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GLOBAL PRIME INVESTORS FUNDS
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GROWTH FUND CLASS A
Morningstar Reports
Ticker:
GPGWX
CUSIP:
531545102
Fund Code:
96
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NAV
(as of )
NAV:
$5.6200
$ Change:
$0.0200
% Change:
0.0100%
Rate/Quotations
(as of )
Daily Dividend Rate:
0.001234567
Avg. Maturity (days):
0
Redemption/Exchange charge(s) may apply.
NOTE:
Past performance is not indicative of future results.
Yields
%
As of Date
Daily:
0.0145%
Current 7-day:
0.0144%
Effective 7-day:
0.1013%
01/20/2003
30 day:
0.451%
01/20/2003
Annual:
5.30%
01/20/2003
Discount Category
Breakpoint Levels
Sales Commission
Dealer Concession
Price
Discount Category
999,999.99
50.000%
40.000%
$97.2400
01
999,999,999,999.99
50.000%
40.000%
$97.2400
05
9,999,999,999,999.99
0.000%
0.000%
$48.6200
09
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0000097-STATE MUNICIPAL-SHORT TERM
0000093-GLOBAL PRIME SMALL CAP
0000096-GROWTH FUND
0000302-MFB IWS MONEY MARKET FUND
0000095-MONEY MARKET
0000034-SHORT TERM MUNICIPAL
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