0000894189-12-006380.txt : 20121121 0000894189-12-006380.hdr.sgml : 20121121 20121121172054 ACCESSION NUMBER: 0000894189-12-006380 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 7 FILED AS OF DATE: 20121121 DATE AS OF CHANGE: 20121121 EFFECTIVENESS DATE: 20121121 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PROFESSIONALLY MANAGED PORTFOLIOS CENTRAL INDEX KEY: 0000811030 IRS NUMBER: 566415270 STATE OF INCORPORATION: MA FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-12213 FILM NUMBER: 121221837 BUSINESS ADDRESS: STREET 1: MK-WI-T4 STREET 2: 777 EAST WISCONSIN AVENUE CITY: MILWAUKEE STATE: WI ZIP: 53202 BUSINESS PHONE: 414-765-5348 MAIL ADDRESS: STREET 1: MK-WI-T4 STREET 2: 777 EAST WISCONSIN AVENUE CITY: MILWAUKEE STATE: WI ZIP: 53202 FORMER COMPANY: FORMER CONFORMED NAME: AVONDALE INVESTMENT TRUST DATE OF NAME CHANGE: 19910529 0000811030 S000004945 Portfolio 21 C000013361 Retail Class PORTX C000042370 Institutional Class PORIX 497 1 p21_cxbrl.htm DEFINITIVE MATERIALS FOR XBRL Unassociated Document

Filed Pursuant to Rule 497(c)
1933 Act File No. 33-12213
1940 Act File No. 811-05037
 
 
PROFESSIONALLY MANAGED PORTFOLIOS

On behalf of Professionally Managed Portfolios (the “Trust”) and pursuant to Rule 497(c) under the Securities Act of 1933, as amended, attached for filing are exhibits containing interactive data format risk/return summary information that mirrors the risk/return summary information in the definitive form of Prospectus for Portfolio 21, which was filed pursuant to Rule 497(c) on November 5, 2012.  The purpose of this filing is to submit the 497(c) filing dated October 31, 2012 in XBRL for the Portfolio 21.
 
The XBRL exhibits attached hereto consist of the following:
 
Exhibit
Exhibit No.
Instance Document
EX-101.INS
Schema Document
EX-101.SCH
Calculation Linkbase Document
EX-101.CAL
Definition Linkbase Document
EX-101.DEF
Label Linkbase Document
EX-101.LAB
Presentation Linkbase Document
EX-101.PRE

 

 
 
 

