0001162044-13-000035.txt : 20130110 0001162044-13-000035.hdr.sgml : 20130110 20130110143844 ACCESSION NUMBER: 0001162044-13-000035 CONFORMED SUBMISSION TYPE: 485BPOS PUBLIC DOCUMENT COUNT: 9 FILED AS OF DATE: 20130110 DATE AS OF CHANGE: 20130110 EFFECTIVENESS DATE: 20130110 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SPARROW FUNDS CENTRAL INDEX KEY: 0001066241 IRS NUMBER: 000000000 STATE OF INCORPORATION: OH FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1933 Act SEC FILE NUMBER: 333-59877 FILM NUMBER: 13522629 BUSINESS ADDRESS: STREET 1: 11330 OLIVE BOULEVARD STREET 2: SUITE 230 CITY: ST LOUIS STATE: MO ZIP: 63141 BUSINESS PHONE: 3147256161 MAIL ADDRESS: STREET 1: 11330 OLIVE BOULEVARD STREET 2: SUITE 230 CITY: ST LOUIS STATE: MO ZIP: 63141 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SPARROW FUNDS CENTRAL INDEX KEY: 0001066241 IRS NUMBER: 000000000 STATE OF INCORPORATION: OH FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1940 Act SEC FILE NUMBER: 811-08897 FILM NUMBER: 13522630 BUSINESS ADDRESS: STREET 1: 11330 OLIVE BOULEVARD STREET 2: SUITE 230 CITY: ST LOUIS STATE: MO ZIP: 63141 BUSINESS PHONE: 3147256161 MAIL ADDRESS: STREET 1: 11330 OLIVE BOULEVARD STREET 2: SUITE 230 CITY: ST LOUIS STATE: MO ZIP: 63141 0001066241 S000000502 Sparrow Growth Fund C000001375 No Load SGFNX 485BPOS 1 sparrownoloadpeacoverportion.htm XBRL Filing






UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-1A

REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933

o


Pre-Effective Amendment No.

o


Post-Effective Amendment No. 22

x


 

and/or

 REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940            x

Post-Effective Amendment No. 24  

 

SPARROW FUNDS – File Nos. 333-59877 and 811-08897

(Exact Name of Registrant as Specified In Charter)

 

211 North Broadway

Suite 2080

St. Louis, Missouri  63102

 

(Address of Principal Executive Offices) (Zip Code)

 

Registrant’s Telephone Number, Including Area Code: (314) 725-6161

 

Gerald R. Sparrow

President

211 North Broadway

Suite 2080

St. Louis, Missouri  63102

 

(Name and Address of Agent for Service)

 

Copies to:

JoAnn M. Strasser

Thompson Hine LLP

41 S. High Walnut Street, 17th Floor

Columbus, Ohio 43215

 

It is proposed that this filing will become effective:

 

ý

immediately upon filing pursuant to paragraph (b)

 

o

on (date) pursuant to paragraph (b)

 

o

60 days after filing pursuant to paragraph (a)(1)

 

o

on (date) pursuant to paragraph (a)(1)

 

o

75 days after filing pursuant to paragraph (a)(2)

 

o

on (date) pursuant to paragraph (a)(2) of rule 485

 

If appropriate check this box:  o  this post-effective amendment designates a new effective date for a previously filed post-effective amendment




SIGNATURES

 

          Pursuant to the requirements of the Securities Act of 1933, as amended, and the Investment Company Act of 1940, as amended, the Registrant certifies that it meets all of the requirements for effectiveness of this registration statement under rule 485(b) under the Securities Act and has duly caused this Post-Effective Amendment No. 21 to its Registration Statement on Form N-1A to be signed on its behalf by the undersigned, thereto duly authorized, in the City of  Columbus, State of Ohio, on the 10th day of January, 2013.

 

Sparrow Funds

 

 

By:

/s/ JoAnn M. Strasser

 

  JoAnn M. Strasser, Attorney-in-Fact

 

 


          Pursuant to the requirements of the Securities Act of 1933, this Registration Statement has been signed below by the following persons in the capacities indicated on January 10, 2013.

 

Gerald R. Sparrow*

Trustee, President (Principal Executive Officer), and Treasurer (Principal Financial Officer/Principal Accounting Officer)


Richard Priest*

Trustee


Donald D. Woodruff*

Trustee

 

By:/s/ JoAnn M. Strasser


*JoAnn M. Strasser, Attorney-in-Fact

 


Exhibit Index


Index No Description of Exhibit

1.

EX-101.INS

XBRL Instance Document

2.

EX-101.SCH

XBRL Taxonomy Extension Schema Document

3.

EX-101.CAL

XBRL Taxonomy Extension Calculation Linkbase

4.

EX-101.DEF

XBRL Taxonomy Extension Definition Linkbase

5.

EX-101.LAB

XBRL Taxonomy Extension Labels Linkbase

6.

