PFS Funds (0001103243) Files NPORT-P Form with SEC
In a recent SEC filing, PFS Funds submitted Form NPORT-P, providing insights into its investment portfolio. Form NPORT is a monthly filing that registered investment companies must submit to the Securities and Exchange Commission (SEC) to disclose their portfolio holdings. By examining this filing, investors and analysts can gain valuable information about the fund’s investment strategy and performance.
PFS Funds is a well-established investment company with a focus on delivering strong returns for its investors. The company offers a range of mutual funds designed to meet various investment objectives and risk profiles. With a commitment to transparency and compliance, PFS Funds regularly files reports with the SEC to ensure accountability and provide stakeholders with a comprehensive view of its operations.
Form NPORT-P offers a detailed breakdown of PFS Funds’ holdings, including information on the types of securities in its portfolio, asset allocation strategies, and performance metrics. Investors can use this data to assess the fund’s risk exposure, diversification efforts, and overall investment performance. By staying informed about such filings, stakeholders can make well-informed decisions about their investment strategies and portfolio allocations.
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PFS Funds (0001103243) Files NPORT-P Form with SEC