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This information does not
represent an offer to sell or a solicitation of an offer to buy or sell shares
of the Fund or any other security. Shares in the Fund are sold or bought only
based on the information contained in the current Fund Information Statement.
The Information Statement contains important information and should be read
carefully before investing. While the Fund seeks to maintain a stable net asset
value of $1.00 per share, there can be no assurance that the net asset value
will not vary from this price. An investment in the Fund is not insured or
guaranteed by the Federal Deposit Insurance Corporation or any other
governmental agency. Fund shares are marketed through PMA Securities, Inc.,
member FINRA.
The yields presented on this website represent past performance and are not a
guarantee of future results. The fund may, from time to time, adjust certain
management fees and expenses, which may affect the yield.
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