As filed with the Securities and Exchange
Commission on August 5, 2015
Registration No.333-148723
Registration No.811-22172
FORM N-1A
REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933 | [X] | |
Pre-Effective Amendment No. |
[ ] | |
Post-Effective Amendment No. (129) |
[X] | |
and/or | ||
REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940 | [X] | |
Amendment No. (130) |
[X] |
WORLD FUNDS TRUST
(Exact
Name of Registrant as Specified in Charter)
8730 Stony Point Parkway, Suite 205,
Richmond, VA 23235
(Address of Principal Executive Offices)
(804) 267-7400
(Registrants
Telephone Number)
The Corporation Trust Co.
Corporation
Trust Center, 1209 Orange St., Wilmington, DE 19801
(Name and Address of
Agent for Service)
With Copy to:
John H. Lively
The Law Offices of John H. Lively & Associates, Inc.
A member firm of The
1940 Act Law Group
TM
11300 Tomahawk Creek Parkway, Suite 310
Leawood,
KS 66211
Approximate Date of Proposed Public Offering: As soon as practicable after the effective date of this filing .
It is proposed that this filing will become effective (check appropriate box):
[X] | immediately upon filing pursuant to paragraph (b); | |
[ ] | on ___________ pursuant to paragraph (b); | |
[ ] | 60 days after filing pursuant to paragraph (a)(1); | |
[ ] | on ___________ (date) pursuant to paragraph (a)(1); | |
[ ] | 75 days after filing pursuant to paragraph (a)(2); or | |
[ ] | on ___________ (date) pursuant to paragraph (a)(2) of Rule 485. | |
If appropriate, check the following box: |
| | This post-effective amendment designates
a new effective date for a previously filed post-effective amendment.
Title of
Securities Being Registered: shares of beneficial interest.
EXPLANATORY NOTE
This Post-Effective Amendment No. 129 to the Trusts Registration Statement on Form N-1A is filed for the sole purpose of submitting the final tax opinion for the Toreador Core Fund and incorporates by reference the Prospectus and Statement of Additional Information contained in Post-Effective Amendment No. 117 to the Registration Statement filed on May 8, 2015.
OTHER INFORMATION
Item 28. Exhibits | ||
(a)(1) |
Certificate
of Trust of World Funds Trust (formerly, Abacus World Funds Trust) (the Registrant) dated April 9, 2007.
1
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(a)(2) |
Certificate
of Amendment dated January 7, 2008 to the Registrants Certificate of Trust dated April 9, 2007.
1
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(a)(3) |
Registrants Agreement and Declaration of Trust dated April 9, 2007, as revised June 23, 2008.
2
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(b) |
Registrants By-Laws dated April 9, 2007.
1
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(c) |
Not applicable.
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(d)(1) |
Investment
Advisory Agreement between the Registrant and Union Street Partners, LLC with respect to the Union Street Partners Value Fund.
5, 7
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(d)(2) |
Investment
Sub-Advisory Agreement between Union Street Partners, LLC and McGinn Investment
Management, Inc. with respect to the Union Street Partners Value Fund.
7
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(d)(3) |
Investment
Advisory Agreement between the Registrant and Perkins Capital Management,
Inc.
18
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(d)(4) |
Investment
Advisory Agreement between the Registrant and Dalton, Greiner, Hartman, Maher
& Co., LLC with respect to the DGHM All-Cap Value Fund.
12
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(d)(5) |
Investment
Advisory Agreement between the Registrant and Dalton, Greiner, Hartman, Maher
& Co., LLC with respect to the DGHM V2000 SmallCap Value Fund.
12
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(d)(6) |
Investment
Advisory Agreement between the Registrant and Real Estate Management Services Group,
LLC with respect to the REMS International Real Estate Value-Opportunity Fund.
14
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(d)(7) |
Investment
Advisory Agreement between the Registrant and B. Riley Asset Management, LLC with respect to the B. Riley Diversified Equity
Fund.
15
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(d)(8) |
Investment
Advisory Agreement between the Registrant and Toreador Research & Trading,
LLC with respect to the Toreador International Fund.
20
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(d)(9) |
Investment
Advisory Agreement between the Registrant and Toreador Research & Trading,
LLC with respect to the Toreador Core Fund.
40
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(d)(10) |
Investment
Advisory Agreement between the Registrant and Toreador Research & Trading,
LLC with respect to the Toreador Explorer Fund.
40
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(d)(11) |
Investment
Advisory Agreement between the Registrant and Commonwealth Capital Management, LLC
with respect to the Global Strategic Income Fund (formerly known as the European
Equity Fund)).
21
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(d)(12) |
Investment
Sub-Advisory Agreement between Commonwealth Capital Management, LLC and Shikiar
Asset Management, Inc. with respect to the Global Strategic Income Fund (formerly
known as the European Equity Fund).
40
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(d)(13) |
Investment
Advisory Agreement between the Registrant and Real Estate Management Services,
LLC with respect to the REMS Real Estate Income 50/50 Fund.
22
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(d)(14) |
Investment
Advisory Agreement between the Registrant and Real Estate Management Services,
LLC with respect to the REMS Real Estate Value-Opportunity Fund.
23
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(d)(15) |
Investment
Advisory Agreement between the Registrant and Chicago Partners Investment
Group, LLC with respect to the Big 4 OneFund.
25
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(d)(16) |
Investment
Advisory Agreement between the Registrant and Strategic Asset Management,
Ltd. with respect to the Strategic Latin America Fund.
26
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(e)(1) |
Principal
Underwriter Agreement dated October 1, 2008 between the Registrant and First Dominion Capital Corp.
2
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(e)(2) |
Amended
and Restated Principal Underwriter Agreement dated October 1, 2008 between the Registrant and First Dominion Capital Corp.
3
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(e)(3) |
Schedule
B to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between the Registrant and First Dominion Capital Corp, updated August 2, 2013.