EX-101.INS 2 ck0000811030-20120630.xml INSTANCE DOCUMENT Other 2012-06-30 0000811030 2012-11-05 PROFESSIONALLY MANAGED PORTFOLIOS false 2012-11-05 2012-10-31 <tt>The Fund pays transaction costs, such as commissions, when it buys and sells<br />securities (or "turns over" its portfolio). A higher portfolio turnover rate <br />may indicate higher transaction costs and may result in higher taxes when Fund<br />shares are held in a taxable account. These costs, which are not reflected in<br />annual portfolio operating expenses or in the example, affect the Fund's<br />performance. During the most recent fiscal year, the Fund's turnover rate was<br />28% of the average value of its portfolio.</tt> <div style="display:none">~ http://www.portfolio21.com/role/ExpenseExample_S000004945Member column dei_LegalEntityAxis compact * column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <div style="display:none">~ http://www.portfolio21.com/role/BarChartData_S000004945Member column dei_LegalEntityAxis compact * column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <tt>The Portfolio 21 Fund (the "Fund") seeks long-term capital growth.</tt> <tt>This Example is intended to help you compare the costs of investing in the Fund<br />with the cost of investing in other mutual funds. The Example assumes that you<br />invest $10,000 in the Fund for the time periods indicated and then redeem all <br />of your shares at the end of those periods. The Example also assumes that your<br />investment has a 5% return each year and that the Fund's operating expenses<br />remain the same (taking into account the contractual Expense Caps only in the<br />first year).</tt> reflects no deduction for fees, expenses or taxes <tt>The Fund invests primarily in common stocks of companies that the Advisor<br />believes are leaders in managing environmental risks and opportunities, <br />have above average growth potential, and are reasonably valued. The Fund <br />invests globally and has exposure to emerging and developed markets. The <br />Fund may invest in companies of any size, and seeks diversification by <br />country and economic sector.<br /> <br />Under normal market circumstances, between 40% and 70% of the Fund's <br />investments will typically be in foreign securities, either directly or <br />through American Depositary Receipts ("ADRs"). The Fund's foreign exposure <br />may be invested in companies domiciled in emerging markets as well as <br />companies domiciled in developed markets. There is no limit to the percent <br />of the Fund's foreign holdings that may be invested in either emerging or <br />developed markets. The Fund's foreign exposure may be invested entirely in <br />companies from emerging markets.<br /> <br />A security will be sold within a reasonable period of time if the company <br />no longer meets the Advisor's environmental evaluation criteria or if the <br />company no longer meets the Advisor's minimum financial standards.</tt> SUMMARY SECTION Example 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. Investment Objective The Fund's past performance, before and after taxes, is not necessarily an indication of how the Fund will perform in the future. There is a risk that you could lose all or a portion of your investment in the Fund. Principal Investment Risks Shareholder Fees (fees paid directly from your investment) Although your actual costs may be higher or lower, based on these assumptions, your costs would be: The "Return After Taxes on Distributions and Sale of Fund Shares" may be higher than the return figures because when a capital loss occurs upon redemption of fund shares, a tax deduction is provided that benefits the investor. 0.28 Furthermore, the after-tax returns shown are not relevant to those who hold their shares through tax-deferred arrangements such as 401(k) plans or Individual Retirement Accounts ("IRAs"). Calendar Year Total Return Class R Performance <tt>Class I shares of the Fund commenced operations on March 30, 2007. Performance<br />shown for Class I shares for periods prior to its inception reflects the<br />performance of Class R shares, adjusted to reflect Class I expenses.<br /> <br />After-tax returns are calculated using the historical highest individual federal<br />marginal income tax rates and do not reflect the impact of state and local taxes. <br />Actual after-tax returns depend on your situation and may differ from those shown. <br />Furthermore, the after-tax returns shown are not relevant to those who hold their <br />shares through tax-deferred arrangements such as 401(k) plans or Individual <br />Retirement Accounts ("IRAs"). The "Return After Taxes on Distributions and Sale <br />of Fund Shares" may be higher than the return figures because when a capital loss <br />occurs upon redemption of fund shares, a tax deduction is provided that benefits <br />the investor.</tt> The following performance information provides some indication of the risks of investing in the Fund. The bar chart below illustrates how the Fund's Class R shares total returns have varied from year to year. The table below illustrates how the Fund's average annual total returns for 1, 5, and 10-year periods compare with that of a broad-based securities index and an additional index provided to offer a broader market perspective. <tt>During the period shown in the bar chart, the Fund's Class R shares' highest<br />quarterly return was 20.42% for the quarter ended June 30, 2009, and the lowest<br />quarterly return was -20.69% for the quarter ended September 30, 2002.</tt> Annual Portfolio Operating Expenses (expenses that you pay each year as a percentage of the value of your investment) Average Annual Total Returns as of December 31, 2011 Portfolio Turnover <tt>There is a risk that you could lose all or a portion of your investment in the<br />Fund. The following principal risks can affect the value of your investment:<br /> <br />&#xB7;&#xA0;&#xA0;General Market Risk: The market price of a security may fluctuate, sometimes&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;rapidly and unpredictably. These fluctuations may cause a security to be worth<br />&#xA0;&#xA0;&#xA0;less than its cost when originally purchased or less than it was worth at an&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;earlier time. <br /><br />&#xB7;&#xA0;&#xA0;Small- and Medium-Sized Company Risk: Investing in securities of small- and&#xA0;&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;medium-sized companies, even indirectly, may involve greater volatility than&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;investing in larger and more established companies. <br /><br />&#xB7;&#xA0;&#xA0;Management Risk: The Advisor may fail to implement the Fund's investment&#xA0;&#xA0;&#xA0;&#xA0;&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;strategies and meet its investment objective. <br /><br />&#xB7;&#xA0;&#xA0;Foreign Securities and Emerging Markets Risk: Foreign securities involve&#xA0;&#xA0;&#xA0;&#xA0;&#xA0;&#xA0;<br />&#xA0;&#xA0;&#xA0;increased risks due to political, social and economic developments abroad, <br />&#xA0;&#xA0;&#xA0;as well as due to differences between U.S. and foreign regulatory practices. <br />&#xA0;&#xA0;&#xA0;These risks are enhanced in emerging markets. <br /><br />&#xB7;&#xA0;&#xA0;Environmental Policy Risk: The Fund's environmental policy could cause it <br />&#xA0;&#xA0;&#xA0;to underperform compared to similar funds that do not have such a policy. <br />&#xA0;&#xA0;&#xA0;Accordingly, the Fund may forego opportunities to buy certain securities <br />&#xA0;&#xA0;&#xA0;when it might otherwise be advantageous to do so, or may sell securities for <br />&#xA0;&#xA0;&#xA0;environmental reasons when it might be otherwise disadvantageous for it to <br />&#xA0;&#xA0;&#xA0;do so.