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

02/09/2020

1.019157

1.016815

01/09/2020

1.018212

1.015873

31/08/2020

1.018052

1.015713

28/08/2020

1.017235

1.014898

27/08/2020

1.018786

1.016445

26/08/2020

1.017851

1.015512

25/08/2020

1.018768

1.016427

24/08/2020

1.019271

1.016929

21/08/2020

1.018897

1.016556

20/08/2020

1.018966

1.016625

19/08/2020

1.018621

1.016281

18/08/2020

1.018457

1.016117

17/08/2020

1.017913

1.015574

14/08/2020

1.017102

1.014765

13/08/2020

1.017370

1.015032

12/08/2020

1.016726

1.014390

11/08/2020

1.017355

1.015017

10/08/2020

1.017442

1.015105

07/08/2020

1.017339

1.015001

06/08/2020

1.016948

1.014612

05/08/2020

1.016225

1.013890

04/08/2020

1.015690

1.013356

31/07/2020

1.015116

1.012784

30/07/2020

1.014051

1.011721

29/07/2020

1.014319

1.011989

28/07/2020

1.013577

1.011249

27/07/2020

1.013867

1.011537

24/07/2020

1.014575

1.012244

23/07/2020

1.014824

1.012492

22/07/2020

1.014304

1.011974