<?xml version="1.0"?>
<?xml-stylesheet type="text/xsl" href="prices.xsl"?>
<Recordset>
     <Record>
          <SYMBOL>NBNGX</SYMBOL>
          <FUNDNAME>Mid Cap Growth</FUNDNAME>
          <CURRENT>12.67</CURRENT>
          <PRIORNAV>12.63</PRIORNAV>
          <CHANGE>0.04</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SNIGX</SYMBOL>
          <FUNDNAME>Large Cap Growth</FUNDNAME>
          <CURRENT>39.30</CURRENT>
          <PRIORNAV>39.17</PRIORNAV>
          <CHANGE>0.13</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SNGVX</SYMBOL>
          <FUNDNAME>U.S. Government Securities</FUNDNAME>
          <CURRENT>11.09</CURRENT>
          <PRIORNAV>11.08</PRIORNAV>
          <CHANGE>0.01</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SNTIX</SYMBOL>
          <FUNDNAME>Tax-Free Income</FUNDNAME>
          <CURRENT>8.91</CURRENT>
          <PRIORNAV>8.91</PRIORNAV>
          <CHANGE>0.00</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SNGRX</SYMBOL>
          <FUNDNAME>International Growth</FUNDNAME>
          <CURRENT>13.48</CURRENT>
          <PRIORNAV>13.44</PRIORNAV>
          <CHANGE>0.04</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SMTFX</SYMBOL>
          <FUNDNAME>Minnesota Tax-Free Income</FUNDNAME>
          <CURRENT>9.94</CURRENT>
          <PRIORNAV>9.93</PRIORNAV>
          <CHANGE>0.01</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SIBAX</SYMBOL>
          <FUNDNAME>Balanced</FUNDNAME>
          <CURRENT>15.16</CURRENT>
          <PRIORNAV>15.12</PRIORNAV>
          <CHANGE>0.04</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SSMGX</SYMBOL>
          <FUNDNAME>Small Cap Growth</FUNDNAME>
          <CURRENT>33.66</CURRENT>
          <PRIORNAV>33.53</PRIORNAV>
          <CHANGE>0.13</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SDMGX</SYMBOL>
          <FUNDNAME>Developing Markets Growth</FUNDNAME>
          <CURRENT>21.46</CURRENT>
          <PRIORNAV>21.43</PRIORNAV>
          <CHANGE>0.03</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SDVGX</SYMBOL>
          <FUNDNAME>Dividend Growth - I Class</FUNDNAME>
          <CURRENT>11.65</CURRENT>
          <PRIORNAV>11.62</PRIORNAV>
          <CHANGE>0.03</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SDVSX</SYMBOL>
          <FUNDNAME>Dividend Growth - S Class</FUNDNAME>
          <CURRENT>11.62</CURRENT>
          <PRIORNAV>11.59</PRIORNAV>
          <CHANGE>0.03</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>SHMIX</SYMBOL>
          <FUNDNAME>High Income Municipal Bond - A</FUNDNAME>
          <CURRENT>8.78</CURRENT>
          <PRIORNAV>8.78</PRIORNAV>
          <CHANGE>0.00</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>GDGIX</SYMBOL>
          <FUNDNAME>Global Dividend Growth - I Class</FUNDNAME>
          <CURRENT>11.77</CURRENT>
          <PRIORNAV>11.74</PRIORNAV>
          <CHANGE>0.03</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
     <Record>
          <SYMBOL>GDGSX</SYMBOL>
          <FUNDNAME>Global Dividend Growth - S Class</FUNDNAME>
          <CURRENT>11.76</CURRENT>
          <PRIORNAV>11.73</PRIORNAV>
          <CHANGE>0.03</CHANGE>
          <DATE>03/11/2010</DATE>
     </Record>
</Recordset>
