Home Page Contact Us Daily NAVs Help www.williamblair.com

Fund Prices

 
Domestic Equity Funds - Class N (as of 7/28/2010)
Fund NameTickerClosing
Price
Daily
Change
Daily
%
YTD
Return*
View
History
Growth Fund WBGSX $9.63  -0.10 -1.03% -2.63%
Large Cap Growth Fund LCGNX $5.98  -0.04 -0.66% -2.92%
Small Cap Growth Fund WBSNX $20.19  -0.43 -2.09% 1.00%
Mid Cap Growth Fund WCGNX $10.24  -0.09 -0.87% 1.59%
Small-Mid Cap Growth Fund WSMNX $12.03  -0.17 -1.39% 2.56%
Value Discovery Fund WBVDX $11.43  -0.14 -1.21% 8.96%
Mid Cap Value Fund WMVNX $9.27  -0.09 -0.96% -7.30%
 
International Equity Funds - Class N (as of 7/28/2010)
Fund NameTickerClosing
Price
Daily
Change
Daily
%
YTD
Return
View
History
International Growth Fund WBIGX $19.40 None None 4.58%
International Equity Fund WIENX $10.95  0.01 0.09% -1.08%
International Small Cap Growth Fund WISNX $11.04  0.03 0.27% 6.15%
Emerging Markets Growth Fund WBENX $13.37  -0.01 -0.07% 3.89%
 
Global Funds - Class N (as of 7/28/2010)
Fund NameTickerClosing
Price
Daily
Change
Daily
%
YTD
Return
View
History
Global Growth Fund WGGNX $7.11  -0.02 -0.28% 2.01%
 
Fixed Income Funds - Class N (as of 7/28/2010)
Fund NameTickerClosing
Price
Daily
Change
Daily
%
YTD
Return*
View
History
Bond Fund WBBNX $10.78  0.02 0.19% 6.24%
     30 Day SEC Yield:  3.68%      
Income Fund WBRRX $9.29  0.03 0.32% 4.87%
     30 Day SEC Yield:  2.87%      
Low Duration Fund WBLNX $10.00  0.01 0.10% 1.80%
     30 Day SEC Yield:  1.33%      
 
Money Market Funds - Class N (as of 7/28/2010)
Fund NameTicker7 Day
Yield
Days to
Maturity
7 Day Yield
(as of 6/30/2010)
Ready Reserves Fund WBRXX 0.01% 36 0.01%


*Please note that the Mid Cap Value Fund's date of inception was May 1, 2010. 
The Emerging Leaders Growth Fund - Class N Shares date of inception was also May 1, 2010.