RE:Quadravest updates FTN to JULY 31 @ $18.57Thank you again for your ongoing work to keep us up-to-date on this fund's NAV, it is appreciated. I am not sure if it is just me, but I often get confusd with knowing which NAV you are posting, the before or after distribution? Would it be possible just to use one or the other? I am sure we are all capable of subtracting the monthly distribution to get the NAV net.