributions in cash or reinvest them in another Fund. Income dividends and capital gain distributions will be reinvested without a sales charge at the NAV on the ex-dividend date. You may change your distribution option at any time. For more information call 800.CRM.2883 or click here for more information.

2023 Distributions

  • Date of Record: December 6, 2023
  • Ex-date: December 7, 2023
  • Payment Date: December 8, 2023
Name Short Term Long Term Ordinary Income Total
CRM Long/Short Opportunities
Institutional Class $0.00 $0.00 $0.2744 $0.2744
CRM Small Cap Value
Institutional Class $0.00 $0.3445 $0.2509 $0.5954
Investor Class $0.00 $0.3445 $0.2251 $0.5696
CRM Small/Mid Cap Value
Institutional Class $0.00 $0.0004 $0.0855 $0.0859
Investor Class $0.00 $0.0004 $0.0674 $0.0678
CRM Mid Cap Value
Institutional Class $0.00 $1.1535 $0.2724 $1.4259
Investor Class $0.00 $1.1535 $0.2387 $1.3922
CRM All Cap Value
Institutional Class $0.0528 $0.0654 $0.0257 $0.1439
Investor Class $0.0528 $0.0654 $0.0079 $0.1261

2022_Apr Distributions

  • Date of Record: April 18, 2022
  • Ex-date: April 19, 2022
  • Payment Date: April 20, 2022
Name Short Term Long Term Ordinary Income Total
CRM Small Cap Value
Institutional Class $1.7766 $1.7766
Investor Class $1.7766 $1.7766

2022 Distributions

  • Date of Record: December 7, 2022
  • Ex-date: December 8, 2022
  • Payment Date: December 9, 2022
Name Short Term Long Term Ordinary Income Total
CRM Long/Short Opportunities
Institutional Class $0.1362 $0.0405 -- $0.1767
CRM Small Cap Value
Institutional Class $0.1786 $0.0525 $0.0782 $0.3093
Investor Class $0.1786 $0.0525 $0.0588 $0.2899
CRM Small/Mid Cap Value
Institutional Class $0.0337 $0.5371 $0.0799 $0.6507
Investor Class $0.0337 $0.5371 $0.0589 $0.6297
Institutional Class $0.1631 $0.5278 $0.2970 $0.9879
Investor Class $0.1631 $0.5278 $0.2596 $0.9505
CRM All Cap Value
Institutional Class $0.0585 $0.3883 $0.0305 $0.4773
Investor Class $0.0585 $0.3883 $0.0140 $0.4608

2021 Distributions

  • Date of Record: December 8, 2021
  • Ex-date: December 9, 2021
  • Payment Date: December 10, 2021
Name Short Term Long Term Ordinary Income Total
CRM Long/Short Opportunities
Institutional Class $0.0902 $0.0902
CRM Small Cap Value
Institutional Class $0.7659 $1.1347 $0.0500 $1.9506
Investor Class $0.7659 $1.1347 $0.0081 $1.9087
CRM Small/Mid Cap Value
Institutional Class $2.0786 $1.8868 $0.1930 $4.1584
Investor Class $2.0786 $1.8868 $0.1725 $4.1379
Institutional Class $0.6982 $4.0214 $0.3162 $5.0358
Investor Class $0.6982 $4.0214 $0.2613 $4.9809
CRM All Cap Value
Institutional Class $0.9216 $0.7672 $0.0619 $1.7507
Investor Class $0.9216 $0.7672 $0.0407 $1.7295

2020 Distributions

  • Date of Record: December 9, 2020
  • Ex-date: December 10, 2020
  • Payment Date: December 11, 2020
Name Short Term Long Term Ordinary Income Total
CRM Long/Short Opportunities
Institutional Class -- $0.5811 -- $0.5811
CRM Small Cap Value
Institutional Class -- -- $0.1035 $0.1035
Investor Class -- -- $0.0680 $0.0680
CRM Small/Mid Cap Value
Institutional Class $0.3751 $0.3334 $0.0534 $0.7619
Investor Class $0.3751 $0.3334 $0.0285 $0.7370
Institutional Class -- $0.3581 $0.1335 $0.4916
Investor Class -- $0.3581 $0.0887 $0.4468
CRM All Cap Value
Institutional Class -- $0.1852 $0.0396 $0.2248
Investor Class -- $0.1852 $0.0219 $0.2071

2019 Distributions

  • Date of Record: December 11, 2019
  • Ex-date: December 12, 2019
  • Payment Date: December 13, 2019
Name Short Term Long Term Ordinary Income Total
Institutional Class -- -- -- --
Institutional Class $0.1002500 $0.9645800 $0.0697000 $1.0648300
Investor Class $0.1002500 $0.9645800 $0.0297800 $1.0648300
Institutional Class -- $0.2947600 $0.0484800 $0.2947600
Investor Class -- $0.2947600 $0.0211600 $0.2947600
Institutional Class $0.0082800 $0.5272700 $0.1384000 $0.5355500
Investor Class $0.0082800 $0.5272700 $0.0930400 $0.5355500
Institutional Class $0.0925400 $0.3154100 $0.0278400 $0.4079500
Investor Class $0.0925400 $0.3154100 $0.0134800 $0.4079500