EX-101.PRE ………………………………………….XBRL Taxonomy Extension Presentation Linkbase








EX-101.PRE 3 sgnfx-20121231_pre.xml EX-101.INS 4 sgnfx-20121231.xml 485BPOS 2012-08-31 false Sparrow Funds 0001066241 2012-12-31 <div style="display:none">~ http://xbrl.sec.gov/rr/role/ShareholderFeesData column dei_LegalEntityAxis compact fil_S000000502Member column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <div style="display:none">~ http://xbrl.sec.gov/rr/role/OperatingExpensesData column dei_LegalEntityAxis compact fil_S000000502Member column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> 0 0 <div style="display:none">~ http://xbrl.sec.gov/rr/role/RiskReturnDetailData row dei_DocumentInformationDocumentAxis compact * row dei_LegalEntityAxis compact * row rr_ProspectusShareClassAxis compact * row rr_PerformanceMeasureAxis compact * row primary compact * ~</div> 0.0100 0.0025 0.0110 0.0235 <div style="display:none">~ http://xbrl.sec.gov/rr/role/ExpenseExample column dei_LegalEntityAxis compact fil_S000000502Member column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <div style="display:none">~ http://xbrl.sec.gov/rr/role/ExpenseExampleNoRedemption column dei_LegalEntityAxis compact fil_S000000502Member column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <div style="display:none">~ http://xbrl.sec.gov/rr/role/PerformanceTableData column dei_LegalEntityAxis compact fil_S000000502Member row primary compact * ~</div> <div style="display:none">~ http://xbrl.sec.gov/rr/role/MarketIndexPerformanceData column dei_LegalEntityAxis compact fil_S000000502Member row primary compact * row rr_PerformanceMeasureAxis compact * ~</div> 238 733 1255 2686 <div style="display:none">~ http://xbrl.sec.gov/rr/role/BarChartData column period compact * row dei_LegalEntityAxis compact fil_S000000502Member row primary compact * ~</div> -0.2163 0.3024 0.0559 0.0642 0.1486 0.0913 -0.4645 0.1993 0.1345 0.0451 0.0382 -0.0363 0.0083 0.0382 -0.0371 0.0079 0.0248 -0.0310 0.0069 0.0209 -0.0025 0.0292 <p><b>Investment Objective</b></p> <p>The investment objective of the Sparrow Growth Fund is long-term capital appreciation. </p> <p><b>Fees and Expenses of the Fund&#8217;s No-Load Class</b></p> <p>This table describes the fees and expenses that you may pay if you buy and hold No-Load Class shares of the Fund.</p> <p><b>Shareholder Fees (fees paid directly from your investment)</b></p> <p><b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b></p> <p><b>Example</b></p> <p>The example below is intended to help you compare the cost of investing in the Fund&#8217;s No-Load Class with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the Fund&#8217;s No-Load Class for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s No-Load Class&#8217; operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:</p> <p><b>Portfolio Turnover</b></p> <p>The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 149.36% of the average value of its portfolio.</p> <p><b>Principal Investment Strategies of the Fund</b></p> <p>The Fund typically invests in a broad range of foreign and U.S. common stocks which Sparrow Capital Management, Inc., the Fund&#8217;s adviser, believes have above-average prospects for appreciation, based on a proprietary investment model developed by the adviser.&#160; The model looks at a variety of factors to select stocks that the adviser believes demonstrate strong earnings momentum.&#160; These growth momentum factors include expanding profit margins, accelerating earnings, positive earnings surprises, positive earnings estimate revisions, and positive relative price strength.</p> <p>&nbsp;</p> <p>The Fund may invest in stocks of all market capitalization ranges based on the adviser&#8217;s assessment of the relative opportunities and risks of each category.&#160; The Fund may invest without limitation in stocks of foreign issuers operating in developed or emerging markets through American Depositary Receipts (&#8220;ADRs&#8221;).&#160; The Fund may also invest without limitation in one or more underlying investment companies whose investments conform to the Fund&#8217;s investment limitations or investment policies, such as open-end mutual funds and exchange-traded funds (&#8220;ETFs&#8221;) that invest in equity securities represented by various indices (including foreign indices).&#160; Stocks are sold when there is a significant decline in earnings momentum, a better stock is found, or a significant breakdown in relative price performance occurs.</p> <p>&nbsp;</p> <p>The Fund may invest up to 15% of its assets in corporate and government bonds that are rated investment grade at the time of purchase (BBB/Baa or higher by S&amp;P or Moody&#8217;s or, unrated, but determined to be of comparable quality by the adviser).</p> <p><b>Principal Risks of Investing in the Fund</b></p> <p>All mutual funds carry a certain amount of risk.&#160; An investment in the Fund is not a deposit of any bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency.&#160; The Fund is not a complete investment program.&#160; As with any mutual fund investment, the Fund&#8217;s returns will vary and you could lose money.&#160; The following are the principal risks of investing in the Fund:</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Market Risk.</b>&#160; Overall stock market risks may affect the value of the Fund.&#160; Factors such as domestic economic growth and market conditions, interest rate levels, and political events affect the securities markets and could cause the Fund&#8217;s share price to fall.</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Company Risk.</b>&#160; The value of the Fund may decrease in response to the activities and financial prospects of an individual company in the Fund&#8217;s portfolio.&#160; The value of an individual company can be more volatile than the market as a whole.</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Growth Style Investing Risk.</b>&#160; If the adviser&#8217;s perceptions of a company&#8217;s growth potential are wrong, the securities purchased may not perform as expected, reducing the Fund&#8217;s return.</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Management Risk.</b>&#160; If the adviser&#8217;s assessment of the prospects for individual securities is incorrect, it could result in significant losses in the Fund&#8217;s investment in those securities, which can also result in possible losses overall for the Fund.&#160; </p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Mid Cap Risk.</b> Stocks of mid-cap companies are more risky than stocks of larger companies. Many of these companies are young and have a limited track record. Their securities may trade less frequently and in more limited volume than those of more mature companies.&#160; Mid-cap companies also may lack the managerial, financial or other resources necessary to implement their business plans or succeed in the face of competition. </p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Small Cap Risk.