</tt> Fees and Expenses of the Fund Actual after-tax returns depend on your situation and may differ from those shown. Principal Investment Strategies www.portfolio21.com <tt>The following performance information provides some indication of the risks of<br />investing in the Fund. The bar chart below illustrates how the Fund's Class R<br />shares total returns have varied from year to year. The table below illustrates<br />how the Fund's average annual total returns for 1, 5, and 10-year periods<br />compare with that of a broad-based securities index and an additional index<br />provided to offer a broader market perspective. The Fund's past performance,<br />before and after taxes, is not necessarily an indication of how the Fund will<br />perform in the future. Updated performance information is available on the<br />Fund's website at www.portfolio21.com.</tt> <tt>This table describes the fees and expenses that you may pay if you buy and hold<br />shares of the Fund.</tt> <div style="display:none">~ http://www.portfolio21.com/role/OperatingExpensesData_S000004945Member column dei_LegalEntityAxis compact * column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> <div style="display:none">~ http://www.portfolio21.com/role/PerformanceTableData_S000004945Member column dei_LegalEntityAxis compact * column rr_ProspectusShareClassAxis compact * column rr_PerformanceMeasureAxis compact * row primary compact * ~</div> <div style="display:none">~ http://www.portfolio21.com/role/ShareholderFeesData_S000004945Member column dei_LegalEntityAxis compact * column rr_ProspectusShareClassAxis compact * row primary compact * ~</div> S&P 500® Index (reflects no deduction for fees, expenses or taxes) 0.0211 -0.0025 0.0292 MSCI World IndexSM (reflects no deduction for fees, expenses or taxes) -0.0502 -0.0182 0.0415 Return After Taxes on Distributions and Sale of Fund Shares -0.0489 -0.0090 0.0396 Return After Taxes on Distributions -0.0796 -0.0122 0.0439 PORIX Return Before Taxes 119 372 1420 -0.0200 644 -0.0779 0.0022 0.0095 2013-10-31 -0.0100 0.0000 0.0435 0.0117 PORTX -0.1905 lowest quarterly highest quarterly return 2012-09-30 Return Before Taxes 150 2009-06-30 465 -0.2069 0.1587 0.0930 1757 -0.0200 803 0.1041 0.2042 -0.0804 0.0027 -0.3552 0.0095 2013-10-31 2002-09-30 0.3115 -0.0126 0.0601 year-to-date return -0.0804 0.3218 0.0025 0.0437 0.0147 0.2438 0.0989 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberck0000811030:C000013361Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberck0000811030:C000042370Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberrr:AfterTaxesOnDistributionsMemberck0000811030:C000013361Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberrr:AfterTaxesOnDistributionsAndSalesMemberck0000811030:C000013361Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberck0000811030:RRINDEX00002Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Memberck0000811030:RRINDEX00003Member 2012-10-31 2012-10-31 0000811030 ck0000811030:SummaryS000004945Memberck0000811030:S000004945Member 2012-10-31 2012-10-31 0000811030 2012-10-31 2012-10-31 pure iso4217:USD Portfolio 21 Investments (the "Advisor") has contractually agreed to reduce its fees and/or pay the Fund's expenses (excluding acquired fund fees and expenses, interest expense in connection with investment activities, taxes and extraordinary expenses) in order to limit Total Annual Portfolio Operating Expenses for Class R shares and Class I shares of the Fund to 1.50% and 1.20%, respectively, of each class' average net assets (the "Expense Caps").The Expense Caps will remain in effect until at least October 31, 2013. The Agreement may be terminated at any time by the Board upon 60 days' written notice to the Advisor, or by the Advisor with the consent of the Board. The Advisor may request recoupment for management fee waivers and/or Fund expense payments made in the prior three fiscal years. The Fund's year-to-date return for Class R shares as of September 30, 2012 was 9.89%. Effective immediately, due to the global nature of the Fund's investments, the Fund will no longer use the S&P 500® Index as a benchmark for its returns. 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Label Element Value
Risk Return [Abstract] rr_RiskReturnAbstract  
ProspectusDate rr_ProspectusDate Oct. 31, 2012
Portfolio 21 (Prospectus Summary) | Portfolio 21
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading SUMMARY SECTION
Objective [Heading] rr_ObjectiveHeading Investment Objective
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Portfolio 21 Fund (the "Fund") seeks long-term capital growth.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold
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 Portfolio 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 portfolio operating expenses or in the example, affect the Fund's
performance. During the most recent fiscal year, the Fund's turnover rate was
28% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 28.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the costs of investing in the Fund
with the cost of investing in other mutual funds. The Example assumes that you
invest $10,000 in the Fund 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 operating expenses
remain the same (taking into account the contractual Expense Caps only in the
first year).
Expense Example by, Year, Caption [Text] rr_ExpenseExampleByYearCaption Although your actual costs may be higher or lower, based on these assumptions, your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests primarily in common stocks of companies that the Advisor
believes are leaders in managing environmental risks and opportunities,
have above average growth potential, and are reasonably valued. The Fund
invests globally and has exposure to emerging and developed markets. The
Fund may invest in companies of any size, and seeks diversification by
country and economic sector.

