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In addition to monthly broker statements reporting activity and
investment holdings, trade confirmations will be sent to you (either
electronically or by mail) each time a fund is bought or sold in
your account.
You’ll receive DAL’s Review and Valuation report after
the end of each calendar quarter. Designed to be simple and easy
to read, this recounts all transactions for the period, describes
your portfolio holdings and allocation, and spells out the performance
with total return figures for several periods.
Our regular communications keep you apprised of our current thinking
regarding the markets and provide insight into the individual funds
that comprise your portfolio.
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