skip to main content
About
Overview
Why Invest in Property?
How to Invest
Management
Advisory Committee
CPF Team
Savills IM
Service Providers
Case Studies
FAQs
Unit Price & Distribution
Fund Performance
Reports & Documents
Application & Redemption Documents
KID & Scheme Particulars
Information Change Documents
Transfer Documents
AML & Compliance
ESG
Property Portfolio
All Properties
Retail
Office
Industrial
Alternatives
Map of Properties
News
Contact Us
MobMenu
About
Unit Price & Distribution
Reports & Documents
ESG
Property Portfolio
News
Contact Us
2022
Home
Unit Price & Distribution
2022
Unit Price & Distribution
Fund Performance
2022
2025
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011
2010
Archive
Fund Performance
Unit Price
Bid
Offer
Mid-Market
Offer
mid price inc.
matching fee
Redemption
mid price inc.
matching fee
NAV
2022
March
142.17
146.70
144.44
144.80
144.08
144.18
2022
June
147.38
152.10
149.74
150.11
149.37
149.48
2022
September
143.63
148.20
145.92
146.28
145.56
145.66
2022
December
124.38
128.38
126.38
126.70
126.06
126.16
Distribution
Distribution period
Per Unit (p)
Payment date
2022
Q1
1.435
May 2022
2022
Q2
1.236
August 2022
2022
Q3
1.248
November 2022
2023
Q4
1.331
February 2023