Under normal market circumstances, between 40% and 70% of the Fund's
investments will typically be in foreign securities, either directly or
through American Depositary Receipts ("ADRs"). The Fund's foreign exposure
may be invested in companies domiciled in emerging markets as well as
companies domiciled in developed markets. There is no limit to the percent
of the Fund's foreign holdings that may be invested in either emerging or
developed markets. The Fund's foreign exposure may be invested entirely in
companies from emerging markets.

A security will be sold within a reasonable period of time if the company
no longer meets the Advisor's environmental evaluation criteria or if the
company no longer meets the Advisor's minimum financial standards.
Risk [Heading] rr_RiskHeading Principal Investment Risks
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock There is a risk that you could lose all or a portion of your investment in the
Fund. The following principal risks can affect the value of your investment:

·  General Market Risk: The market price of a security may fluctuate, sometimes  
   rapidly and unpredictably. These fluctuations may cause a security to be worth
   less than its cost when originally purchased or less than it was worth at an  
   earlier time.

·  Small- and Medium-Sized Company Risk: Investing in securities of small- and   
   medium-sized companies, even indirectly, may involve greater volatility than  
   investing in larger and more established companies.

·  Management Risk: The Advisor may fail to implement the Fund's investment      
   strategies and meet its investment objective.

·  Foreign Securities and Emerging Markets Risk: Foreign securities involve      
   increased risks due to political, social and economic developments abroad,
   as well as due to differences between U.S. and foreign regulatory practices.
   These risks are enhanced in emerging markets.