</b> To the extent the Fund invests in small-cap companies, the Fund will be subject to additional risks. These include:</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The earnings and prospects of smaller companies are more volatile than larger companies.</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Smaller companies may experience higher failure rates than do larger companies.</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The trading volume of securities of smaller companies is normally less than that of larger companies and, therefore, may disproportionately affect their market price, tending to make them fall more in response to selling pressure than is the case with larger companies.</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Smaller companies may have limited markets, product lines or financial resources and may lack management experience.</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Fixed Income Risk.</b>&#160; The issuer of a bonds may not be able to make interest and principal payments when due.&#160; Generally, the lower the credit rating of a security, the greater the risk that the issuer will default on its obligation.&#160; If a rating agency gives a debt security a lower rating, the value of the debt security will decline because investors will demand a higher rate of return.&#160; The value of fixed income securities generally decreases when interest rates rise and increases when interest rates fall.&#160; </p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Foreign and Emerging Markets Securities Risk.</b>&#160; Common stocks of companies in foreign countries may experience more rapid and extreme changes in value than securities of U.S. companies because the securities markets of many foreign countries are relatively smaller than those in the U.S.&#160; Foreign issuers are not subject to the same degree of regulation as U.S. issuers.&#160; Also, nationalization, expropriation or confiscatory taxation or political changes could adversely affect the Fund&#8217;s investments in a foreign country.&#160; There is a risk that fluctuations in the exchange rates between the U.S. dollar and foreign currencies may negatively affect the value of the Fund&#8217;s investments in foreign securities.&#160; To the extent that the Fund invests in securities of foreign companies located in emerging markets, it will be subject to additional risks that can increase the potential for losses in the Fund.&#160; </p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Sector Risk.</b>&#160; If the Fund&#8217;s portfolio is overweighted in a certain industry sector, any negative development affecting that sector will have a greater impact on the Fund than a fund that is not overweighted in that sector.&#160; </p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>ETF and Other Investment Company Risk.</b>&#160; When the Fund invests in ETFs and other investment companies, it will indirectly bear its proportionate share of any fees and expenses payable directly by the underlying ETF or other investment company.&#160; Therefore, the Fund will incur higher expenses. In addition, ETFs are also subject to the following risks: (i) the market price of an ETF&#8217;s shares may trade above or below its net asset value; (ii) an active trading market for an ETF&#8217;s shares may not develop or be maintained; (iii) trading of an ETF&#8217;s shares may be halted if the listing exchange&#8217;s officials deem such action appropriate, the shares are de-listed from the exchange, or the activation of market-wide &#8220;circuit breakers&#8221; (which are tied to large decreases in stock prices) halts stock trading generally; or (iv) the ETF may fail to achieve close correlation with the index that it&#160; tracks due to a variety of factors, such as rounding of prices and changes to the index and/or&#160; regulatory policies, resulting in the deviating of the ETF&#8217;s returns from that of the index.</p> <p>&nbsp;</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; <b>Portfolio Turnover Risk.</b>&#160; The Fund may experience high portfolio turnover.&#160; Increased portfolio turnover may cause the Fund to incur higher brokerage costs, which may adversely affect the Fund&#8217;s performance, and may produce taxable distributions, significant portions of which are short term capital gains that are taxable as ordinary income. </p> <p>&nbsp;</p> <p><b>Is the Fund Right for You?</b></p> <p>The Fund may be suitable for:</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Long-term investors seeking a mutual fund with a growth investment strategy</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Investors willing to accept price fluctuations in their investment</p> <p>&#61623;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Investors who can tolerate the risks associated with common stocks </p> <p><b>Performance</b></p> <p>The following bar chart and table provide some indication of the risks of investing in the Fund&#8217;s No-Load Class by showing changes in the Fund&#8217;s No-Load Class&#8217; performance from year to year and by showing how the Fund&#8217;s No-Load Class&#8217; average annual returns for 1-year, 5-year and 10-year periods and for the life of the Fund compare with those of a broad measure of market performance. To obtain updated performance information, please call (888) 727-3301. The Fund&#8217;s past performance, before and after taxes, is not necessarily an indication of its future performance.</p> <p><b>No-Load Class Annual Total Returns as of December 31<sup>st</sup></b></p> <p>* The Fund&#8217;s No-Load Class year-to-date performance as of September 30, 2012 was 11.99%.</p> <p>&nbsp;</p> <p>&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; During the period shown in the chart for the No-Load Class, the highest return for a quarter was 14.16% (quarter ended June 30, 2003); and the lowest return was -26.87% (quarter ended December 31, 2008).&#160; Prior to October 1, 2008, the Fund&#8217;s No-Load Class shares were called Class C shares, and the fee structure was changed.&#160; Those shares sold before October 1, 2008 were subject to a contingent deferred sales load, which is not reflected in returns set forth in the bar chart above.&#160; If the contingent deferred sales load was included, the returns would be less than those shown.&#160; The Fund&#8217;s current Class C share class recently commenced operations and is offered under a separate prospectus.</p> <p style="text-align:justify"><b>Average Annual Total Returns </b></p> <p style="text-align:justify"><b><i>(For the periods ended December 31, 2011)</i></b></p> <p>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.