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

The Trust Company Diversified Property Fund

Trust Company Investment Funds

As of Date Entry Price Exit Price

09/08/2023

0.965672

0.965286

08/08/2023

0.972775

0.972385

04/08/2023

0.969528

0.969140

03/08/2023

0.976378

0.975988

02/08/2023

0.981309

0.980917

01/08/2023

1.000567

1.000167

31/07/2023

0.995857

0.995459

28/07/2023

0.994675

0.994277

27/07/2023

1.014033

1.013627

26/07/2023

0.981937

0.981545

25/07/2023

0.986919

0.986525

24/07/2023

0.991254

0.990858

21/07/2023

0.982456

0.982064

20/07/2023

0.982634

0.982242

19/07/2023

0.987324

0.986930

18/07/2023

0.977624

0.977234

17/07/2023

0.991511

0.991115

14/07/2023

0.990303

0.989907

13/07/2023

0.984327

0.983933

12/07/2023

0.954731

0.954349

11/07/2023

0.954556

0.954174

10/07/2023

0.936894

0.936520

07/07/2023

0.943604

0.943226

06/07/2023

0.968765

0.968377

05/07/2023

0.972054

0.971666

04/07/2023

0.974394

0.974004

03/07/2023

0.965403

0.965017

01/07/2023

0.965403

0.965017

30/06/2023

0.988713

0.988317

28/06/2023

0.986079

0.985685