GenomicsMedical SciencesDigital TechnologyTelecommunicationsEuroNet
Performance
NAVs
Buying Monument Funds
About Monument
What's New!
Most-Asked Questions
Managed Accounts
Application/IRA Info
People of Monument
News Media Center
Search/Site Help
Financial Professionals
Getting Help


Net asset values listed on this page are updated whenever possible each business day. This update is for the enjoyment of our users. The Monument Funds Group believes this information reliable but does not guarantee its accuracy.

Monument Medical Sciences Fund A:
* Net Asset Value as of Monday 11/13/00 : $28.82
* Change in NAV from previous day's close:-2.64
Monument Medical Sciences Fund B:
* Net Asset Value as of Monday 11/13/00 : $28.59
* Change in NAV from previous day's close:-2.62
Monument Medical Sciences Fund C:
* Net Asset Value as of Monday 11/13/00 : $28.73
* Change in NAV from previous day's close:-2.63
Monument Telecommunications Fund A:
* Net Asset Value as of Monday 11/13/00 : $18.66
* Change in NAV from previous day's close:-.18
Monument Telecommunications Fund B:
* Net Asset Value as of Monday 11/13/00 : $18.51
* Change in NAV from previous day's close:-.17
Monument Telecommunications Fund C:
* Net Asset Value as of Monday 11/13/00 : $18.57
* Change in NAV from previous day's close:-.18
Monument Internet Fund A:
* Net Asset Value as of Monday 11/13/00 : $8.55
* Change in NAV from previous day's close:-.30
Monument Internet Fund B:
* Net Asset Value as of Monday 11/13/00 : $8.46
* Change in NAV from previous day's close:-.31
Monument Internet Fund C:
* Net Asset Value as of Monday 11/13/00 : $8.53
* Change in NAV from previous day's close:-.31
Monument EuroNet Fund A:
* Net Asset Value as of Monday 11/13/00 : $6.25
* Change in NAV from previous day's close:-.37
Monument EuroNet Fund B:
* Net Asset Value as of Monday 11/13/00 : $6.26
* Change in NAV from previous day's close:-.38
Monument EuroNet Fund C:
* Net Asset Value as of Monday 11/13/00 : $6.25
* Change in NAV from previous day's close:-.38

If you would like to review historical NAVs of Monument Funds, they are available as a Microsoft Excel spreadsheet here.

   

Copyright © 2000 Monument Funds Group, Inc.

The materials available on this Web site are not an offer or a solicitation of an offer to buy any of the Monument Funds Group mutual funds, nor shall any of the funds be offered or sold to any person, in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful under the securities law of such jurisdiction.

For more information about Monument Series Funds or Monument World Funds, including charges and expenses, call 888-420-9950 for a prospectus. Read the prospectus carefully before you invest or send money.

Monument Distributors, Inc.
7920 Norfolk Avenue, Suite 500
Bethesda, MD 20814
301-215-7550(p)
301/215-7558(f)
888/420-9950

Member NASD/SIPC

Design by The Hastings Group