·  Environmental Policy Risk: The Fund's environmental policy could cause it
   to underperform compared to similar funds that do not have such a policy.
   Accordingly, the Fund may forego opportunities to buy certain securities
   when it might otherwise be advantageous to do so, or may sell securities for
   environmental reasons when it might be otherwise disadvantageous for it to
   do so.
Risk Lose Money [Text] rr_RiskLoseMoney There is a risk that you could lose all or a portion of your investment in the Fund.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The following performance information provides some indication of the risks of
investing in the Fund. The bar chart below illustrates how the Fund's Class R
shares total returns have varied from year to year. The table below illustrates
how the Fund's average annual total returns for 1, 5, and 10-year periods
compare with that of a broad-based securities index and an additional index
provided to offer a broader market perspective. The Fund's past performance,
before and after taxes, is not necessarily an indication of how the Fund will
perform in the future. Updated performance information is available on the
Fund's website at www.portfolio21.com.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The following performance information provides some indication of the risks of investing in the Fund. The bar chart below illustrates how the Fund's Class R shares total returns have varied from year to year. The table below illustrates how the Fund's average annual total returns for 1, 5, and 10-year periods compare with that of a broad-based securities index and an additional index provided to offer a broader market perspective.
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.portfolio21.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture The Fund's past performance, before and after taxes, is not necessarily an indication of how the Fund will perform in the future.
Bar Chart [Heading] rr_BarChartHeading Calendar Year Total Return Class R [1]
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock During the period shown in the bar chart, the Fund's Class R shares' highest
quarterly return was 20.42% for the quarter ended June 30, 2009, and the lowest
quarterly return was -20.69% for the quarter ended September 30, 2002.
Index No Deduction for Fees, Expenses, Taxes [Text] rr_IndexNoDeductionForFeesExpensesTaxes reflects no deduction for fees, expenses or taxes
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate 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.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred Furthermore, the after-tax returns shown are not relevant to those who hold their shares through tax-deferred arrangements such as 401(k) plans or Individual Retirement Accounts ("IRAs").
Performance Table One Class of after Tax Shown [Text] rr_PerformanceTableOneClassOfAfterTaxShown Actual after-tax returns depend on your situation and may differ from those shown.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher The "Return After Taxes on Distributions and Sale of Fund Shares" may be higher than the return figures because when a capital loss occurs upon redemption of fund shares, a tax deduction is provided that benefits the investor.
Performance Table Closing [Text Block] rr_PerformanceTableClosingTextBlock Class I shares of the Fund commenced operations on March 30, 2007. Performance
shown for Class I shares for periods prior to its inception reflects the
performance of Class R shares, adjusted to reflect Class I expenses.