12
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(e)(4) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated October 11, 2013.
14
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(e)(5) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated November 26, 2013.
15
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(e)(6) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated August 15, 2014.
20
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(e)(7) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated August 15, 2014.
21
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(e)(8) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated August 15, 2014.
22
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(e)(9) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated August 15, 2014.
23
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(e)(10) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated September 19, 2014.
25
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(e)(11) |
Schedule B
to Amended and Restated Principal Underwriter Agreement dated October 1, 2008 between
the Registrant and First Dominion Capital Corp, updated October 31, 2014.
40
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(f) |
Not applicable.
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(g)(1) |
Custody Agreement
dated July 30, 2008 between the Registrant and UMB Bank, N.A.
2
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(g)(2) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated June 15, 2008, between
the Registrant and UMB Bank, N.A., to include the Union Street Partners Value Fund.
8
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(g)(3) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated June 15, 2008, between
the Registrant and UMB Bank, N.A., to include the Perkins Discovery Fund.
15
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(g)(4) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated June 15, 2008, between
the Registrant and UMB Bank, N.A., to include the B. Riley Diversified Equity Fund.
15
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(g)(5) |
Custodian
Agreement dated July 25, 2005 between the Funds prior Registrant and Brown
Brothers Harriman with respect to Toreador International Fund and the Global Strategic
Income Fund (formerly known as the European Equity Fund).
29
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(g)(6) |
Novation Agreement
dated August 15, 2014 for Custodian Services between the Registrant and Brown Brothers
Harriman with respect to Toreador International Fund and the Global Strategic Income
Fund (formerly known as the European Equity Fund).
29
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(g)(7) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated August 15, 2014 between
the Registrant and UMB Bank, N.A., to include the REMS Real Estate Income 50/50
Fund.
22
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(g)(8) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated August 15, 2014 between
the Registrant and UMB Bank, N.A., to include the REMS Real Estate Value-Opportunity
Fund.
23
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(g)(9) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated September 19, 2014 between
the Registrant and UMB Bank, N.A., to include the Big 4 OneFund.
25
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(g)(10) |
Amended Appendix
B and revised Appendix C to the Custody Agreement, dated October 31, 2014 between
the Registrant and UMB Bank, N.A., to include the Strategic Latin America Fund.
26
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(g)(11) |
Custody Agreement
between the Registrant and Fifth Third Bank on behalf of certain portfolio series.
40
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(h)(1) |
Administrative
Services Agreement dated July 30, 2008 between the Registrant and Commonwealth Shareholder
Services, Inc.
3
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(h)(2) |
Schedule A
to the Administrative Services Agreement.
4
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(h)(3) |
Amended and
Restated Administrative Services Agreement dated July 30, 2008, as amended and restated
between the Registrant and Commonwealth Shareholder Services, Inc.
4
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(h)(4) |
Amended and
Restated Administrative Services Agreement between the Registrant and Commonwealth
Shareholder Services, Inc.
5
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(h)(5) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Union Street Partners
Value Fund.
5
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(h)(6) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Perkins Discovery
Fund.
8
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(h)(7) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the DGHM Funds.
12
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(h)(8) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the REMS International
Real Estate Value-Opportunity Fund.
14
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(h)(9) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the B. Riley Diversified
Equity Fund.
15
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(h)(10) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Toreador International
Fund.
20
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(h)(11) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Toreador Core Fund.
40
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(h)(12) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Toreador Explorer
Fund.
40
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(h)(13) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Global Strategic
Income Fund (formerly known as the European Equity Fund).
21
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(h)(14) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the REMS Real Estate
Income 50/50 Fund.
22
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(h)(15) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the REMS Real Estate
Value-Opportunity Fund.
23
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(h)(16) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Big 4 OneFund.
25
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(h)(17) |
Schedule A
to the Administrative Services Agreement, dated July 30, 2008, between the Registrant
and Commonwealth Shareholder Services, Inc., with respect to the Strategic Latin
America Fund.
26
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(h)(18) |
Transfer Agency
and Services Agreement dated October 1, 2008 between the Registrant and Commonwealth
Fund Services, Inc.
3
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(h)(19) |
Schedule C
to the Transfer Agency and Services Agreement dated October 1, 2008 between the
Registrant and Commonwealth Fund Services, Inc.
4
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(h)(20) |
Amended and
Restated Transfer Agency and Services Agreement between the Registrant and Commonwealth
Fund Services.
5
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(h)(21) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Union Street
Partners Value Fund.
5
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(h)(22) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Perkins Discovery
Fund.
8
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(h)(23) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the DGHM Funds.
12
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(h)(24) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the REMS International
Real Estate Value-Opportunity Fund.
14
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(h)(25) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the B. Riley Diversified
Equity Fund.
15
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(h)(26) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Toreador International
Fund.
20
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(h)(27) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Toreador Core
Fund.
40
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(h)(28) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Toreador Explorer
Fund.
40
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(h)(29) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Global Strategic
Income Fund (formerly known as the European Equity Fund).
21
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(h)(30) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the REMS Real Estate
Income 50/50 Fund.
22
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(h)(31) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the REMS Real Estate
Value-Opportunity Fund.
23
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(h)(32) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Big 4 OneFund.
25
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(h)(33) |
Schedule C
to the Transfer Agency and Services Agreement, dated October 1, 2008, between the
Registrant and Commonwealth Fund Services, Inc., with respect to the Strategic Latin
America Fund.
26
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(h)(34) |
Accounting
Services Agreement dated July 30, 2008 between the Registrant and Commonwealth Fund
Accounting, Inc.
3
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(h)(35) |
Schedule A
to the Accounting Services Agreement dated July 30, 2008 between the Registrant
and Commonwealth Fund Accounting, Inc.
4
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(h)(36) |
Amended and
Restated Accounting Services Agreement between the Registrant and Commonwealth Fund
Accounting, Inc.
5
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(h)(37) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the Union Street Partners
Value Fund.
