What can we help you find?

Your search had no results
Other Popular Searches

Unit Prices

Trust Company Fixed Interest Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

11/01/2021

1.022017

1.019669

08/01/2021

1.021788

1.019440

07/01/2021

1.022282

1.019933

06/01/2021

1.022416

1.020067

05/01/2021

1.023534

1.021182

04/01/2021

1.022901

1.020551

31/12/2020

1.033632

1.031257

30/12/2020

1.033299

1.030925

29/12/2020

1.033428

1.031053

24/12/2020

1.032718

1.030345

23/12/2020

1.033790

1.031415

22/12/2020

1.033289

1.030915

21/12/2020

1.033033

1.030659

18/12/2020

1.032671

1.030298

17/12/2020

1.032552

1.030180

16/12/2020

1.032755

1.030383

15/12/2020

1.032345

1.029973

14/12/2020

1.032295

1.029924

11/12/2020

1.032007

1.029635

10/12/2020

1.031890

1.029519

09/12/2020

1.030952

1.028583

08/12/2020

1.030667

1.028298

07/12/2020

1.030289

1.027922

04/12/2020

1.031003

1.028634

03/12/2020

1.030062

1.027695

02/12/2020

1.030149

1.027782

01/12/2020

1.030709

1.028341

30/11/2020

1.030589

1.028221

27/11/2020

1.030402

1.028034

26/11/2020

1.030058

1.027692

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8