2018 Distributions

  • Date of Record: December 12, 2018
  • Ex-date: December 13, 2018
  • Payment Date: December 14, 2018
Name Short Term Long Term Ordinary Income Total
Institutional Class $0.087700 $0.0822500 -- $0.1630200
Institutional Class $0.4254100 $1.1403500 $0.0808700 $1.5657600
Investor Class $0.4254100 $1.1403500 $0.0368200 $1.5657600
Institutional Class $0.5405100 $1.2071000 $0.0305300 $1.7476100
Investor Class $0.5405100 $1.2071000 -- $1.7476100
Institutional Class $0.6881600 $1.1229600 $0.0845700 $1.8111200
Investor Class $0.6881600 $1.1229600 $0.0416700 $1.8111200
Institutional Class $0.2778500 $1.2930600 $0.0125700 $1.5709100
Investor Class $0.2778500 $1.2930600 -- $1.5709100

2017 Distributions

  • Date of Record: December 13, 2017
  • Ex-date: December 14, 2017
  • Payment Date: December 15, 2017
Name Short Term Long Term Ordinary Income Total
Institutional Class $0.0244300 -- -- $0.0244300
Institutional Class $1.3465300 $1.4332900 $0.1312400 $2.9110600
Investor Class $1.3465300 $1.4332900 $0.0876900 $2.8675100
Institutional Class -- $3.5919500 -- $3.5919500
Investor Class -- $3.5919500 -- $3.5919500
Institutional Class $0.2424600 $3.7816300 $0.3487000 $4.3727900
Investor Class $0.2424600 $3.7816300 $0.2920100 $4.3161000
Institutional Class $0.33678 $1.12063 -- $1.45741
Investor Class $0.33678 $1.12063 -- $1.45741
Institutional Class $0.6424400 $0.4070900 $0.0702400 $1.1197700
Investor Class $0.6424400 $0.4070900 $0.0449400 $1.0944700

2016 Distributions

  • Date of Record: December 7, 2016
  • Ex-date: December 8, 2016
  • Payment Date: December 9, 2016
Name Short Term Long Term Ordinary Income Total
Institutional Class $0.1309900 $1.1139900 $0.1197800 $1.36476
Investor Class $0.1309900 $1.1139900 $0.0816900 $1.32667
Institutional Class -- -- $0.3314100 $0.3314100
Investor Class -- -- $0.2961100 $0.2961100
Institutional Class $0.01141 $0.859 $0.03825 $0.87041
Investor Class $0.01141 $0.859 $0.00165 $0.87041
Institutional Class -- $0.3635000 $0.0555000 $0.41900
Investor Class -- $0.3635000 $0.0328400 $0.39634

2015 Distributions

  • Date of Record: December 9, 2015
  • Ex-date: December 10, 2015
  • Payment Date: December 11, 2015
Name Short Term Long Term Ordinary Income Total
Institutional Class $0.6436300 $2.8711100 $0.0756500 $3.5903900
Investor Class $0.6436300 $2.8711100 $0.0317400 $3.5464800
Institutional Class -- $1.4685000 -- $1.4685000
Investor Class -- $1.4685000 -- $1.4685000
Institutional Class $1.6272200 $5.9384300 $0.3605400 $7.9261900
Investor Class $1.6272200 $5.9384300 $0.3008800 $7.8665300
Institutional Class $0.3304000 $1.9828000 $0.0945000 $2.4077000
Investor Class $0.3304000 $1.9828000 $0.0667000 $2.3799000

2014 Distributions

  • Date of Record: December 10, 2014
  • Ex-date: December 11, 2014
  • Payment Date: December 12, 2014
Name Short Term Long Term Ordinary Income Total
Institutional Class $0.4774700 $4.3287700 $0.1246700 $4.9303100
Investor Class $0.4774700 $4.3287700 $0.0725300 $4.8787700
Institutional Class $0.8378500 $2.6386300 $0.2000200 $3.6765000
Investor Class $0.8378500 $2.636300 $0.0968500 $3.5733300
Institutional Class $1.5033500 $6.4482020 $0.2698800 $8.2214320
Investor Class $1.5033500 $6.4482020 $0.1886100 $8.1401620
Institutional Class $0.5822600 $2.1666400 $0.0556000 $2.8045000
Investor Class $0.5822600 $2.1666400 $0.0243500 $2.7732500

Shares of CRM Funds are distributed by ALPS Distributors, Inc.

Cramer Rosenthal McGlynn, LLC is the investment advisor to the CRM Funds and is not affiliated with ALPS.