5
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(h)(38) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the Perkins Discovery Fund.
8
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(h)(39) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the DGHM Funds.
12
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(h)(40) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the B. Riley Diversified
Equity Fund.
15
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(h)(41) |
Accounting
Services Agreement dated August 23, 2006 between the prior Funds Registrant
and Brown Brothers Harriman with respect to Toreador International Fund and the
Global Strategic Income Fund (formerly known as the European Equity Fund).
29
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(h)(42) |
Novation Agreement
dated August 15, 2014 for Accounting Services between the Registrant and Brown Brothers
Harriman with respect to Toreador International Fund and the Global Strategic Income
Fund (formerly known as the European Equity Fund).
29
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(h)(43) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the Toreador Core Fund.
40
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(h)(44) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the Toreador Explorer Fund.
40
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(h)(45) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the REMS Real Estate Income
50/50 Fund.
22
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(h)(46) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the REMS Real Estate Value-Opportunity
Fund.
23
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(h)(47) |
Schedule A
to the Accounting Services Agreement, dated August 30, 2008, between the Registrant
and Commonwealth Fund Accounting, Inc., with respect to the Big 4 OneFund.
25
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(h)(48) |
Accounting
Services Agreement dated October 31, 2014 between the Registrant and UMB Fund Services,
Inc. with respect to Strategic Latin America Fund.
26
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(h)(49) |
Expense Limitation
Agreement between the Registrant and Union Street Partners, LLC with respect to
the Class A Shares and Class C Shares of the Union Street Partners Value Fund.
7
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(h)(50) |
Expense Limitation
Agreement between the Registrant and McGinn Investment Management, Inc. with respect
to the Class A Shares of the Union Street Partners Value Fund.
6
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(h)(51) |
Expense Limitation
Agreement between the Registrant and Perkins Capital Management, Inc. with respect
to shares of the Perkins Discovery Fund.
18
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(h)(52) |
Expense Limitation
Agreement between the Registrant and Dalton, Greiner, Hartman, Maher & Co.,
LLC with respect to the DGHM Funds.
40
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(h)(53) |
Expense Limitation
Agreement between the Registrant and Real Estate Management Services Group, LLC
with respect to the REMS International Real Estate Value-Opportunity Fund.
40
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(h)(54) |
Expense Limitation
Agreement between the Registrant and B. Riley Asset Management, LLC with respect
to the B. Riley Diversified Equity Fund.
15
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(h)(55) |
Expense Limitation
Agreement between the Registrant and Toreador Research & Trading, LLC with
respect to the Toreador International Fund and Toreador Explorer Fund.
40
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(h)(56) |
Expense Limitation
Agreement between the Registrant and Toreador Research & Trading, LLC with
respect to the Toreador Core Fund.
40
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(h)(57) |
Expense Limitation
Agreement between the Registrant and Commonwealth Capital Management,
LLC with respect to the Global Strategic Income Fund (formerly known as the European
Equity Fund).
21
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(h)(58) |
Expense Limitation
Agreement between the Registrant and Real Estate Management Services, LLC with respect
to the REMS Real Estate Income 50/50 Fund.
40
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||
(h)(59) |
Expense Limitation
Agreement between the Registrant and Real Estate Management Services, LLC with respect
to the REMS Real Estate Value-Opportunity Fund.
40
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|
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||
(h)(60) |
Expense Limitation
Agreement between the Registrant and Chicago Partners Investment Group, LLC with
respect to the Big 4 OneFund.
25
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||
(h)(61) |
Expense Limitation
Agreement between the Registrant and Strategic Asset Management, Ltd. with respect
to the Strategic Latin America Fund.
26
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||
(h)(62) |
Shareholder
Services Plan dated October 1, 2008.
3
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||
(h)(63) |
Revised Schedule
A to the Shareholder Services Plan dated October 1, 2008.
4
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||
(h)(64) |
Amended Schedule
A to the Shareholder Services Plan.
5
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||
(h)(65) |
Shareholder
Services Plan, dated August 2, 2013, with respect to DGHM V2000 SmallCap Value Fund
Investor Class Shares.
12
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||
(h)(66) |
Amended Schedule
A to the Shareholder Services Plan with respect to the REMS International Real Estate
Value-Opportunity Fund.
14
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||
(h)(67) |
Administrative
Services Plan with respect to the Retail Class Shares of the Toreador Core Fund.
40
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||
(i)(1) |
Opinion and
Consent of Legal Counsel for Union Street Partners Value Fund.
5
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||
(i)(2) |
Consent of
Legal Counsel for Union Street Partners Value Fund.
28
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||
(i)(3) |
Opinion and
Consent of Legal Counsel for Perkins Discovery Fund.
9
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|
||
(i)(4) |
Consent of
Legal Counsel for Perkins Discovery Fund.
37
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|
||
(i)(5) |
Opinion and
Consent of Legal Counsel for DGHM Funds.
13
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|
||
(i)(6) |
Consent of
Legal Counsel for DGHM Funds.
36
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||
(i)(7) |
Opinion and
Consent of Legal Counsel for REMS International Real Estate Value-Opportunity Fund.
14
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||
(i)(8) |
Consent of
Legal Counsel for B. Riley Diversified Equity Fund.
29
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||
(i)(9) |
Consent of
Legal Counsel for Toreador International Fund.
27
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||
(i)(10) |
Opinion of
Legal Counsel for Toreador International Fund.
28
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|
||
(i)(11) |
Opinion and
Consent of Legal Counsel for Toreador Core Fund.
32
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||
(i)(12) |
Opinion of
Legal Counsel for Toreador Core Fund.
32
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||
(i)(13) |
Opinion and
Consent of Counsel regarding tax matters for the Toreador Core Fund.
39
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||
(i)(14) |
Opinion and
Consent of Legal Counsel for Toreador Explorer Fund.
