Posted on 04/02/06
FUND ASSET VALUES
Recent prices of closed investment funds supplied by Globe Interactive at 6:15 p.m. yesterday. Latest trading price represent values from GlobeInvestor.com. NAV (Net Asset Value) represents the latest value reported to Globefund.com by the fund companies. Premium - represents percantage difference between the fund's trading price and the fund's NAV. Discount - represents percentage difference between the fund's NAV and the fund's trading price. All data is for information purposes only. Confirmation of prices should be obtained from the fund.
The full text of this article has 3105 words.
To continue reading this article, you will need to purchase this article.
Already have a member account? Login now


