Fund Literature:
Fact Sheet
Summary Prospectus
Statutory Prospectus
Annual Report
Semi-Annual Report
Statement of Additional Information
Morningstar Article Reprint:
Important Information About Amana Growth Fund:
Amana Growth Fund (AMAGX): Statistics & Expenses
Fund Statistics
| As of December 31, 2011 | ||||
| Portfolio Manager since 1994: | Nicholas Kaiser |
Minimum Initial Investment: | $250 | |
| Ticker Symbol: | AMAGX | For Retirement Plans: | $100 | |
| CUSIP: | 022865208 | Retirement Accounts: | Yes | |
| Fund Inception: | February 3, 1994 | Check Writing: | Yes | |
| Total Net Assets | $2.09 Billion | Fiscal Year End: | May 31 | |
Expenses
| As of September 9, 2011 | |
| Maximum Sales Charge (Load) On Purchases: | 0% |
| Maximum Deferred Sales Charge: | 0% |
| Early Redemption Fee (on shares held less than 90 days): | 2% |
| Expense Ratio: | 1.14% |
| Portfolio Turnover Rate: | 5% |


