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For the Record - Feb. 26, 1995

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Return Data--The one-week percentage return listed in the mutual fund table on Sunday, Feb. 19, reflected the change from Thursday, Feb. 9, to Thursday, Feb. 16, because an incorrect data feed was sent by Associated Press. The net asset value, however, was the value as of the end of the day Friday, Feb. 17. Times policy is to use Friday-to-Friday return data for the one-week period.

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