&#160; Actual after-tax returns depend on an investor&#8217;s tax situation and may differ from those shown, and after-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts.&#160; After-tax returns are shown for only the Fund&#8217;s No-Load Class, and after-tax returns for other classes will vary.</p> 1.4936 <font style="font-size:12.0pt; font-family:Times New Roman">As with any mutual fund investment, the Fund&#8217;s returns will vary and you could lose money.</font> <p>The Fund&#8217;s past performance, before and after taxes, is not necessarily an indication of its future performance.</p> <font style="font-size:12.0pt; font-family:Times New Roman">888-727-3301</font> <font style="font-size:12.0pt; font-family:Times New Roman">Highest return for a quarter </font> 2003-06-30 .1416 <font style="font-size:12.0pt; font-family:Times New Roman">Lowest return for a quarter </font> 2008-12-31 -.2687 <font style="font-size:12.0pt; font-family:Times New Roman">After-tax returns are calculated using the historical highest individual federal marginal income tax rates </font> <font style="font-size:12.0pt; font-family:Times New Roman">after-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts.</font> 0001066241 2012-12-31 2012-12-31 0001066241 fil:S000000502Member 2012-12-31 2012-12-31 0001066241 fil:S000000502Memberfil:C000001375Member 2012-12-31 2012-12-31 0001066241 fil:S000000502Memberfil:C000001375Memberrr:AfterTaxesOnDistributionsMember 2012-12-31 2012-12-31 0001066241 fil:S000000502Memberfil:C000001375Memberrr:AfterTaxesOnDistributionsAndSalesMember 2012-12-31 2012-12-31 0001066241 fil:S000000502Memberfil:SMember 2012-12-31 2012-12-31 pure iso4217:USD EX-101.SCH 5 sgnfx-20121231.xsd EX-101.CAL 6 sgnfx-20121231_cal.xml EX-101.DEF 7 sgnfx-20121231_def.xml EX-101.LAB 8 sgnfx-20121231_lab.xml Series [Axis] Series [Axis] Series Series Sparrow Growth Fund Sparrow Growth Fund Share Class [Axis] Share Class [Axis] Share Classes Share Classes No Load No Load {1375} Performance Measure [Axis] Performance Measure [Axis] Before Taxes Before Taxes Return After Taxes on Distributions Return After Taxes on Distributions Return After Taxes on Distributions and Sale of Fund Shares Return After Taxes on Distributions and Sale of Fund Shares - Comparison Index - S&P 500 Index (reflects no deduction for fees, expenses or taxes) - Comparison Index - S&P 500 Index (reflects no deduction for fees, expenses or taxes) Risk/Return: Risk/Return: Objective [Heading] Objective [Heading] Objective, Primary [Text Block] Objective, Primary [Text Block] Expense [Heading] Expense [Heading] Expense Narrative [Text Block] Expense Narrative [Text Block] Shareholder Fees Caption [Text] Shareholder Fees Caption [Text] Shareholder Fees [Table] Shareholder Fees [Table] Operating Expenses Caption [Text] Operating Expenses Caption [Text] Annual Fund Operating Expenses [Table] Annual Fund Operating Expenses [Table] Expense Example [Heading] Expense Example [Heading] Expense Example Narrative [Text Block] Expense Example Narrative [Text Block] Expense Example, With Redemption [Table] Expense Example, With Redemption [Table] Expense Example, No Redemption [Table] Expense Example, No Redemption [Table] Portfolio Turnover [Heading] Portfolio Turnover [Heading] Portfolio Turnover [Text Block] Portfolio Turnover [Text Block] Strategy [Heading] Strategy [Heading] Strategy Narrative [Text Block] Strategy Narrative [Text Block] Risk [Heading] Risk [Heading] Risk Narrative [Text Block] Risk Narrative [Text Block] Bar Chart and Performance Table [Heading] Bar Chart and Performance Table [Heading] Performance Narrative [Text Block] Performance Narrative [Text Block] Bar Chart [Heading] Bar Chart [Heading] Bar Chart [Table] Bar Chart [Table] Bar Chart Closing [Text Block] Bar Chart Closing [Text Block] Performance Table Heading Performance Table Heading Performance Table Narrative Performance Table Narrative Performance [Table] Performance [Table] Market Index Performance [Table] Market Index Performance [Table] Shareholder Fees: Shareholder Fees: Maximum Sales Charge (Load) Imposed on Purchases Maximum Sales Charge (Load) Imposed on Purchases Maximum Sales Charge (Load) Imposed on Reinvested Dividends Maximum Sales Charge (Load) Imposed on Reinvested Dividends Operating Expenses: Operating Expenses: Management Fees Management Fees Distribution (12b-1) Fees Distribution (12b-1) Fees Other Expenses Other Expenses Total Annual Fund Operating Expenses Total Annual Fund Operating Expenses Expense Example: Expense Example: 1 Year Expense Example, with Redemption, 1 Year 3 Years Expense Example, with Redemption, 3 Years 5 Years Expense Example, with Redemption, 5 Years 10 Years Expense Example, with Redemption, 10 Years Bar Chart Table: Bar Chart Table: Annual Return 2002 Annual Return 2002 Annual Return 2003 Annual Return 2003 Annual Return 2004 Annual Return 2004 Annual Return 2005 Annual Return 2005 Annual Return 2006 Annual Return 2006 Annual Return 2007 Annual Return 2007 Annual Return 2008 Annual Return 2008 Annual Return 2009 Annual Return 2009 Annual Return 2010 Annual Return 2010 Annual Return 2011 Annual Return 2011 Average Annual Return: Average Annual Return: 1 Year 1 Year 5 Years 5 Years 10 Years 10 Years Risk/Return Detail [Table] Risk/Return Detail [Table] Document Type Document Type Document Period End Date Document Period End Date Registrant Name Registrant Name Central Index Key Central Index Key Amendment Flag Amendment Flag Prospectus Date Prospectus Date Portfolio Turnover, Rate Portfolio Turnover, Rate Risk Lose Money [Text] Risk Lose Money [Text] Performance Availability Phone [Text] Performance Availability Phone [Text] Performance Past Does Not Indicate Future [Text] Performance Past Does Not Indicate Future [Text] Label Highest Quarterly Return, Label Highest Quarterly Return, Date Highest Quarterly Return, Date Highest Quarterly Return Highest Quarterly Return Label Lowest Quarterly Return, Label Lowest Quarterly Return, Date Lowest Quarterly Return, Date Lowest Quarterly Return Lowest Quarterly Return Performance Table Uses Highest Federal Rate Performance Table Uses Highest Federal Rate Performance Table Not Relevant to Tax Deferred Performance Table Not Relevant to Tax Deferred GRAPHIC 9 xbrlcoverletternoload002.jpg begin 644 xbrlcoverletternoload002.jpg M_]C_X``02D9)1@`!`0$`8`!@``#_VP!#``@&!@<&!0@'!P<)"0@*#!0-#`L+ M#!D2$P\4'1H?'AT:'!P@)"XG("(L(QP<*#7J#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBIJK*SM+6VM[BYNL+#Q,7& MQ\C)RM+3U-76U]C9VN'BX^3EYN?HZ>KQ\O/T]?;W^/GZ_\0`'P$``P$!`0$! 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XML 15 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Document Type dei_DocumentType 485BPOS
Document Period End Date dei_DocumentPeriodEndDate Aug. 31, 2012
Registrant Name dei_EntityRegistrantName Sparrow Funds
Central Index Key dei_EntityCentralIndexKey 0001066241
Amendment Flag dei_AmendmentFlag false
Prospectus Date rr_ProspectusDate Dec. 31, 2012
Sparrow Growth Fund
 
