Distributions - Institutional Class
Value Plus Fund
(HNVIX)
| 3/30/10 |
3/31/10 |
$25.61 |
$0.032692 |
$0.000000 |
$0.000000 |
| 3/30/10 |
3/31/10 |
$25.61 |
$0.013036* |
$0.000000 |
$0.000000 |
| 12/30/09 |
12/31/09 |
$23.40 |
$0.093645 |
$0.000000 |
$0.000000 |
| 9/29/09 |
9/30/09 |
$22.24 |
$0.026711 |
$0.000000 |
$0.000000 |
| 6/29/09 |
6/30/09 |
$19.36 |
$0.022818 |
$0.000000 |
$0.000000 |
| 03/30/09 |
03/31/09 |
$16.46 |
$0.118031 |
$0.000000 |
$0.000000 |
| 12/29/08 |
12/31/08 |
$18.72 |
$0.000000 |
$0.000000 |
$0.000000 |
| 9/29/08 |
9/30/08 |
$24.21 |
$0.038800 |
$0.000000 |
$0.000000 |
| 6/27/08 |
6/30/08 |
$24.95 |
$0.039712 |
$0.000000 |
$0.000000 |
Select Value Fund
(HNSVX)
| 12/28/09 |
12/29/09 |
$25.13 |
$0.205304 |
$0.000000 |
$0.000000 |
| 12/26/08 |
12/29/08 |
$17.06 |
$0.204619 |
$0.000000 |
$0.000000 |