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 your situation and may differ from those shown.
Furthermore, the after-tax returns shown are not relevant to those who hold their
shares through tax-deferred arrangements such as 401(k) plans or Individual
Retirement Accounts ("IRAs"). The "Return After Taxes on Distributions and Sale
of Fund Shares" may be higher than the return figures because when a capital loss
occurs upon redemption of fund shares, a tax deduction is provided that benefits
the investor.
Caption rr_AverageAnnualReturnCaption Average Annual Total Returns as of December 31, 2011
Portfolio 21 (Prospectus Summary) | Portfolio 21 | MSCI World IndexSM
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Label rr_AverageAnnualReturnLabel MSCI World IndexSM (reflects no deduction for fees, expenses or taxes)
1 Year rr_AverageAnnualReturnYear01 (5.02%)
5 Years rr_AverageAnnualReturnYear05 (1.82%)
10 Years rr_AverageAnnualReturnYear10 4.15%
Portfolio 21 (Prospectus Summary) | Portfolio 21 | S&P 500® Index
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Label rr_AverageAnnualReturnLabel S&P 500® Index (reflects no deduction for fees, expenses or taxes) [2]
1 Year rr_AverageAnnualReturnYear01 2.11%
5 Years rr_AverageAnnualReturnYear05 (0.25%)
10 Years rr_AverageAnnualReturnYear10 2.92%
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class R
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Redemption Fee (as a percentage of amount redeemed within 60 days of purchase) rr_RedemptionFeeOverRedemption (2.00%)
Management Fee rr_ManagementFeesOverAssets 0.95%
Distribution and Service (12b-1) Fee rr_DistributionAndService12b1FeesOverAssets 0.25%
Other Expenses rr_OtherExpensesOverAssets 0.27%
Total Annual Portfolio Operating Expenses rr_ExpensesOverAssets 1.47% [3]
Fee Waiver or Reimbursement over Assets, Date of Termination rr_FeeWaiverOrReimbursementOverAssetsDateOfTermination 2013-10-31
Expense Example, with Redemption, 1 Year rr_ExpenseExampleYear01 150
Expense Example, with Redemption, 3 Years rr_ExpenseExampleYear03 465
Expense Example, with Redemption, 5 Years rr_ExpenseExampleYear05 803
Expense Example, with Redemption, 10 Years rr_ExpenseExampleYear10 1,757
Annual Return 2002 rr_AnnualReturn2002 (19.05%)
Annual Return 2003 rr_AnnualReturn2003 32.18%
Annual Return 2004 rr_AnnualReturn2004 15.87%
Annual Return 2005 rr_AnnualReturn2005 6.01%
Annual Return 2006 rr_AnnualReturn2006 24.38%
Annual Return 2007 rr_AnnualReturn2007 10.41%
Annual Return 2008 rr_AnnualReturn2008 (35.52%)
Annual Return 2009 rr_AnnualReturn2009 31.15%
Annual Return 2010 rr_AnnualReturn2010 9.30%
Annual Return 2011 rr_AnnualReturn2011 (8.04%)
Year to Date Return, Label rr_YearToDateReturnLabel year-to-date return
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2012
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 9.89%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel highest quarterly return
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2009
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 20.42%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel lowest quarterly
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Sep. 30, 2002
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (20.69%)
Label rr_AverageAnnualReturnLabel Return Before Taxes
1 Year rr_AverageAnnualReturnYear01 (8.04%)
5 Years rr_AverageAnnualReturnYear05 (1.26%)
10 Years rr_AverageAnnualReturnYear10 4.37%
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class R | After Taxes on Distributions
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Label rr_AverageAnnualReturnLabel Return After Taxes on Distributions
1 Year rr_AverageAnnualReturnYear01 (7.96%)
5 Years rr_AverageAnnualReturnYear05 (1.22%)
10 Years rr_AverageAnnualReturnYear10 4.39%
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class R | After Taxes on Distributions and Sales
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Label rr_AverageAnnualReturnLabel Return After Taxes on Distributions and Sale of Fund Shares
1 Year rr_AverageAnnualReturnYear01 (4.89%)
5 Years rr_AverageAnnualReturnYear05 (0.90%)
10 Years rr_AverageAnnualReturnYear10 3.96%
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class I
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Redemption Fee (as a percentage of amount redeemed within 60 days of purchase) rr_RedemptionFeeOverRedemption (2.00%)
Management Fee rr_ManagementFeesOverAssets 0.95%
Distribution and Service (12b-1) Fee rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.22%