30
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|
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||
(i)(15) |
Consent of
Legal Counsel for the Global Strategic Income Fund (formerly known as the European
Equity Fund).
33
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(i)(16) |
Opinion of
Legal Counsel for the European Equity Fund.
28
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|
|
||
(i)(17) |
Opinion and
Consent of Legal Counsel for REMS Real Estate Income 50/50 Fund.
22
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||
(i)(18) |
Opinion of
Legal Counsel for REMS Real Estate Income 50/50 Fund.
28
|
|
|
||
(i)(19) |
Opinion and
Consent of Legal Counsel for REMS Real Estate Value-Opportunity Fund.
23
|
|
|
||
(i)(20) |
Opinion of
Legal Counsel for REMS Real Estate Value-Opportunity Fund.
28
|
|
|
||
(i)(21) |
Consent of
Legal Counsel for REMS International Real Estate Value-Opportunity Fund, REMS Real
Estate Income 50/50 Fund and REMS Real Estate Value-Opportunity Fund.
31
|
|
|
||
(i)(22) |
Opinion and
Consent of Legal Counsel for Big 4 OneFund.
25
|
|
|
||
(i)(23) |
Opinion and
Consent of Legal Counsel for Strategic Latin America Fund.
26
|
|
|
||
(i)(24) |
Consent of
Legal Counsel for Strategic Latin America Fund.
38
|
|
|
||
(j)(1) |
Consent of
independent public accountants for Union Street Partners Value Fund.
28
|
|
|
||
(j)(2) |
Consent of
independent public accountants for Perkins Discovery Fund.
37
|
|
|
||
(j)(3) |
Consent of
independent public accountants for DGHM Funds.
36
|
|
|
||
(j)(4) |
Consent of
independent public accountants for REMS International Real Estate Value-Opportunity
Fund, REMS Real Estate Income 50/50 Fund, and REMS Real Estate Value-Opportunity
Fund.
32
|
|
|
||
(j)(5) |
Consent of
independent public accountants for REMS International Real Estate Value-Opportunity
Fund.
34
|
|
|
||
(j)(6) |
Consent of
independent public accountants for B. Riley Diversified Equity Fund.
29
|
|
|
||
(j)(7) |
Consent of
independent public accountants for Toreador International Fund.
27
|
|
|
||
(j)(8) |
Consent of
independent public accountants for Toreador Core Fund.
32
|
|
|
||
(j)(9) |
Consent of
independent public accountants for the Global Strategic Income Fund (formerly known
as the European Equity Fund).
35
|
|
|
||
(j)(10) |
Consent of
independent public accountants for Strategic Latin America Fund.
38
|
|
|
||
(k) |
Not applicable.
|
|
|
||
(l) |
Not applicable.
|
|
|
||
(m)(1) |
Plans of Distribution
Pursuant to Rule 12b-1dated October 1, 2008, with respect to Class A Shares, Class
C Shares and Class P (Platform) Shares.
3
|
|
|
||
(m)(2) |
Revised Schedule
A to the Plans of Distribution Pursuant to Rule 12b-1 dated October 1, 2008, with
respect to Class A Shares, Class C Shares and Class P (Platform) Shares.
4
|
|
|
||
(m)(3) |
Amended Schedule
A to the Distribution Plan Pursuant to Rule 12b-1.
26
|
|
|
||
(m)(4) |
Fixed Compensation
Plan pursuant to Rule 12b-1 for Perkins Discovery Fund.
18
|
|
|
||
(m)(5) |
Distribution
Plan Pursuant to Rule 12b-1, dated August 2, 2013, for the Investor Class Shares and
Class C Shares of the DGHM Funds.
12
|
(m)(6) |
Distribution
Plan Pursuant to Rule 12b-1, dated November 26, 2013, for the Investor Class Shares
of the B. Riley Diversified Equity Fund.
19
|
|
|
||
(m)(7) |
Distribution
Plan Pursuant to Rule 12b-1, dated August 15, 2014, for the Investor Class Shares
and Class C Shares of the Toreador International Fund.
20
|
|
|
||
(m)(8) |
Distribution
Plan Pursuant to Rule 12b-1, dated October 31, 2014, for the Investor Class Shares
of the Toreador Explorer Fund.
40
|
|
|
||
(m)(9) |
Distribution
Plan Pursuant to Rule 12b-1, dated August 15, 2014, for the Class A Shares and Class
C Shares of the Global Strategic Income Fund (formerly known as the European Equity
Fund).
21
|
|
|
||
(m)(10) |
Distribution
Plan Pursuant to Rule 12b-1, dated August 15, 2014, for the Platform Class Shares
of the REMS Real Estate Income 50/50 Fund.
22
|
|
|
||
(m)(11) |
Distribution
Plan Pursuant to Rule 12b-1, dated August 15, 2014, for the Platform Class Shares
of the REMS Real Estate Value-Opportunity Fund.
23
|
|
|
||
(m)(12) |
Distribution
Plan Pursuant to Rule 12b-1, dated May 16, 2014, for the Class A Shares, of the
B. Riley Diversified Equity Fund.
19
|
|
|
||
(m)(13) |
Distribution
Plan Pursuant to Rule 12b-1, dated September 19, 2014, for the Investor Class Shares
of the Big 4 OneFund.
25
|
|
|
||
(m)(14) |
Distribution
Plan Pursuant to Rule 12b-1, dated October 31, 2014, for the Class A Shares of the
Strategic Latin America Fund.
26
|
|
|
||
(n)(1) |
Rule 18f-3
Multiple Class Plan with respect to Class A Shares and Class C Shares of the Union
Street Partners Value Fund.
5
|
|
|
||
(n)(2) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class Shares, Investor Class Shares
and Class C Shares of the DGHM Funds.
12
|
|
|
||
(n)(3) |
Rule 18f-3
Multiple Class Plan with respect to Class A Shares, Institutional Class Shares and
Investor Class Shares of the B. Riley Diversified Equity Fund.
