Method1 October 16 2013 March 28 2014.pdf


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Account Overview
Cumulative Return

Net Asset Value

PortfolioAnalyst

Key Statistics
Beginning NAV:

27,316.93

Ending NAV:

29,057.18

Cumulative Return:

6.37%

5 Day Return:

0.45%

(03/24/14 - 03/28/14)

10 Day Return:

0.69%

(03/17/14 - 03/28/14)

Best Return:

0.36%

(11/21/13)

Worst Return:

-0.01%

Deposits/Withdrawals:

0.00

(11/22/13)

Ending Asset Allocation

Page: 4