THOMPKINS FINANCIAL ADVISORY SERVICE
PERFORMANCE SECTOR FUNDS

TABLE -1  HISTORICAL PERFORMANCE FIDELITY SECTOR FUNDS  USING OUR (Timing/Fund Selection) METHODOLOGY  (Actual real-time performance from 11/12/90 to present)
Purchase Date
12/21/87
12/29/89
3/8/90
5/8/90
11/12/90
12/23/91
10/19/92
7/18/94
1/4/95
1/19/96
8/2/96
4/30/97
10/21/98
10/28/99
4/25/00
6/1/00
1/16/01
4/18/01
10/26/01
1/3/02
2/27/02
5/2/02
8/19/02
10/18/02
1/3/03
2/21/03
4/2/03
4/22/04
5/25/04
8/27/04
9/30/04
2/04/05
4/25/05
5/17/05
10/31/05
6/02/06
6/30/06
7/24/06
1/11/07
3/21/07
4/20/07
6/15/07
8/24/07
12/7/07
2/27/08
4/1/08
8/11/08
12/16/08
01/29/09
03/23/09
06/19/09
07/15/09
11/05/09
02/17/10
Sell Date

12/18/89
1/16/90
4/19/90
7/24/90
12/10/91
10/5/92
3/29/94
11/17/94
12/18/95
7/11/96
3/31/97
8/4/98
10/18/99
4/14/00
5/23/00
9/22/00
2/22/01
8/30/01
1/3/02
2/21/02
4/26/02
6/3/02
9/13/02
12/31/02
1/21/03
3/31/03
4/19/04
4/30/04
07/21/04
09/27/04
01/21/05
3/22/05
5/13/05
10/7/05
5/11/06
6/12/06
7/14/06
11/10/06
3/2/07
4/20/07
6/12/07
7/27/07
11/09/07
01/04/08
03/7/08
06/12/08
09/18/08
01/14/09
02/27/09
06/19/09
07/07/09
10/28/09
03/0510
03/12/10
Fund Purchased

Telecommunication
Utility
Electronic
Biotechnology
Biotechnology
Home Finance
Electronic
Electronic
Electronic
Home Finance
Home Finance
Brokerage
Electronic
Electronic
Natural Gas
Natural Gas
Energy Service
Home Finance
Biotechnology
Electronic
Air Transportation
Home Finance
Home Finance
Software
Brokerage
Computer
Brokerage
Dvlp. Comm
Natural Gas
Biotechnology
Technology
Electronics
Natural Gas
Electronics
Network Infra.
Energy Service
Bus-Ser/Outsource
Pharmaceutical
Technology
Comm. Eqpt.
Brokerage
Medical Equipment
Wireless
Chemical
Industrial Portfolio
Energy Service
Retailing
Air Transportation
Medical Eqpt
Retailing
Brokerage
Insurance
Medical Eqpt.
* Holding
Profit/Loss (%)
89.9
-3.4
2.0
21.0
94.7
27.3
57.8
9.2
59.2
6.9
23.1
71.5
109.0
51.0
10.1
7.4
4.2
3.3
-3.1
-16.2 **
-2.8
-.91
-6.1
10.3
-3.9
-.98
44.31
-11.71
8.58
2.86
5.93
-.95
-10.43
6.90
15.11
-13.35
-4.28
3.12
-2.13
1.08
.26
-.12
2.17
-3.87
-3.48
19.44
-.3.20
2.14
-14.31
12.49
-3.53
18.96
6.33
5.72
YEAR


1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001  
2002
2003
2004
2005
2006
2007
2008
2009

Compounded
Annual Return
1990 - 2009
FIDELITY SECTOR FUND ANNUAL PERFORMANCE (%)
24.0
51.0
22.5
94.0
54.0
27.0
12.6
59.2
29.0
51.0
67.7
104.0
33.0
9.6
-16.7
34.30
16.69
-8.03
-6.42
.35
12.17
15.29

26.56
S&P 500 ANNUAL
PERFORMANCE (%)

16.5
31.6
-3.1
30.4
7.6
7.0
1.3
34.1
20.3
33.4
26.7
19.5
-10.1
-13.0
-23.2
26.38
9.0
3.00
13.61
3.53
-38.49
23.45

7.42
* Recommended fund is identified to the subscribers on the date of the buy signal.  For non-subscribers, fund is identified when it is sold.

** Computerized model went awry following 13 years of succesful performance.  Incorporated stop-loss and capital preservation fuctions into the model.  And then reworked, tested and implemented revised model.  Future signals will be derived using revised model.

Note:  There is no guarantee that future performance will be the same as past performance.  As with any investment program, you may lose money following the advice emanating from this website.
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