19
|
|
|
||
(n)(4) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class Shares, Class C Shares and
Investor Class Shares of the Toreador International Fund.
20
|
|
|
||
(n)(5) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class Shares, and Retail Class
Shares of the Toreador Core Fund.
40
|
|
|
||
(n)(6) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class Shares, and Investor Class
Shares of the Toreador Explorer Fund.
40
|
|
|
||
(n)(7) |
Rule 18f-3
Multiple Class Plan with respect to Class A Shares and Class C Shares of the Global
Strategic Income Fund (formerly known as the European Equity Fund).
21
|
|
|
||
(n)(8) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class and Platform Class Shares
of the REMS Real Estate Income 50/50 Fund.
22
|
|
|
||
(n)(9) |
Rule 18f-3
Multiple Class Plan with respect to Institutional Class Shares and Platform Class
Shares of the REMS Real Estate Value-Opportunity Fund.
23
|
|
|
||
(n)(10) |
Rule 18f-3
Multiple Class Plan with respect to Investor Class Shares and Institutional Class
Shares of the Big 4 OneFund.
25
|
|
|
||
(o) |
Reserved.
|
(p)(1) |
Combined Code
of Ethics for the Registrant, Commonwealth Capital Management, LLC and First Dominion
Capital Corp. (the distributor for the Registrant).
4
|
|
|
||
(p)(2) |
Code of Ethics
for Union Street Partners, LLC.
5
|
|
|
||
(p)(3) |
Code of Ethics
for McGinn Investment Management, Inc.
20
|
|
|
||
(p)(4) |
Code of Ethics
for Perkins Capital Management, Inc.
8
|
|
|
||
(p)(5) |
Code of Ethics
for Real Estate Management Services Group, LLC.
22
|
|
|
||
(p)(6) |
Code of Ethics
for B. Riley Asset Management, LLC.
15
|
|
|
||
(p)(7) |
Code of Ethics
for Toreador Research & Trading, LLC.
27
|
|
|
||
(p)(8) |
Code of Ethics
for Commonwealth Capital Management, LLC.
21
|
|
|
||
(p)(9) |
Code of Ethics
for Shikiar Asset Management, Inc.
40
|
|
|
||
(p)(10) |
Code of Ethics
for Dalton, Greiner, Hartman, Maher & Co., LLC.
17
|
|
|
||
(p)(11) |
Code of Ethics
for Chicago Partners Investment Group, LLC.
25
|
|
|
||
(p)(12) |
Code of Ethics
for Strategic Asset Management, Ltd.
26
|
|
|
||
(q) |
Powers of
Attorney.
36
|
1. |
Incorporated
herein by reference to Registrants Registration Statement on Form N-1A filed
on July 8, 2008 (File Nos. 333-148723 and 811-22172).
|
|
2. |
Incorporated
herein by reference to Registrants Registration Statement on Form N-1A filed
on August 28, 2008 (File Nos. 333-148723 and 811-22172).
|
|
3. |
Incorporated
herein by reference to Registrants Registration Statement on Form N-1A filed
on October 2, 2008 (File Nos. 333-148723 and 811-22172).
|
|
4. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on November
25, 2008 (File Nos. 333-148723 and 811-22172).
|
|
5. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on December
13, 2010 (File Nos. 333-148723 and 811-22172).
|
|
6. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on January
24, 2011 (file Nos. 333-148723 and 811-22172).
|
|
7. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on April
7, 2011 (file Nos. 333-148723 and 811-22172).
|
|
8. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
17, 2012 (file Nos. 333-148723 and 811-22172).
|
|
9. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on October
29, 2012 (file Nos. 333-148723 and 811-22172)
|
|
10. |
Omitted.
|
|
11. |
Omitted.
|
|
12. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
9, 2013. (File Nos. 333-148723 and 811-22172).
|
|
13. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on October
23, 2013. (File Nos. 333-148723 and 811-22172).
|
|
14. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on December
26, 2013. (File Nos. 333-148723 and 811-22172).
|
|
15. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on February
10, 2014. (File Nos. 333-148723 and 811-22172).
|
|
16. |
Omitted.
|
|
17. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on June
30, 2014. (File Nos. 333-148723 and 811-22172).
|
|
18. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on July 29, 2014.
(File Nos. 333-148723 and 811-22172).
|
19. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
1, 2014. (File Nos. 333-148723 and 811-22172).
|
|
20. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
15, 2014. (File Nos. 333-148723 and 811-22172).
|
|
21. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
15, 2014. (File Nos. 333-148723 and 811-22172).
|
|
22. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
15, 2014. (File Nos. 333-148723 and 811-22172).
|
|
23. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on August
15, 2014. (File Nos. 333-148723 and 811-22172).
|
|
24. |
Omitted.
|
|
25. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on September
19, 2014. (File Nos. 333-148723 and 811-22172).
|
|
26. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on October
31, 2014. (File Nos. 333-148723 and 811-22172).
|
|
27. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on December
29, 2014. (File Nos. 333-148723 and 811-22172).
|
|
28. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on January
28, 2015. (File Nos. 333-148723 and 811-22172).
|
|
29. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on March
31, 2015. (File Nos. 333-148723 and 811-22172).
|
|
30. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on April
29, 2015. (File Nos. 333-148723 and 811-22172).
|
|
31. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on April
30, 2015. (File Nos. 333-148723 and 811-22172).
|
|
32. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on May
8, 2015. (File Nos. 333-148723 and 811-22172).
|
|
33. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on May
21, 2015. (File Nos. 333-148723 and 811-22172).
|
|
34. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on June
8, 2015. (File Nos. 333-148723 and 811-22172).
|
|
35. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on June
23, 2015. (File Nos. 333-148723 and 811-22172).
|
|
36. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on June
29, 2015. (File Nos. 333-148723 and 811-22172).
|
|
37. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on July
29, 2015. (File Nos. 333-148723 and 811-22172).
|
|
38. |
Incorporated
by reference to Registrants Registration Statement on Form N-1A filed on July
29, 2015. (File Nos. 333-148723 and 811-22172).
|
|
39. |
Filed herewith.
|
|
40. |
Filed by amendment.
|
Item 29. Persons Controlled By or Under Common Control With Registrant
None.
