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Fund Prices

Barrow Hanley Global Share Fund (Managed Fund)

As of Date Nav per Unit

05/04/2023

4.250043

04/04/2023

4.230486

03/04/2023

4.226896

31/03/2023

4.251977

30/03/2023

4.206174

29/03/2023

4.197837

28/03/2023

4.136591

27/03/2023

4.152543

24/03/2023

4.110917

23/03/2023

4.074258

22/03/2023

4.103092

21/03/2023

4.163984

20/03/2023

4.056648

17/03/2023

4.019476

16/03/2023

4.098054

15/03/2023

4.065964

14/03/2023

4.140504

13/03/2023

4.110384

10/03/2023

4.184488

09/03/2023

4.258738

08/03/2023

4.307797

07/03/2023

4.323629

06/03/2023

4.308141

03/03/2023

4.296293

02/03/2023

4.272740

01/03/2023

4.240851

28/02/2023

4.237361

27/02/2023

4.265820

24/02/2023

4.245809

23/02/2023

4.234480