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Unit Prices

Trust Company Fixed Interest Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

05/09/2024

1.001023

0.998225

04/09/2024

1.000433

0.997635

03/09/2024

0.999481

0.996687

02/09/2024

0.999595

0.996801

31/08/2024

1.000287

0.997491

30/08/2024

1.000287

0.997491

29/08/2024

1.000159

0.997363

28/08/2024

1.000297

0.997501

27/08/2024

1.000529

0.997731

26/08/2024

1.001146

0.998346

23/08/2024

0.999414

0.996620

22/08/2024

0.999723

0.996927

21/08/2024

0.999385

0.996591

20/08/2024

0.998067

0.995277

19/08/2024

0.998691

0.995899

16/08/2024

0.997826

0.995036

15/08/2024

0.998736

0.995944

14/08/2024

0.996774

0.993986

13/08/2024

0.994753

0.991971

12/08/2024

0.993839

0.991061

09/08/2024

0.993329

0.990551

08/08/2024

0.993007

0.990231

07/08/2024

0.992131

0.989357

06/08/2024

0.992945

0.990169

02/08/2024

0.992489

0.989713

01/08/2024

0.992627

0.989851

31/07/2024

0.991654

0.988882

30/07/2024

0.988006

0.985244

29/07/2024

0.988089

0.985327

26/07/2024

0.987049

0.984289