Princeton Premium Fund Class I
                        PPFIX
                    
                    
                            NASDAQ
                    
                Rating
						Reward
							Risk
							Fund Information
						Fund Type
							
						Category
							
						Sub-Category
							
						Prospectus Objective
							
						Inception Date
							
						Open/Closed to New Investors
							
						Minimum Initial Investment
							
						Minimum Subsequent Investment
							
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						Asset Allocation
						Cash
							
						Stock
							
						U.S. Stock
							
						Non U.S. Stock
							
						Bond
							
						U.S. Bond
							
						Non-U.S. Bond
							
						Preferred
							
						Convertible
							
						Other
							
						Services Offered
						Top Holdings
							There are no holdings to display.
					Similar Funds
							Performance
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						Forward Dividend Yield
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						Price
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						NAV
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						Company Information
						Provider
							Princeton
						Manager/Tenure 
(Years)
							(Years)
Greg D Anderson (8), Zachary Slater (5)
						Website
							
						Address
							
								Princeton 
-
						-
Country
							  United States
						Phone Number
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						Investment Strategy
						 The investment seeks capital appreciation and income. The adviser utilize two principal investment strategies: a premium collection strategy involving sale or purchase of put options on the S&P 500 Index and investing in fixed income securities. The fund's adviser will determine the allocation between these strategies. The adviser intends to allocate between 30% to 100% of the fund's net assets to the premium collection strategy at any given time.