Subscribe today
Firsthand Fund's daily NAV e-mail sends you each Fund's closing NAV at the end of every trading day.
Every day that the Funds are traded, you'll receive an e-mail notification of each Fund's net asset value. Select the button below, type in your e-mail address, and click the Submit button. You will receive a confirmation message at the e-mail address you enter. If you wish to unsubscribe from the list, select "Unsubscribe" below and click the Submit button.
By clicking the button below, I confirm I have received or reviewed a copy of the prospectus.
Go