The Permanent Portfolio Family of Funds  
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.
Record Date:
Tuesday, December 8, 2015
Reinvestment Date:
Wednesday, December 9, 2015
Ordinary Income Dividends $.41 $0.00 $2.57 $.95  
Capital Gain Distributions
$2.03 $0.00 $.45 $2.74  
Collectibles 28% (included in long-term Capital Gain Distributions) $0.00 $0.00 $0.00 $0.00  
Qualified Dividends (included in Ordinary Income Dividends) $.41 $0.00 $0.00 $.95  
Reinvestment Price $34.88 $0.00 $53.80 $59.46  
Dividends Earned on U.S. Treasury Securities 100% 0.00% 0.00% 0.00%  
Collectibles gains, such as gains from gold bullion, held for greater than one year currently are subject to a 28% tax rate.
  Dividends & Distributions
Resource Center
2015 Tax Supplemental Information
2015 Mutual Fund Tax Guide
Historical Dividends and Distributions
Dividends and Disclosure
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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.

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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.

Permanent Portfolio®, The Permanent Portfolio Family of Funds®, A Fund for All Seasons® and The Permanent Portfolio Family of Funds logo are registered trademarks of Pacific Heights Asset Management, LLC.  Copyright © 2016 Permanent Portfolio Family of Funds, Inc.   All rights reserved.