Conestoga Small Cap Fund

The Portfolio Managers of the Conestoga Small Cap Fund are Bob Mitchell and Joe Monahan. Bob and Joe utilize the same investment philosophy, style and process for the Fund that has been employed in constructing separately managed small cap accounts since 1989.

Investment Objective: The Fund seeks to provide long-term growth of capital.

Fund Direct Account Access
To open a new Conestoga Fund Account or to view an Existing Fund Direct Account, please access the secure site above.  To open an account or for operational questions, please call the Fund's Servicing Agent (Ultimus Fund Distributors, LLC) at: (800) 494-2755.  Please contact a member of our Shareholder Services department at 1-800-494-2755 with any questions. Representatives are available Monday through Friday, 8:00am - 6:00pm EST.  You may also refer to the Fund's Prospectus and Applications below to assist in buying, exchanging and redeeming shares of each class of the Conestoga Small Cap Fund.

Conestoga Small Cap Fund Investors Share Class (CCASX) - Soft Close:

With limited exceptions, effective March 2, 2018, shares of the Fund are generally closed to new retail investors opening accounts through financial intermediaries (i.e., advisory firms, broker dealers, etc.). Shares continue to be available for purchase to existing retail or “fund direct” investors.

Effective July 1, 2018 through at least January 31, 2020, shares of the Fund are generally not available to new accounts through financial intermediaries without existing client relationships with the Fund or the Adviser. As of that effective date, shares continue to be available for purchase by existing and new investors purchasing through financial intermediaries with existing client relationships with the Fund or the Adviser. Effective July 1, 2018, shareholders of the Conestoga SMid Cap Fund (the “SMid Cap Fund”) who are not currently also shareholders of the Fund are generally no longer be able to exchange their SMid Cap Fund shares for shares of the Fund; however, shareholders of the Fund may continue to exchange their shares of the Fund for shares of the SMid Cap Fund. Contact Conestoga Funds or your financial advisor for more information about investing in the Fund.





Net Assets (7/31/19)


Minimum Initial Investment

Total Gross Operation Expenses

Total Net Operation Expenses*

Investor Class



$902.4 Mil





Institutional Class



$1,867.8 Mil





* These are expenses that you pay each year as a percentage of the value of your investments.  Conestoga Capital Advisors, LLC (the “Adviser”) has contractually agreed to limit the Fund’s ‘Total Annual Fund Operating Expenses’ to 0.90% (for the Institutional Class) and 1.10% (for the Investors Class) of the Fund’s average daily net assets until at least January 31, 2020, subject to termination at any time at the option of the Fund. There is no guarantee that the agreement to limit the Fund's net annual operating expense will be renewed or extended.

Characteristics as of 7/31/19*

Price/Earnings (1 Yr. Fwd. incl. Neg.) 30.6x
Earnings Growth (3-5 Yr. Est.) 15.6%
PEG Ratio 1.96
Weighted Avg. Market Cap. $3,142 Mil
ROE (Last 5 Yr. Weighted Avg.) 13.4%
Long-Term Debt/Capital 21.6%
Turnover Rate - Trailing 12 Mos. 17.2%
Number of Holdings 51

*subject to change

Top Ten Holdings as of 7/31/19*

1.  Exponent Inc. 4.05%
2.  Repligen Corp. 3.87%
3.  Cantel Medical Corp. 3.77%
4.  Pros Holdings Inc. 3.70%
5.  Fox Factory Holdings Corp. 3.24%
6.  Descartes Systems Group Inc. 3.12%
7.  Mesa Labs Inc. 2.88%
8.  Omnicell Inc. 2.84%
9.  Neogen Corp. 2.71%
10.Simpson Manufacturing Co. Inc. 2.54%

Performance as of 6/30/19*


QTD YTD 1 Year 3 Years 5 Years 7 Years 10 Years Inception 10/1/2002 Inception 8/13/2014
CCASX 9.34% 23.40% 10.54% 21.24% 14.32% 15.46% 16.41% 12.67% N/A
CCALX 9.39% 23.50% 10.73% 21.48% N/A N/A N/A N/A 16.18%
Russell 2000 Growth 2.75% 20.36% -0.49% 14.69% 8.63% 12.87% 14.41% 11.28% 9.71%
Russell 2000 2.10% 16.98% -3.31% 12.30% 7.06% 11.63% 13.45% 10.50% 8.19%







Performance as of 7/31/19*


QTD YTD 1 Year 3 Years 5 Years 7 Years 10 Years Inception 10/1/2002 Inception 8/13/2014
CCASX 0.72% 24.29% 7.12% 20.88% 15.84% 16.20% 15.80% 12.65% N/A
CCALX 0.74% 24.41% 7.34% 21.13% N/A N/A N/A N/A 16.06%
Russell 2000 Growth 0.98% 21.54% -1.22% 12.66% 10.21% 13.31% 13.67% 11.28% 9.75%
Russell 2000 0.58% 17.66% -4.42% 10.36% 8.53% 11.95% 12.47% 10.48% 8.17%






* All periods greater than one year are annualized.. Performance is based upon closing NAV calculation on listed dates and represents past performance. Past performance does not guarantee future results and current performance may be lower or higher than the performance quoted. Performance data includes reinvestment of dividends. Investment returns and principal value of an investment in Conestoga Small Cap Fund will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. For the Fund’s daily NAV, list of additional holdings, total return as of the most recent month-end and a copy of the Fund’s prospectus, please visit or call 1-800-494-2755.


Investors Share Class (CCASX) Information

Small Cap Fund Prospectus & Shareholder Reports

Institutional Share Class (CCALX) Information

Additional Information

















An investor should consider investment objectives, risks, charges, and expenses carefully before investing.  Download a prospectus, which contains this information or call toll free 1-800-494-2755.  Read the prospectus carefully before investing or sending money.

Mutual Fund Investing involves risk, principal loss is possible.  Investment in the Fund is subject to investment risks, including, without limitation, equity risk, market risk, management risk, small company risk, mid cap stock risk, foreign investment risk, currency risk, large redemption risk. Funds that invest in small and mid cap stocks are often more volatile than large cap stocks.  Smaller companies generally face higher risks due to their limited product lines, markets and financial resources.  For more information about the Fund, including the Fund's objectives, charges, expenses and risks (including more information about the risks listed above), please read the prospectus.

Ultimus Fund Distributors, LLC. (Member FINRA & SIPC) serves as the Distributor to the Conestoga Funds.