Historical Net Asset Value (NAV)

The net asset value (NAV) or share price for a specific date or range of dates is available by selecting a specific date or range of dates below.

 
Start Date:
End Date:

 
WESTPORT FUND - CLASS R WESTPORT SELECT CAP FUND - CLASS R
WESTPORT SELECT CAP FUND - CLASS I WESTPORT FUND - CLASS I

   

Privacy Policy and Terms and Conditions for using this site.
The Westport Funds are distributed by UMB Distribution Services, LLC
©Copyright 1998 - 2008