Item 30. Indemnification
See Article VIII, Section 2 of the Registrants Agreement and Declaration of Trust and the section titled Indemnification of Trustees, Officers, Employees and Other Agents in the Registrants By-Laws.
Insofar as indemnification for liabilities arising under the Securities Act of 1933, as amended (Securities Act), may be permitted to trustees, officers and controlling persons of the Registrant by the Registrant pursuant to the Declaration of Trust or otherwise, the Registrant is aware that in the opinion of the Securities and Exchange Commission, such indemnification is against public policy as
expressed in the Securities Act and, therefore, is unenforceable. In the event that a claim for indemnification against such liabilities (other than the payment by the Registrant of expenses incurred or paid by trustees, officers or controlling persons of the Registrant in connection with the successful defense of any act, suit or proceeding) is asserted by such trustees, officers or controlling persons in connection with the shares being registered, the Registrant will, unless in the opinion of its counsel the matter has been settled by controlling precedent, submit to a court of appropriate jurisdiction the question whether such indemnification by it is against public policy as expressed in the Securities Act and will be governed by the final adjudication of such issues.
Item 31. Business and other Connections of the Investment Adviser
The list required by this Item 31 as to any other business, profession, vocation or employment of a substantial nature in which each of the investment advisers and sub-advisers, and each director, officer or partner of such investment advisers or sub-advisers, is or has been engaged within the last two fiscal years for his or her own account or in the capacity of director, officer, employee, partner or trustee, is incorporated herein by reference to Schedules A and D of each investment advisers or sub-advisers Form ADV listed opposite such investment advisers or sub-advisers name below, which is currently on file with the SEC as required by the Investment Advisers Act of 1940, as amended.
Item 32. Principal Underwriters | ||
a) |
First Dominion Capital Corp. also acts as underwriter to The World Funds, Inc.
|
|
b) |
First Dominion
Capital Corp. The information required by this Item 32(b) with respect to each director,
officer or partner of FDCC is incorporated herein by reference to Schedule A of
Form BD, filed by FDCC with the SEC pursuant to the Securities Exchange Act of 1934, as amended
(File No. 8-33719).
|
|
c) | Not applicable. |
Item 33. Location of Accounts and Records
The accounts, books or other documents of the Registrant required to be maintained by Section 31(a) of the Investment Company Act of 1940, as amended, and the rules promulgated thereunder are kept in several locations:
a) |
Commonwealth
Fund Services, Inc., 8730 Stony Point Parkway, Suite 205, Richmond, Virginia
23235 (records relating to its function as transfer agent to the Funds).
|
|
b) |
Commonwealth Shareholder Services, Inc., 8730 Stony Point Parkway, Suite 205, Richmond, Virginia 23235 (records relating to its function as administrator to the Funds).
|
c) |
First
Dominion Capital Corporation, 8730 Stony Point Parkway, Suite 205, Richmond, Virginia
23235 (records relating to its function as distributor to the Funds).
|
|
|
||
d) |
Commonwealth
Fund Accounting, Inc., 8730 Stony Point Parkway, Suite 205, Richmond, Virginia
23235 (records relating to its function as fund accounting agent to the Funds).
|
|
|
||
e) |
Union
Street Partners LLC, 1421 Prince Street, Suite 400 Alexandria, VA 22314. (records
relating to its function as investment adviser to the Union Street Partners
Value Fund).
|
|
|
||
f) |
McGinn
Investment Management, Inc., 201 North Union Street, Suite 101, Alexandria, Virginia
22314 (records relating to its function as sub-adviser to the Union Street
Partners Value Fund).
|
|
|
||
g) |
Perkins
Capital Management, Inc., 730 East Lake Street, Wayzata, MN 55391-1769 (records
relating to its function as investment adviser to the Perkins Discovery Fund).
|
|
|
||
h) |
Dalton,
Greiner, Hartman, Maher & Co., LLC, 565 Fifth Avenue, Suite 2101, New York,
NY 10017 (records relating to its function as the investment adviser to the
DGHM Funds).
|
|
|
||
i) |
Real Estate
Management Services Group, LLC, 1100 Fifth Avenue, South, Suite 301, Naples, FL
34102-6407 (records relating to its function as the investment adviser to the REMS
International Real Estate Value-Opportunity Fund; REMS Real Estate Income 50/50
Fund and REMS Real Estate Value-Opportunity Fund).
|
|
|
||
j) |
B. Riley Asset
Management, LLC, 11100 Santa Monica Blvd., Suite 800, Los Angeles, California 90025 (records relating to its function as the investment adviser to the B. Riley Diversified Equity Fund).
|
|
|
||
k) |
Toreador
Research & Trading, LLC, 7493 N. Ingram Avenue, Suite 104, Fresno, California
93711 (records relating to its function as the investment adviser to the Toreador
International Fund).
|
|
|
||
l) |
Commonwealth
Capital Management, LLC, 8730 Stony Point Parkway, Suite 205, Richmond, VA 23235
(records relating to its function as the investment adviser to the Global Strategic
Income Fund (formerly known as the European Equity Fund)).
|
|
|
||
m) |
Shikiar Asset
Management, Inc., 1185 Avenue of the Americas, 18
th
Floor, New York,
New York 10036 (records relating to its function as sub-adviser to the Global Strategic
Income Fund (formerly known as the European Equity Fund)).
|
|
|
||
n) |
Chicago
Partners Investment Group, LLC, One North Wacker Drive, Suite 4110, Chicago, Illinois 60606 (records relating to its function as the investment adviser to the Big 4 OneFund).
|
|
|
||
o) |
Strategic
Asset Management, Ltd., Calle Ayacucho No. 277, La Paz, Bolivia (records relating
to its function as the investment adviser to the Strategic Latin America Fund).
|
Item 34. Management Services
There are no management-related service contracts not discussed in Parts A or B of this Form.