Risk/Return: rr_RiskReturnAbstract  
Objective [Heading] rr_ObjectiveHeading

Investment Objective

Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock

The investment objective of the Sparrow Growth Fund is long-term capital appreciation.

Expense [Heading] rr_ExpenseHeading

Fees and Expenses of the Fund’s No-Load Class

Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock

This table describes the fees and expenses that you may pay if you buy and hold No-Load Class shares of the Fund.

Shareholder Fees Caption [Text] rr_ShareholderFeesCaption

Shareholder Fees (fees paid directly from your investment)

Operating Expenses Caption [Text] rr_OperatingExpensesCaption

Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)

Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading

Portfolio Turnover

Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock

The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 149.36% of the average value of its portfolio.

Portfolio Turnover, Rate rr_PortfolioTurnoverRate 149.36%
Expense Example [Heading] rr_ExpenseExampleHeading

Example

Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock

The example below is intended to help you compare the cost of investing in the Fund’s No-Load Class with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the Fund’s No-Load Class for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s No-Load Class’ operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:

Strategy [Heading] rr_StrategyHeading

Principal Investment Strategies of the Fund

Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock

The Fund typically invests in a broad range of foreign and U.S. common stocks which Sparrow Capital Management, Inc., the Fund’s adviser, believes have above-average prospects for appreciation, based on a proprietary investment model developed by the adviser.  The model looks at a variety of factors to select stocks that the adviser believes demonstrate strong earnings momentum.  These growth momentum factors include expanding profit margins, accelerating earnings, positive earnings surprises, positive earnings estimate revisions, and positive relative price strength.

 

The Fund may invest in stocks of all market capitalization ranges based on the adviser’s assessment of the relative opportunities and risks of each category.  The Fund may invest without limitation in stocks of foreign issuers operating in developed or emerging markets through American Depositary Receipts (“ADRs”).  The Fund may also invest without limitation in one or more underlying investment companies whose investments conform to the Fund’s investment limitations or investment policies, such as open-end mutual funds and exchange-traded funds (“ETFs”) that invest in equity securities represented by various indices (including foreign indices).  Stocks are sold when there is a significant decline in earnings momentum, a better stock is found, or a significant breakdown in relative price performance occurs.

 

The Fund may invest up to 15% of its assets in corporate and government bonds that are rated investment grade at the time of purchase (BBB/Baa or higher by S&P or Moody’s or, unrated, but determined to be of comparable quality by the adviser).

Risk [Heading] rr_RiskHeading

Principal Risks of Investing in the Fund

Risk Narrative [Text Block] rr_RiskNarrativeTextBlock

All mutual funds carry a certain amount of risk.  An investment in the Fund is not a deposit of any bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency.  The Fund is not a complete investment program.  As with any mutual fund investment, the Fund’s returns will vary and you could lose money.  The following are the principal risks of investing in the Fund:

 

         Market Risk.  Overall stock market risks may affect the value of the Fund.  Factors such as domestic economic growth and market conditions, interest rate levels, and political events affect the securities markets and could cause the Fund’s share price to fall.

 

         Company Risk.  The value of the Fund may decrease in response to the activities and financial prospects of an individual company in the Fund’s portfolio.  The value of an individual company can be more volatile than the market as a whole.

 

         Growth Style Investing Risk.  If the adviser’s perceptions of a company’s growth potential are wrong, the securities purchased may not perform as expected, reducing the Fund’s return.

 

         Management Risk.  If the adviser’s assessment of the prospects for individual securities is incorrect, it could result in significant losses in the Fund’s investment in those securities, which can also result in possible losses overall for the Fund. 

         Mid Cap Risk. Stocks of mid-cap companies are more risky than stocks of larger companies. Many of these companies are young and have a limited track record. Their securities may trade less frequently and in more limited volume than those of more mature companies.  Mid-cap companies also may lack the managerial, financial or other resources necessary to implement their business plans or succeed in the face of competition.

         Small Cap Risk. To the extent the Fund invests in small-cap companies, the Fund will be subject to additional risks. These include:

         The earnings and prospects of smaller companies are more volatile than larger companies.

