Performance data quoted represents past performance which is no guarantee of future results. Investment return and principal value of an investment fluctuate daily and an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be significantly higher or lower than data quoted herein. Performance current to the most recent-month end may be obtained by calling 1-888/73-AMANA or by visiting Month-End Returns.
|As of 12 / 10 / 2013||Symbol||Price||Change||YTD||30-Day Yield¹||Dividend 11/29/2013|
|Amana Income Investor||AMANX||$43.15||$-0.19||26.92%||1.35%||n/a||Amana Income Institutional||AMINX||$43.17||$-0.19||n/a||1.60%||n/a|
|Amana Growth Investor||AMAGX||$32.13||$-0.07||19.49%||0.42%||n/a|
|Amana Growth Institutional||AMIGX||$32.15||$-0.07||n/a||0.67%||n/a|
|Amana Developing World Investor||AMDWX||$10.68||$0.00||0.00%||0.73%||n/a|
|Amana Developing World Institutional||AMIDX||$10.69||$0.00||n/a||1.02%||n/a|
¹ A Fund's 30-Day Yield is calculated by dividing the net invest income per share during the preceding 30 days by the net asset value per share on the last day of the period. The 30-Day Yield provides an estimate of a Fund's investment income rate, but may not equal the actual income distribution rate.