2013 Distribution Information

The Bretton Fund made a long-term capital-gain distribution of $0.39674 per share to shareholders on December 26, 2013. There were no other distributions for the year. If you have any questions, you…


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2013 Q3 Shareholder Letter

October 22, 2013 Dear Fellow Shareholders: The Bretton Fund’s net asset value per share (NAV) as of September 30, 2013, was $22.52. The fund’s total return for the quarter was 2.64%, while over…


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2013 Semiannual Report to Shareholders

This shareholder letter is part of the Bretton Fund 2013 Semiannual Report. Here’s the full report (pdf). August 23, 2013 Dear Fellow Shareholders: The Bretton Fund’s net asset value per share (NAV)…


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Vanguard Adds Bretton

The fund is now available through Vanguard , joining the E*TRADE and Pershing as the available online platforms for the fund.


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Mutual Fund Observer Interview

David Snowball of the Mutual Fund Observer interviews Stephen Dodson in his latest podcast. You can read an excerpt from the interview at the link, as well as his comments on the fund and the full…


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2013 Q1 Shareholder Letter

April 22, 2013 Dear Fellow Shareholders: The Bretton Fund’s net asset value per share (NAV) as of March 31, 2013, was $20.43, and the total return for the fund for the quarter was 8.44%. Over the…


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2012 Annual Report to Shareholders

This shareholder letter is part of the Bretton Fund 2012 Annual Report (pdf). February 19, 2013 Dear Fellow Shareholders: The Bretton Fund’s net asset value per share (NAV) as of December 31, 2012,…


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2012 Distribution Information

The Bretton Fund made a long-term capital-gain distribution of $0.7939 per share to shareholders on December 26, 2012. There were no other distributions for the year. If you have any questions, you…


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Interview With Chuck Jaffe

Mutual fund columnist and podcaster Chuck Jaffe interviewed portfolio manager Stephen Dodson on his MoneyLife podcast show on October 23, 2012. You can read the transcript (pdf) or listen to the…


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2012 Q3 Shareholder Letter

October 23, 2012 Dear Fellow Shareholders: The Bretton Fund’s net asset value per share (NAV) as of September 30, 2012, was $19.85, and the total return for the fund for the quarter was 3.44%.…


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