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You are here: Home / Uncategorized / Net Asset Values

August 12, 2000

Net Asset Values

Wednesday, August 13, 2014
Ticker Fund Name NAV %Chg
WQCEX Wright Major Blue Chip Equities Fund 18.19 +0.78
WSBEX Wright Selected Blue Chip Equities Fund 13.44 +1.05
WIBCX Wright International Blue Chip Equities Fund 16.25 +0.37
WCIFX Wright Current Income Fund 9.49 +0.21
WTRBX Wright Total Return Bond Fund 12.70 +0.08

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