         Smaller companies may experience higher failure rates than do larger companies.

         The trading volume of securities of smaller companies is normally less than that of larger companies and, therefore, may disproportionately affect their market price, tending to make them fall more in response to selling pressure than is the case with larger companies.

         Smaller companies may have limited markets, product lines or financial resources and may lack management experience.

 

         Fixed Income Risk.  The issuer of a bonds may not be able to make interest and principal payments when due.  Generally, the lower the credit rating of a security, the greater the risk that the issuer will default on its obligation.  If a rating agency gives a debt security a lower rating, the value of the debt security will decline because investors will demand a higher rate of return.  The value of fixed income securities generally decreases when interest rates rise and increases when interest rates fall. 

 

         Foreign and Emerging Markets Securities Risk.  Common stocks of companies in foreign countries may experience more rapid and extreme changes in value than securities of U.S. companies because the securities markets of many foreign countries are relatively smaller than those in the U.S.  Foreign issuers are not subject to the same degree of regulation as U.S. issuers.  Also, nationalization, expropriation or confiscatory taxation or political changes could adversely affect the Fund’s investments in a foreign country.  There is a risk that fluctuations in the exchange rates between the U.S. dollar and foreign currencies may negatively affect the value of the Fund’s investments in foreign securities.  To the extent that the Fund invests in securities of foreign companies located in emerging markets, it will be subject to additional risks that can increase the potential for losses in the Fund. 

 

         Sector Risk.  If the Fund’s portfolio is overweighted in a certain industry sector, any negative development affecting that sector will have a greater impact on the Fund than a fund that is not overweighted in that sector. 

 

         ETF and Other Investment Company Risk.  When the Fund invests in ETFs and other investment companies, it will indirectly bear its proportionate share of any fees and expenses payable directly by the underlying ETF or other investment company.  Therefore, the Fund will incur higher expenses. In addition, ETFs are also subject to the following risks: (i) the market price of an ETF’s shares may trade above or below its net asset value; (ii) an active trading market for an ETF’s shares may not develop or be maintained; (iii) trading of an ETF’s shares may be halted if the listing exchange’s officials deem such action appropriate, the shares are de-listed from the exchange, or the activation of market-wide “circuit breakers” (which are tied to large decreases in stock prices) halts stock trading generally; or (iv) the ETF may fail to achieve close correlation with the index that it  tracks due to a variety of factors, such as rounding of prices and changes to the index and/or  regulatory policies, resulting in the deviating of the ETF’s returns from that of the index.

 

         Portfolio Turnover Risk.  The Fund may experience high portfolio turnover.  Increased portfolio turnover may cause the Fund to incur higher brokerage costs, which may adversely affect the Fund’s performance, and may produce taxable distributions, significant portions of which are short term capital gains that are taxable as ordinary income.

 

Is the Fund Right for You?

The Fund may be suitable for:

         Long-term investors seeking a mutual fund with a growth investment strategy

         Investors willing to accept price fluctuations in their investment

         Investors who can tolerate the risks associated with common stocks

Risk Lose Money [Text] rr_RiskLoseMoney As with any mutual fund investment, the Fund’s returns will vary and you could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading

Performance

Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock

The following bar chart and table provide some indication of the risks of investing in the Fund’s No-Load Class by showing changes in the Fund’s No-Load Class’ performance from year to year and by showing how the Fund’s No-Load Class’ average annual returns for 1-year, 5-year and 10-year periods and for the life of the Fund compare with those of a broad measure of market performance. To obtain updated performance information, please call (888) 727-3301. The Fund’s past performance, before and after taxes, is not necessarily an indication of its future performance.

Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 888-727-3301
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture

The Fund’s past performance, before and after taxes, is not necessarily an indication of its future performance.

Bar Chart [Heading] rr_BarChartHeading

No-Load Class Annual Total Returns as of December 31st

Annual Return 2002 rr_AnnualReturn2002 (21.63%)
Annual Return 2003 rr_AnnualReturn2003 30.24%
Annual Return 2004 rr_AnnualReturn2004 5.59%
Annual Return 2005 rr_AnnualReturn2005 6.42%
Annual Return 2006 rr_AnnualReturn2006 14.86%
Annual Return 2007 rr_AnnualReturn2007 9.13%
Annual Return 2008 rr_AnnualReturn2008 (46.45%)
Annual Return 2009 rr_AnnualReturn2009 19.93%
Annual Return 2010 rr_AnnualReturn2010 13.45%
Annual Return 2011 rr_AnnualReturn2011 4.51%
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

* The Fund’s No-Load Class year-to-date performance as of September 30, 2012 was 11.99%.

 

            During the period shown in the chart for the No-Load Class, the highest return for a quarter was 14.16% (quarter ended June 30, 2003); and the lowest return was -26.87% (quarter ended December 31, 2008).  Prior to October 1, 2008, the Fund’s No-Load Class shares were called Class C shares, and the fee structure was changed.  Those shares sold before October 1, 2008 were subject to a contingent deferred sales load, which is not reflected in returns set forth in the bar chart above.  If the contingent deferred sales load was included, the returns would be less than those shown.  The Fund’s current Class C share class recently commenced operations and is offered under a separate prospectus.

Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Highest return for a quarter
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2003
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 14.16%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Lowest return for a quarter
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (26.87%)
Performance Table Heading rr_PerformanceTableHeading

Average Annual Total Returns

(For the periods ended December 31, 2011)

Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred after-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts.
Performance Table Narrative rr_PerformanceTableNarrativeTextBlock

After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.  Actual after-tax returns depend on an investor’s tax situation and may differ from those shown, and after-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts.  After-tax returns are shown for only the Fund’s No-Load Class, and after-tax returns for other classes will vary.