Total Annual Portfolio Operating Expenses rr_ExpensesOverAssets 1.17% [3]
Fee Waiver or Reimbursement over Assets, Date of Termination rr_FeeWaiverOrReimbursementOverAssetsDateOfTermination 2013-10-31
Expense Example, with Redemption, 1 Year rr_ExpenseExampleYear01 119
Expense Example, with Redemption, 3 Years rr_ExpenseExampleYear03 372
Expense Example, with Redemption, 5 Years rr_ExpenseExampleYear05 644
Expense Example, with Redemption, 10 Years rr_ExpenseExampleYear10 1,420
Label rr_AverageAnnualReturnLabel Return Before Taxes
1 Year rr_AverageAnnualReturnYear01 (7.79%)
5 Years rr_AverageAnnualReturnYear05 (1.00%)
10 Years rr_AverageAnnualReturnYear10 4.35%
[1] The Fund's year-to-date return for Class R shares as of September 30, 2012 was 9.89%.
[2] Effective immediately, due to the global nature of the Fund's investments, the Fund will no longer use the S&P 500® Index as a benchmark for its returns.
[3] Portfolio 21 Investments (the "Advisor") has contractually agreed to reduce its fees and/or pay the Fund's expenses (excluding acquired fund fees and expenses, interest expense in connection with investment activities, taxes and extraordinary expenses) in order to limit Total Annual Portfolio Operating Expenses for Class R shares and Class I shares of the Fund to 1.50% and 1.20%, respectively, of each class' average net assets (the "Expense Caps").The Expense Caps will remain in effect until at least October 31, 2013. The Agreement may be terminated at any time by the Board upon 60 days' written notice to the Advisor, or by the Advisor with the consent of the Board. The Advisor may request recoupment for management fee waivers and/or Fund expense payments made in the prior three fiscal years.
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Portfolio 21 (Prospectus Summary) | Portfolio 21
SUMMARY SECTION
Investment Objective
The Portfolio 21 Fund (the "Fund") seeks long-term capital growth.
Fees and Expenses of the Fund
This table describes the fees and expenses that you may pay if you buy and hold
shares of the Fund.
Shareholder Fees (fees paid directly from your investment)
Shareholder Fees Portfolio 21
Class R
Class I
Redemption Fee (as a percentage of amount redeemed within 60 days of purchase) 2.00% 2.00%
Annual Portfolio Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses Portfolio 21
Class R
Class I
Management Fee 0.95% 0.95%
Distribution and Service (12b-1) Fee 0.25% none
Other Expenses 0.27% 0.22%
Total Annual Portfolio Operating Expenses [1] 1.47% 1.17%
[1] Portfolio 21 Investments (the "Advisor") has contractually agreed to reduce its fees and/or pay the Fund's expenses (excluding acquired fund fees and expenses, interest expense in connection with investment activities, taxes and extraordinary expenses) in order to limit Total Annual Portfolio Operating Expenses for Class R shares and Class I shares of the Fund to 1.50% and 1.20%, respectively, of each class' average net assets (the "Expense Caps").The Expense Caps will remain in effect until at least October 31, 2013. The Agreement may be terminated at any time by the Board upon 60 days' written notice to the Advisor, or by the Advisor with the consent of the Board. The Advisor may request recoupment for management fee waivers and/or Fund expense payments made in the prior three fiscal years.
Example
This Example is intended to help you compare the costs of investing in the Fund
with the cost of investing in other mutual funds. The Example assumes that you
invest $10,000 in the Fund 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 operating expenses
remain the same (taking into account the contractual Expense Caps only in the
first year).
Although your actual costs may be higher or lower, based on these assumptions, your costs would be:
Expense Example Portfolio 21 (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
Class R
150 465 803 1,757
Class I
119 372 644 1,420
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 portfolio operating expenses or in the example, affect the Fund's
performance. During the most recent fiscal year, the Fund's turnover rate was
28% of the average value of its portfolio.
Principal Investment Strategies
The Fund invests primarily in common stocks of companies that the Advisor
believes are leaders in managing environmental risks and opportunities,
have above average growth potential, and are reasonably valued. The Fund
invests globally and has exposure to emerging and developed markets. The
Fund may invest in companies of any size, and seeks diversification by
country and economic sector.