Item 35. Undertakings
Not applicable.
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) of the Securities Act and has duly caused this Post-Effective Amendment No. 129 to the Registrants Registration Statement to be signed on its behalf by the undersigned, thereunto duly authorized, in the City of Richmond, Commonwealth of Virginia on the 5th day of August, 2015.
WORLD FUNDS TRUST | |
By: /s/ John Pasco, III | |
John Pasco, III | |
Trustee and Chairman |
Pursuant to the requirements of the Securities Act of 1933, as amended, this Post-Effective Amendment No. 129 to the Registration Statement on Form N-1A has been signed below by the following persons in the capacities and on the dates indicated.
Signature | Title | Date | ||
/s/ John Pasco, III | Trustee and Chairman | August 5, 2015 | ||
*David J. Urban | Trustee | August 5, 2015 | ||
*Mary Lou H. Ivey | Trustee | August 5, 2015 | ||
*Theo H. Pitt | Trustee | August 5, 2015 | ||
/s/ Karen Shupe | Treasurer and Chief Financial Officer | August 5, 2015 |
*By: Karen M. Shupe
*Attorney-in-fact pursuant to Powers of Attorney
EXHIBIT
(i) (13) | Opinion and Consent of Counsel regarding tax matters for the Toreador Core Fund. |
|
Robert M. Elwood | |
The Law Offices of John H. Lively & | ||
Associates, Inc. | ||
A Member Firm of The 1940 Act Law Group TM | ||
463 Athens Avenue | ||
Wynnewood, PA 19096 | ||
Phone: 484.477.2729 Fax: 913.660.9157 | ||
robert.elwood@1940actlawgroup.com |
May 8, 2015
World Funds Trust
8730 Stony Point Parkway,
Suite 205
Richmond, Virginia 23235
Unified Series Trust
2960 N. Meridian
St., Suite 300
Indianapolis, IN 46208
Re:
Toreador Core Fund Reorganization
Ladies and Gentlemen:
We are acting as special tax counsel to World Funds Trust, a Delaware statutory trust, with its principal place of business at 8730 Stony Point Parkway, Suite 205, Richmond, Virginia 23235 ( New Trust ), on behalf of a single segregated portfolio of assets ( series ) thereof listed under the heading Acquiring Fund on Schedule A attached hereto ( Schedule A ) ( Acquiring Fund ), and Unified Series Trust, an Ohio business trust, with its principal place of business at 2960 N. Meridian St., Suite 300, Indianapolis, IN 46208 ( Old Trust ), on behalf of the series thereof listed under the heading Acquired Fund on Schedule A ( Acquired Fund and, together with the Acquiring Fund, the Fund ), in connection with the reorganization (the Reorganization) contemplated by the Agreement and Plan of Reorganization (the Agreement) made as of April 6, 2015 by and between New Trust, on behalf of the Acquiring Fund, and Old Trust, on behalf of the Acquired Fund. The Reorganization will consist of the transfer of all of the assets of the Acquired Fund to the Acquiring Fund (which is being established solely for the purpose of acquiring those assets and continuing such Acquired Funds business) in exchange solely for voting shares of the Acquiring Fund (the Acquiring Fund Shares), the assumption by the Acquiring Fund of all liabilities of the Acquired Fund, the distribution of the Acquiring Fund Shares to the shareholders of the Acquired Fund in complete liquidation of the
World Funds
Trust
Unified Series Trust
May 8, 2015
Acquired Fund and the termination of the Acquired Fund, as provided in the Agreement. The Reorganization is scheduled to close on the date of this letter (the Closing Date).
In connection
with rendering our opinion, we have examined: (i) the Agreement; (ii) the Registration/Proxy
Statement; (iii) the representation letters of New Trust and Old Trust executed in
connection with the Reorganization (collectively, the Representation Letter
); (iv) such other documents and corporate records as we have deemed necessary
or appropriate for purposes of this opinion; and (v) the Code,
1
applicable
Treasury Department regulations in effect as of the date hereof, current published
administrative positions of the Internal Revenue Service (the Service) contained
in revenue rulings and procedures, and such other statutes, regulations, rulings
and decisions as we deemed material to the preparation of this opinion letter.
For purposes
of this opinion, we have assumed that the representations and warranties set forth
in the Agreement and the representations made in the Representation Letter are true
and correct and that the conditions to the parties obligations under the Agreement
will be satisfied and the parties will comply with their respective covenants thereunder.
We have relied on the representations and warranties in the Agreement and the representations
in the Representation Letter in rendering our opinion. To the extent that any of
the representations or warranties in the Agreementsor any of the representations
in the Representation Letter is inaccurate, the conclusions set forth herein may
also become inaccurate, or may no longer apply.
In formulating
our opinion, we have examined originals or copies, identified to our satisfaction,
of documents and other instruments that we have deemed necessary or appropriate
for purposes of this opinion. In performing such examination, we have assumed the
authenticity of all documents submitted to us as copies, the authenticity of the
originals of such latter documents, the genuineness of all signatures and the correctness
of all representations made therein. We cannot and do not represent that we checked
the accuracy or completeness of, or otherwise independently verified, any of the
various statements of fact contained in such documents and in documents incorporated
by reference therein. We have further assumed that there are no agreements or understandings
contemplated therein other than those contained in the documents.
