Fund NAVs as of:
11/6/2009
Data quoted represent past performance, which is no guarantee of future
results. Investment returns and principal value will fluctuate so that when shares
are redeemed, they may be worth more or less than their original cost. Current performance
may be higher or lower than the data shown.
Net Asset Value (NAV) is the amount per share an investor would receive if
they sold shares that day. Change refers to the increase or decrease in the
fund's NAV from the previous trading day. % Change is the same, stated in
terms of percent.