April 2026 NAV statements ingested
By dante.thompson@summr.tech • 7/16/2026
Seven individual NAV Fund Admin PDFs for April 30, 2026 parsed and stored. No redemptions, no additions, no roster changes. Every account posted exactly (3.62%) MTD and (8.52%) YTD. S&P 500 benchmark was +10.49% MTD / +5.70% YTD. Fund total NAV at April 30, 2026: approximately $246,426. Richard Little accounts: Wendy (1006) $56,606.68, Rich (1006_A) $8,272.57.