Net Asset Value Information (NAV) 

HOME > NET ASSET VALUE

Appleton Growth and Equity Fund (CUSIP 038042-10-7)

NAV Date Change Change%
6.83 7/22/2010 0.14 2.09%
[1/2279]

 

©2001, Appleton Partners, Inc.
Legal Notices, Copyright Policy, & Privacy Statement
How To Contact Appleton Funds