Sparrow Growth Fund | - Comparison Index - S&P 500 Index (reflects no deduction for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 2.09%
5 Years rr_AverageAnnualReturnYear05 (0.25%)
10 Years rr_AverageAnnualReturnYear10 2.92%
Sparrow Growth Fund | No Load
 
Risk/Return: rr_RiskReturnAbstract  
Maximum Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Maximum Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Management Fees rr_ManagementFeesOverAssets 1.00%
Distribution (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets 0.25%
Other Expenses rr_OtherExpensesOverAssets 1.10%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 2.35%
Expense Example, with Redemption, 1 Year rr_ExpenseExampleYear01 238
Expense Example, with Redemption, 3 Years rr_ExpenseExampleYear03 733
Expense Example, with Redemption, 5 Years rr_ExpenseExampleYear05 1,255
Expense Example, with Redemption, 10 Years rr_ExpenseExampleYear10 2,686
1 Year rr_AverageAnnualReturnYear01 3.82%
5 Years rr_AverageAnnualReturnYear05 (3.63%)
10 Years rr_AverageAnnualReturnYear10 0.83%
Sparrow Growth Fund | No Load | Return After Taxes on Distributions
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 3.82%
5 Years rr_AverageAnnualReturnYear05 (3.71%)
10 Years rr_AverageAnnualReturnYear10 0.79%
Sparrow Growth Fund | No Load | Return After Taxes on Distributions and Sale of Fund Shares
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 2.48%
5 Years rr_AverageAnnualReturnYear05 (3.10%)
10 Years rr_AverageAnnualReturnYear10 0.69%
XML 16 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Sparrow Growth Fund

Investment Objective

The investment objective of the Sparrow Growth Fund is long-term capital appreciation.

Fees and Expenses of the Fund’s No-Load Class

This table describes the fees and expenses that you may pay if you buy and hold No-Load Class shares of the Fund.

Shareholder Fees (fees paid directly from your investment)

Shareholder Fees
Sparrow Growth Fund
No Load
Maximum Sales Charge (Load) Imposed on Purchases none
Maximum Sales Charge (Load) Imposed on Reinvested Dividends none

Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)

Annual Fund Operating Expenses
Sparrow Growth Fund
No Load
Management Fees 1.00%
Distribution (12b-1) Fees 0.25%
Other Expenses 1.10%
Total Annual Fund Operating Expenses 2.35%

Example

The example below is intended to help you compare the cost of investing in the Fund’s No-Load Class with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the Fund’s No-Load Class for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s No-Load Class’ operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:

Expense Example (USD $)
Expense Example, with Redemption, 1 Year
Expense Example, with Redemption, 3 Years
Expense Example, with Redemption, 5 Years
Expense Example, with Redemption, 10 Years
Sparrow Growth Fund No Load
238 733 1,255 2,686
~ http://xbrl.sec.gov/rr/role/ExpenseExampleNoRedemption column dei_LegalEntityAxis compact fil_S000000502Member column rr_ProspectusShareClassAxis compact * row primary compact * ~

Portfolio Turnover

The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 149.36% of the average value of its portfolio.

Principal Investment Strategies of the Fund

The Fund typically invests in a broad range of foreign and U.S. common stocks which Sparrow Capital Management, Inc., the Fund’s adviser, believes have above-average prospects for appreciation, based on a proprietary investment model developed by the adviser.  The model looks at a variety of factors to select stocks that the adviser believes demonstrate strong earnings momentum.  These growth momentum factors include expanding profit margins, accelerating earnings, positive earnings surprises, positive earnings estimate revisions, and positive relative price strength.

 

The Fund may invest in stocks of all market capitalization ranges based on the adviser’s assessment of the relative opportunities and risks of each category.  The Fund may invest without limitation in stocks of foreign issuers operating in developed or emerging markets through American Depositary Receipts (“ADRs”).  The Fund may also invest without limitation in one or more underlying investment companies whose investments conform to the Fund’s investment limitations or investment policies, such as open-end mutual funds and exchange-traded funds (“ETFs”) that invest in equity securities represented by various indices (including foreign indices).  Stocks are sold when there is a significant decline in earnings momentum, a better stock is found, or a significant breakdown in relative price performance occurs.

 

The Fund may invest up to 15% of its assets in corporate and government bonds that are rated investment grade at the time of purchase (BBB/Baa or higher by S&P or Moody’s or, unrated, but determined to be of comparable quality by the adviser).

Principal Risks of Investing in the Fund

All mutual funds carry a certain amount of risk.  An investment in the Fund is not a deposit of any bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency.  The Fund is not a complete investment program.  As with any mutual fund investment, the Fund’s returns will vary and you could lose money.  The following are the principal risks of investing in the Fund:

 

         Market Risk.  Overall stock market risks may affect the value of the Fund.  Factors such as domestic economic growth and market conditions, interest rate levels, and political events affect the securities markets and could cause the Fund’s share price to fall.

 

         Company Risk.  The value of the Fund may decrease in response to the activities and financial prospects of an individual company in the Fund’s portfolio.  The value of an individual company can be more volatile than the market as a whole.

 

         Growth Style Investing Risk.  If the adviser’s perceptions of a company’s growth potential are wrong, the securities purchased may not perform as expected, reducing the Fund’s return.

 

         Management Risk.  If the adviser’s assessment of the prospects for individual securities is incorrect, it could result in significant losses in the Fund’s investment in those securities, which can also result in possible losses overall for the Fund. 

