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Unit Prices

Trust Company Fixed Interest Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

25/07/2024

0.986983

0.984223

24/07/2024

0.986622

0.983864

23/07/2024

0.986698

0.983940

22/07/2024

0.987253

0.984493

19/07/2024

0.987278

0.984518

18/07/2024

0.987708

0.984946

17/07/2024

0.987026

0.984266

16/07/2024

0.986833

0.984073

15/07/2024

0.985487

0.982731

12/07/2024

0.984993

0.982239

11/07/2024

0.983880

0.981128

10/07/2024

0.984508

0.981756

09/07/2024

0.984040

0.981288

08/07/2024

0.983617

0.980867

05/07/2024

0.982223

0.979477

04/07/2024

0.982081

0.979335

03/07/2024

0.981595

0.978851

02/07/2024

0.981504

0.978760

01/07/2024

0.982039

0.979293

30/06/2024

1.002900

1.000096

28/06/2024

1.002900

1.000096

27/06/2024

1.000229

0.997433

26/06/2024

1.001933

0.999131

25/06/2024

1.004188

1.001380

24/06/2024

1.003717

1.000911

21/06/2024

1.003548

1.000742

20/06/2024

1.003418

1.000612

19/06/2024

1.003598

1.000792

18/06/2024

1.003619

1.000813

17/06/2024

1.004099

1.001291