Fund Prices & YTD Returns as of 1/17/2025Performance Through 1/17/2025Average Annual Returns Through 12/31/2024
Princeton Premium Fund
NAVNAV Daily Change% Daily Change(1)% YTD Return(2)One MonthThree MonthsSix MonthsSince Inception(4)One YearThree YearsFive YearsSince Inception(4)
11.6800.00%0.43%-0.68%0.36%-0.61%4.92%2.34%3.67%5.65%4.90%
With Sales Charge(3)-6.41%-5.43%-6.32%4.17%-3.54%1.64%4.40%4.14%
Princeton Premium Fund
NAVNAV Daily Change% Daily Change(1)% YTD Return(2)One MonthThree MonthsSix MonthsSince Inception(4)One YearThree YearsFive YearsSince Inception(4)
11.850.010.08%0.42%-0.67%0.37%-0.44%5.20%2.66%3.98%5.95%5.17%
(1)  Represents the percentage increase/decrease in the net asset value from the prior trading day.
(2)  Performance for periods less than one year is not annualized.
(3)  The maximum sales charge for Class A Shares is 5.75%. Class A Share investors may be eligible for a reduction in sales charges
(4)  Inception date of the fund is November 16, 2016.