         Mid Cap Risk. Stocks of mid-cap companies are more risky than stocks of larger companies. Many of these companies are young and have a limited track record. Their securities may trade less frequently and in more limited volume than those of more mature companies.  Mid-cap companies also may lack the managerial, financial or other resources necessary to implement their business plans or succeed in the face of competition.

         Small Cap Risk. To the extent the Fund invests in small-cap companies, the Fund will be subject to additional risks. These include:

         The earnings and prospects of smaller companies are more volatile than larger companies.

         Smaller companies may experience higher failure rates than do larger companies.

         The trading volume of securities of smaller companies is normally less than that of larger companies and, therefore, may disproportionately affect their market price, tending to make them fall more in response to selling pressure than is the case with larger companies.

         Smaller companies may have limited markets, product lines or financial resources and may lack management experience.

 

         Fixed Income Risk.  The issuer of a bonds may not be able to make interest and principal payments when due.  Generally, the lower the credit rating of a security, the greater the risk that the issuer will default on its obligation.  If a rating agency gives a debt security a lower rating, the value of the debt security will decline because investors will demand a higher rate of return.  The value of fixed income securities generally decreases when interest rates rise and increases when interest rates fall. 

 

         Foreign and Emerging Markets Securities Risk.  Common stocks of companies in foreign countries may experience more rapid and extreme changes in value than securities of U.S. companies because the securities markets of many foreign countries are relatively smaller than those in the U.S.  Foreign issuers are not subject to the same degree of regulation as U.S. issuers.  Also, nationalization, expropriation or confiscatory taxation or political changes could adversely affect the Fund’s investments in a foreign country.  There is a risk that fluctuations in the exchange rates between the U.S. dollar and foreign currencies may negatively affect the value of the Fund’s investments in foreign securities.  To the extent that the Fund invests in securities of foreign companies located in emerging markets, it will be subject to additional risks that can increase the potential for losses in the Fund. 

 

         Sector Risk.  If the Fund’s portfolio is overweighted in a certain industry sector, any negative development affecting that sector will have a greater impact on the Fund than a fund that is not overweighted in that sector. 

 

         ETF and Other Investment Company Risk.  When the Fund invests in ETFs and other investment companies, it will indirectly bear its proportionate share of any fees and expenses payable directly by the underlying ETF or other investment company.  Therefore, the Fund will incur higher expenses. In addition, ETFs are also subject to the following risks: (i) the market price of an ETF’s shares may trade above or below its net asset value; (ii) an active trading market for an ETF’s shares may not develop or be maintained; (iii) trading of an ETF’s shares may be halted if the listing exchange’s officials deem such action appropriate, the shares are de-listed from the exchange, or the activation of market-wide “circuit breakers” (which are tied to large decreases in stock prices) halts stock trading generally; or (iv) the ETF may fail to achieve close correlation with the index that it  tracks due to a variety of factors, such as rounding of prices and changes to the index and/or  regulatory policies, resulting in the deviating of the ETF’s returns from that of the index.

 

         Portfolio Turnover Risk.  The Fund may experience high portfolio turnover.  Increased portfolio turnover may cause the Fund to incur higher brokerage costs, which may adversely affect the Fund’s performance, and may produce taxable distributions, significant portions of which are short term capital gains that are taxable as ordinary income.

 

Is the Fund Right for You?

The Fund may be suitable for:

         Long-term investors seeking a mutual fund with a growth investment strategy

         Investors willing to accept price fluctuations in their investment

         Investors who can tolerate the risks associated with common stocks

Performance

The following bar chart and table provide some indication of the risks of investing in the Fund’s No-Load Class by showing changes in the Fund’s No-Load Class’ performance from year to year and by showing how the Fund’s No-Load Class’ average annual returns for 1-year, 5-year and 10-year periods and for the life of the Fund compare with those of a broad measure of market performance. To obtain updated performance information, please call (888) 727-3301. The Fund’s past performance, before and after taxes, is not necessarily an indication of its future performance.

No-Load Class Annual Total Returns as of December 31st

Bar Chart

* The Fund’s No-Load Class year-to-date performance as of September 30, 2012 was 11.99%.

 

            During the period shown in the chart for the No-Load Class, the highest return for a quarter was 14.16% (quarter ended June 30, 2003); and the lowest return was -26.87% (quarter ended December 31, 2008).  Prior to October 1, 2008, the Fund’s No-Load Class shares were called Class C shares, and the fee structure was changed.  Those shares sold before October 1, 2008 were subject to a contingent deferred sales load, which is not reflected in returns set forth in the bar chart above.  If the contingent deferred sales load was included, the returns would be less than those shown.  The Fund’s current Class C share class recently commenced operations and is offered under a separate prospectus.

Average Annual Total Returns

(For the periods ended December 31, 2011)

After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.  Actual after-tax returns depend on an investor’s tax situation and may differ from those shown, and after-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts.  After-tax returns are shown for only the Fund’s No-Load Class, and after-tax returns for other classes will vary.

Average Annual Total Returns Sparrow Growth Fund
1 Year
5 Years
10 Years
- Comparison Index - S&P 500 Index (reflects no deduction for fees, expenses or taxes)
2.09% (0.25%) 2.92%
No Load
3.82% (3.63%) 0.83%
No Load Return After Taxes on Distributions
3.82% (3.71%) 0.79%
No Load Return After Taxes on Distributions and Sale of Fund Shares
2.48% (3.10%) 0.69%
~ http://xbrl.sec.gov/rr/role/MarketIndexPerformanceData column dei_LegalEntityAxis compact fil_S000000502Member row primary compact * row rr_PerformanceMeasureAxis compact * ~
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