Symbol List Views

Stock Details

 Save stocks for next time
 | Sponsored

InfoQuotes

Dynamic quotes, click this link to turn: Off Now this page updates every 7 Seconds.
Symbol Company Name Asset Class Last Change %/Net Change
XTYNX Tortoise North America Energy Corporation Mutual Fund $28.07 .090.32%
Last Net Asset Value (NAV) $28.07
Market Price: 31.15
Total Net Assets: N/A
Previous Close: $28.16
Market Close as of: June 17, 2013

Income Distributions

Dividends: N/A
Interest: N/A

Capital Distributions

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