Unit Price

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

2024

March 116.17 119.98 118.08 118.38 117.78
117.87

2024

June 116.20 119.96 118.08 118.38 117.78
117.87

2024

September 116.58 120.31 118.45 118.75 118.15
118.24

Distribution

Distribution period Per Unit (p) Payment date
2024 Q1 1.4425 May 2024
2024 Q2 1.3746 August 2024
2024 Q3 1.4262 November 2024