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2019
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Unit Price & Distribution
2019
Unit Price & Distribution
Fund Performance
2019
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Fund Performance
Unit Price
Bid
Offer
Mid-Market
Offer
mid price inc.
matching fee
Redemption
mid price inc.
matching fee
NAV
2019
March
127.76
131.80
129.78
130.10
129.46
129.55
2019
June
127.42
131.40
129.41
129.73
129.09
129.19
2019
September
126.83
130.77
128.80
129.12
128.48
128.58
2019
December
125.50
129.41
127.46
127.78
127.14
127.23
Distribution
Distribution period
Per Unit (p)
Payment date
2019
Q1
1.339
May 2019
2019
Q2
1.326
August 2019
2019
Q3
1.317
November 2019
2020
Q4
1.300
February 2020