What can we help you find?
Search by Topic

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

08/05/2015

1.020328

1.018697

07/05/2015

1.020256

1.018625

06/05/2015

1.020531

1.018899

05/05/2015

1.021098

1.019466

04/05/2015

1.021670

1.020036

01/05/2015

1.021282

1.019650

30/04/2015

1.021097

1.019465

29/04/2015

1.020841

1.019209

28/04/2015

1.020709

1.019077

27/04/2015

1.021052

1.019419

24/04/2015

1.019991

1.018360

23/04/2015

1.020265

1.018633

22/04/2015

1.021217

1.019585

21/04/2015

1.022270

1.020636

20/04/2015

1.021978

1.020344

17/04/2015

1.022852

1.021217

16/04/2015

1.022420

1.020786

15/04/2015

1.024115

1.022478

14/04/2015

1.023535

1.021899

13/04/2015

1.022917

1.021281

10/04/2015

1.022065

1.020431

09/04/2015

1.022369

1.020734

08/04/2015

1.022351

1.020716

07/04/2015

1.021623

1.019989

02/04/2015

1.022570

1.020935

01/04/2015

1.021876

1.020242

31/03/2015

1.038293

1.036633

30/03/2015

1.037289

1.035631

27/03/2015

1.035993

1.034337

26/03/2015

1.037228

1.035570