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.20 ▼ 0.28%
Symbol Company Name Asset Class Last Change %/Net Change
HAINX Harbor International Fund Insti Cl Mutual Fund $71.24
Last Net Asset Value (NAV) $71.24
Ask: 71.24
Total Net Assets: $0
Previous Close: $71.44
Market Close as of: September 12, 2014

Income Distributions

Dividends: $1.4953
Interest: N/A

Capital Distributions

Short Term Gains: N/A
Unallocated Distributions: N/A
Long Term Gains: N/A
Return of Capital: N/A