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FMI Provident Trust Strategy (FMIRX)

On Feb 10: 7.43 USD  Up 0.08 (1.09%)  
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 FMI PROVIDENT TRUST STRATEGY FU Delayed quote dataEdit
Net Asset Value:7.43
Trade Time:Feb 10
Change:Up 0.08 (1.09%)
Prev Close:7.43
YTD Return*:22.79%
Net Assets*:103.70M
Yield*:0.12%
* As of 30-Nov-09
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 HEADLINES 
No headlines available for FMIRX.

 FUND BASICS30-Nov-09
Morningstar Overall Rating:5 stars
Total Assets:103.70M
Category:Large Growth
Total Expense Ratio:%
Fund Profile - Holdings


 PERFORMANCE & RISK30-Nov-09
YTD Return:22.79%
5y Avg Return:5.83%
Rank in Category (ytd):1581
% Rank in Category (ytd):86.96%
Beta (3y):0.58
Morningstar Risk Rating:Low
Performance Details - Risk Details

 FUND SUMMARY 
The investment seeks long-term growth of capital and income and high total return. The fund normally invests mainly in common stocks of United States companies. It may invest in companies of all sizes, but the common stocks the fund purchases are generally of companies having a market capitalization of $1 billion or more at the time of purchase. It may also invest mainly in bonds and other debt securities, or in both common stocks and debt securities. The fund is nondiversified.
Fund Profile - FMIRX Prospectus


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