Unit Price

Bid Offer Mid-Market Offer
mid price inc.
matching fee
Redemption
mid price inc.
matching fee
NAV

2021

March 122.49 126.27 124.38 124.69
124.07
124.16
2021  June  124.46  128.32  126.39  126.71  126.07  126.17 
2021  September  128.42  132.28  130.35  130.68
130.02
130.13
2021 December  135.07 139.27 137.17  137.51  136.83  136.94 

 

Distribution

Distribution period Per Unit (p) Payment date
2021 Q1 1.39 May 2021
2021 Q2 1.17 August 2021
2021 Q3 1.27 November 2021
2022 Q4 1.245 February 2022