What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Trust Company Fixed Interest Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

06/04/2021

1.016713

1.014681

01/04/2021

1.015216

1.013187

31/03/2021

1.019039

1.016698

30/03/2021

1.019117

1.016775

29/03/2021

1.020886

1.018540

26/03/2021

1.021396

1.019049

25/03/2021

1.020888

1.018542

24/03/2021

1.021403

1.019056

23/03/2021

1.020054

1.017710

22/03/2021

1.019408

1.017066

19/03/2021

1.018434

1.016094

18/03/2021

1.018513

1.016172

17/03/2021

1.019834

1.017491

16/03/2021

1.020182

1.017838

15/03/2021

1.018161

1.015821

12/03/2021

1.019270

1.016928

11/03/2021

1.020328

1.017983

10/03/2021

1.018952

1.016611

09/03/2021

1.017562

1.015224

08/03/2021

1.017732

1.015393

05/03/2021

1.016573

1.014237

04/03/2021

1.017618

1.015280

03/03/2021

1.019510

1.017167

02/03/2021

1.018790

1.016449

01/03/2021

1.018803

1.016462

28/02/2021

1.014325

1.011994

26/02/2021

1.014340

1.012010

25/02/2021

1.018640

1.016300

24/02/2021

1.021693

1.019346

23/02/2021

1.022971

1.020621