This document outlines 13 model factors for evaluating investment funds: 1) % Rank over various time periods from 3 months to 15 years, 2) Alpha, 3) Manager Tenure, 4) Turnover, 5) Prospectus expense ratio, 6) Morningstar Rating which is broken down into top percentiles that receive 1 to 5 stars, 7) Relative Performance, 8) Alpha Rank, 9) Tenure Rank, 10) Turnover Rank, 11) Expense Ratio, 12) Stability Rank, and 13) Morningstar Rank.