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Unit Prices

Trust Company Fixed Interest Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

09/06/2022

0.953361

0.951457

08/06/2022

0.954167

0.952261

07/06/2022

0.953557

0.951651

06/06/2022

0.956585

0.954673

03/06/2022

0.956360

0.954450

02/06/2022

0.956128

0.954218

01/06/2022

0.957813

0.955899

31/05/2022

0.958911

0.956995

30/05/2022

0.961016

0.959096

27/05/2022

0.960509

0.958589

26/05/2022

0.961146

0.959226

25/05/2022

0.959876

0.957958

24/05/2022

0.957826

0.955912

23/05/2022

0.958464

0.956548

20/05/2022

0.957836

0.955922

19/05/2022

0.956918

0.955006

18/05/2022

0.955835

0.953925

17/05/2022

0.957462

0.955548

16/05/2022

0.957585

0.955671

13/05/2022

0.957589

0.955675

12/05/2022

0.956506

0.954594

11/05/2022

0.955199

0.953291

10/05/2022

0.953790

0.951884

09/05/2022

0.953661

0.951755

06/05/2022

0.956731

0.954819

05/05/2022

0.958706

0.956790

04/05/2022

0.954880

0.952972

03/05/2022

0.958772

0.956856

02/05/2022

0.962078

0.960156

30/04/2022

0.965054

0.963126

Preproduction: 20241118.1 - 17.0.1+5c9443cbb7eb6c4eaa004c0425f9a5432a867b4b