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Fund Prices

Barrow Hanley Global Share Fund (Managed Fund)

As of Date Nav per Unit

21/02/2024

4.464150

20/02/2024

4.433357

19/02/2024

4.452207

16/02/2024

4.455153

15/02/2024

4.448972

14/02/2024

4.426276

13/02/2024

4.406774

12/02/2024

4.417181

09/02/2024

4.399881

08/02/2024

4.407832

07/02/2024

4.393564

06/02/2024

4.424587

05/02/2024

4.410793

02/02/2024

4.430534

01/02/2024

4.432375

31/01/2024

4.364277

30/01/2024

4.414452

29/01/2024

4.407020

25/01/2024

4.388446

24/01/2024

4.362086

23/01/2024

4.389014

22/01/2024

4.369663

19/01/2024

4.357521

18/01/2024

4.354290

17/01/2024

4.363215

16/01/2024

4.367325

15/01/2024

4.355634

12/01/2024

4.345122

11/01/2024

4.368396

10/01/2024

4.356618

Preproduction: 20241105.1 - 17.0.0+feffb4064dc1ebe2d14b9929666c8177a8b2ecc3