The Permanent Portfolio Family of Funds  
FOR INDIVIDUAL INVESTORS         |         FOR FINANCIAL ADVISERS
 
   
 
Permanent Portfolio Family of Funds, Inc. (“Fund”) is an investment company consisting of four distinct mutual funds (each a “Portfolio”): Permanent Portfolio, Short-Term Treasury Portfolio, Versatile Bond Portfolio, and Aggressive Growth Portfolio.
 
 
 
   
   
   
  PERFORMANCE & DISTRIBUTIONS
DIVIDENDS & DISTRIBUTIONS
Record Date:
Friday, December 27, 2013
Reinvestment Date:
Monday, December 30, 2013
             
  Ordinary Income Dividends Capital Gain Distributions (long-term) Qualified Dividends (included in Ordinary Income Dividends) Reinvestment Price Dividends Earned on
U.S. Treasury Securities
 
PRPFX $0.25 $4.35 $0.25 $43.07 100%  
 
PRTBX $0.00 $0.00 $0.00 $0.00 0.00%  
 
PRVBX $2.25 $0.51 $0.00 $59.54 0.00%  
 
PAGRX $0.33 $1.39 $0.33 $67.23 0.00%  
 
PDF 2013 Supplemental Tax Information PDF 2013 Mutual Fund Tax Guide PDF Historical Dividends and Distributions
 
  Performance
  Dividends & Distributions
   
 
Dividends and Disclosure
 
 
   
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Disclosure:

The Fund’s investment objectives, risks, charges, and expenses must be considered carefully before investing. The Prospectus contains this and other important information about the investment companies.   A hard copy may be obtained by calling (800) 531-5142.   Read it carefully before investing.

Each of the investment products or services referred to on this site may be offered only to investors residing in the United States. This site should not be considered a solicitation or offering of any investment products or services to investors residing outside the United States.

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Mutual fund investing involves risk; loss of principal is possible.

Pacific Heights Asset Management, LLC is the investment adviser to Permanent Portfolio Family of Funds, Inc. The Fund is distributed by Quasar Distributors, LLC, a member of FINRA.