Under normal market circumstances, between 40% and 70% of the Fund's
investments will typically be in foreign securities, either directly or
through American Depositary Receipts ("ADRs"). The Fund's foreign exposure
may be invested in companies domiciled in emerging markets as well as
companies domiciled in developed markets. There is no limit to the percent
of the Fund's foreign holdings that may be invested in either emerging or
developed markets. The Fund's foreign exposure may be invested entirely in
companies from emerging markets.

A security will be sold within a reasonable period of time if the company
no longer meets the Advisor's environmental evaluation criteria or if the
company no longer meets the Advisor's minimum financial standards.
Principal Investment Risks
There is a risk that you could lose all or a portion of your investment in the
Fund. The following principal risks can affect the value of your investment:

·  General Market Risk: The market price of a security may fluctuate, sometimes  
   rapidly and unpredictably. These fluctuations may cause a security to be worth
   less than its cost when originally purchased or less than it was worth at an  
   earlier time.

·  Small- and Medium-Sized Company Risk: Investing in securities of small- and   
   medium-sized companies, even indirectly, may involve greater volatility than  
   investing in larger and more established companies.

·  Management Risk: The Advisor may fail to implement the Fund's investment      
   strategies and meet its investment objective.

·  Foreign Securities and Emerging Markets Risk: Foreign securities involve      
   increased risks due to political, social and economic developments abroad,
   as well as due to differences between U.S. and foreign regulatory practices.
   These risks are enhanced in emerging markets.

·  Environmental Policy Risk: The Fund's environmental policy could cause it
   to underperform compared to similar funds that do not have such a policy.
   Accordingly, the Fund may forego opportunities to buy certain securities
   when it might otherwise be advantageous to do so, or may sell securities for
   environmental reasons when it might be otherwise disadvantageous for it to
   do so.
Performance
The following performance information provides some indication of the risks of
investing in the Fund. The bar chart below illustrates how the Fund's Class R
shares total returns have varied from year to year. The table below illustrates
how the Fund's average annual total returns for 1, 5, and 10-year periods
compare with that of a broad-based securities index and an additional index
provided to offer a broader market perspective. The Fund's past performance,
before and after taxes, is not necessarily an indication of how the Fund will
perform in the future. Updated performance information is available on the
Fund's website at www.portfolio21.com.
Calendar Year Total Return Class R [1]
Bar Chart
During the period shown in the bar chart, the Fund's Class R shares' highest
quarterly return was 20.42% for the quarter ended June 30, 2009, and the lowest
quarterly return was -20.69% for the quarter ended September 30, 2002.
Average Annual Total Returns as of December 31, 2011
Average Annual Total Returns Portfolio 21
Label
1 Year
5 Years
10 Years
Class R
Return Before Taxes (8.04%) (1.26%) 4.37%
Class R After Taxes on Distributions
Return After Taxes on Distributions (7.96%) (1.22%) 4.39%
Class R After Taxes on Distributions and Sales
Return After Taxes on Distributions and Sale of Fund Shares (4.89%) (0.90%) 3.96%
Class I
Return Before Taxes (7.79%) (1.00%) 4.35%
MSCI World IndexSM
MSCI World IndexSM (reflects no deduction for fees, expenses or taxes) (5.02%) (1.82%) 4.15%
S&P 500® Index
S&P 500® Index (reflects no deduction for fees, expenses or taxes) [1] 2.11% (0.25%) 2.92%
[1] Effective immediately, due to the global nature of the Fund's investments, the Fund will no longer use the S&P 500® Index as a benchmark for its returns.
Class I shares of the Fund commenced operations on March 30, 2007. Performance
shown for Class I shares for periods prior to its inception reflects the
performance of Class R shares, adjusted to reflect Class I expenses.

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 your situation and may differ from those shown.
Furthermore, the after-tax returns shown are not relevant to those who hold their
shares through tax-deferred arrangements such as 401(k) plans or Individual
Retirement Accounts ("IRAs"). The "Return After Taxes on Distributions and Sale
of Fund Shares" may be higher than the return figures because when a capital loss
occurs upon redemption of fund shares, a tax deduction is provided that benefits
the investor.
[1] The Fund's year-to-date return for Class R shares as of September 30, 2012 was 9.89%.
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XML 14 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Label Element Value
Risk Return [Abstract] rr_RiskReturnAbstract  
Document Type dei_DocumentType Other
Document Period End Date dei_DocumentPeriodEndDate Jun. 30, 2012
Registrant Name dei_EntityRegistrantName PROFESSIONALLY MANAGED PORTFOLIOS
Central Index Key dei_EntityCentralIndexKey 0000811030
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Document Creation Date dei_DocumentCreationDate Nov. 05, 2012
Document Effective Date dei_DocumentEffectiveDate Nov. 05, 2012
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class R
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Trading Symbol dei_TradingSymbol PORTX
Portfolio 21 (Prospectus Summary) | Portfolio 21 | Class I
 
Risk Return [Abstract] rr_RiskReturnAbstract  
Trading Symbol dei_TradingSymbol PORIX
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