In addition, we have assumed with your consent that: (i) the Reorganization will be consummated in accordance with the provisions of the Agreement and in the manner contemplated in the Registration/Proxy Statement, and none of the terms or conditions contained therein has been or will be modified in any respect relevant to this opinion; (ii) the statements and representations concerning the Reorganization set forth in the Registration/Proxy Statement, the Representation Letter, the Agreement, and the other documents referred to herein are, and, as of the effective time of the Reorganization, will be, true, accurate, and complete in all material respects; (iii) any representation or other
2
World Funds
Trust
Unified Series Trust
May 8, 2015
statement in the Registration/Proxy Statement, any Representation Letter, the Agreement, or any other document referred to herein made to the knowledge or similarly qualified is, and, as of the effective time of the Reorganization, will be, in each case, correct without such qualification; (iv) no action has been, or will be, taken that is inconsistent with any representation or other statement contained in the Registration/Proxy Statement, any Representation Letter, the Agreement, or any other document referred to herein; and (v) original documents (including signatures) are authentic, documents submitted to us as copies conform to the original documents, and there has been (or will be, by the effective time of the Reorganization) due execution and delivery of all documents where due execution and delivery are prerequisites to the effectiveness thereof.
Other than obtaining the representations set forth in the Representation Letter, we have not independently verified any factual matters in connection with, or apart from, our preparation of this opinion. Accordingly, our opinion does not take into account any matters not set forth herein that might have been disclosed by independent verification. In the course of preparing our opinion, nothing has come to our attention that would lead us to believe that any of the facts, representations, or other information on which we have relied in rendering our opinion is incorrect.
Based on the foregoing, and subject to the assumptions, exceptions, limitations, and qualifications set forth herein, it is our opinion that, for U.S. federal income tax purposes:
(a) The Acquiring Funds acquisition of the Assets in exchange solely for Acquiring Fund Shares and its assumption of the Liabilities, followed by Acquired Funds distribution of those shares pro rata to the Shareholders actually or constructively in exchange for their Acquired Fund Shares, will qualify as a reorganization (as defined in section 368(a)(1)(F)), and the Fund will be a party to a reorganization (within the meaning of section 368(b));
(b) The Acquired Fund will recognize no gain or loss on the transfer of the Assets to Acquiring Fund in exchange solely for Acquiring Fund Shares and Acquiring Funds assumption of the Liabilities or on the subsequent distribution of those shares to the Shareholders in exchange for their Acquired Fund Shares;
(c) The Acquiring Fund will recognize no gain or loss on its receipt of the Assets in exchange solely for Acquiring Fund Shares and its assumption of the Liabilities;
(d) The Acquiring Funds basis in each Asset will be the same as Acquired Funds basis therein immediately before the Reorganization, and Acquiring Funds holding period for each Asset will include Acquired Funds holding period therefor (except where Acquiring Funds investment activities have the effect of reducing or eliminating an Assets holding period);
(e) A Shareholder will recognize no gain or loss on the exchange of all its Acquired Fund Shares solely for Acquiring Fund Shares pursuant to the Reorganization;
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World Funds
Trust
Unified Series Trust
May 8, 2015
(f) A Shareholders aggregate basis in the Acquiring Fund Shares it receives in the Reorganization will be the same as the aggregate basis in its Acquired Fund Shares it actually or constructively surrenders in exchange for those Acquiring Fund Shares, and its holding period for those Acquiring Fund Shares will include, in each instance, its holding period for those Acquired Fund Shares, provided the Shareholder holds them as capital assets at the Effective Time; and
(g) For purposes of section 381, Acquiring Fund will be treated just as Acquired Fund would have been treated if there had been no Reorganization. Accordingly, the Reorganization will not result in the termination of Acquired Funds taxable year, Acquired Funds tax attributes enumerated in section 381(c) will be taken into account by Acquiring Fund as if there had been no Reorganization, and the part of Acquired Funds taxable year before the Reorganization will be included in Acquiring Funds taxable year after the Reorganization subject to any applicable conditions and limitations specified in sections 381, 382, 383 and 384 and the regulations thereunder.
This opinion expresses our views only as to the material U.S. federal income tax consequences of the Reorganization, and no opinion is expressed as to the tax consequences under non-U.S., state, or local tax laws or under U.S. federal tax laws other than those pertaining to income taxes. Our opinion is based on U.S. federal income tax laws in effect as of the date hereof. It represents our best legal judgment as to the matter addressed herein, but is not binding on the Internal Revenue Service or the courts. Accordingly, no assurance can be given that this opinion, if contested, would be sustained by a court. Furthermore, the authorities on which we rely are subject to change either prospectively or retroactively, and any such change, or any variation or difference in the facts from those on which we rely and assume as correct, as set forth above, might affect the conclusion stated herein. Nevertheless, by rendering this opinion, we undertake no responsibility to advise you of any changes or new developments in U.S. federal income tax laws or the application or interpretation thereof.
This opinion has been rendered to you solely for purposes of satisfying the requirements set forth in Section 6.3 of the Agreement and may be relied upon only by Old Trust, theAcquired Fund and its shareholders, New Trust, and the Acquiring Fund and its shareholders. This opinion letter (and the opinions expressed herein) may not be relied upon by you in any other manner or by any other person and may not be furnished to any other person without our prior written approval; provided, however, that in accordance with the requirements of Item 601(b)(23) of Regulation S-K under the Securities Act of 1933 (the Act), we hereby consent to the use of our name under the heading Information About the Reorganization Federal Income Tax Consequences in the Registration/Proxy Statement and to the filing of this opinion as an exhibit to the registration statement of the New trust or Old Trust, as deemed appropriate by legal counsel to the New Trust or Old Trust. In giving this consent, we do not admit that we come within the category of persons whose consent is required under Section 7 of the Act or the rules and regulations of the Securities Exchange Commission thereunder.
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World Funds Trust
Unified
Series Trust
May 8, 2015
Very truly yours,
On behalf of The Law Offices of John H.
Lively & Associates, Inc.
A member firm of The 1940 Act Law Group
TM
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THE ACQUIRED
FUND
(the Acquired Fund is a series of OLD TRUST) |
THE ACQUIRING
FUND
(the Acquiring Fund is a series of NEW TRUST) |
Toreador Core Fund | Toreador Core Fund |