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MIM Equity Composite Performance versus Benchmarks
Return Period MIM Equity Composite S&P 500 Russell 3000 Value
Gross of Fees Net of Fees
1 Year
12-31-08 to 12-31-09

29.21

28.40

26.46

19.76
3 Year
12-31-06 to 12-31-09

0.45

(0.19)

(5.62)

(8.90)
5 Year
12-31-04 to 12-31-09

5.18

4.54

0.42

(0.24)
10 Year
12-31-99 to 12-31-09

11.64

10.96

(0.95)

2.88

Montgomery Investment Management Inc. (MIM, the firm), formed in 1987, is a SEC registered investment advisor which manages primarily US equities for both individual and institutional clients. MIM utilizes fundamental analysis in order to find securities with the best potential. MIM's Equity Composite strategy focuses on total return. Accounts comprising the Equity Composite are limited to those clients that adhere to MIM's investment philosophy without excessive positions with tax encumbrances. The Equity Composite and Index returns reflect the reinvestment of dividends and other earnings. MIM does not make use of leverage or derivatives. The Equity Composite assets as of September 30, 2009 were $129 million which represented 47% of the firm's total assets. The Equity Composite contains one non-fee paying account representing 38% of the composite assets as of September 30, 2009. However, for performance purposes, hypothetical management fees have been incorporated into the net of fees return for this account based on the current fee schedule. Returns are calculated in U.S. dollars. MIM has received a Firm-wide GIPS® Verification for the period January 1, 1993 through September 30, 2009.

MIM claims compliance with the Global Investment Performance Standards (GIPS®). A complete list and description of all firm composites is available upon request. To receive a complete presentation that adheres to the GIPS® standards contact Elaine Schuler at 301-897-9783.

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