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Net Asset Value as at:  June 05, 2026

Income Funds
Currency NAV 12 Month trailing distribution 12 Month trailing return 3 year trailing return (annualised) 5 year trailing return (annualised)
TT$ 23.784 $0.4800 3.60% 2.29% -0.83%
US$ 24.198 $0.4700 4.38% 2.24% -0.91%
Income & Growth Funds
Currency NAV 12 Month trailing distribution 12 Month trailing return 3 year trailing return (annualised) 5 year trailing return (annualised)
TT$ 3.745 $0.0800 8.60% 7.12% 4.44%
US$ 1.443 $0.0400 10.24% 9.07% 3.97%
High Yield Funds
Currency NAV 12 Month trailing distribution 12 Month trailing return 3 year trailing return (annualised) 5 year trailing return (annualised)
TT$ 233.020 N/A 4.72% 3.46% 2.45%
EUR€ 167.369 N/A 4.05% 3.67% 3.20%
Money Market Funds
Currency NAV 12 Month trailing distribution 12 Month trailing return 3 year trailing return (annualised) 5 year trailing return (annualised)
TT$ 10.000 $0.2116 2.14% 1.53% 1.32%
US$ 10.000 $0.1133 1.14% 1.62% 1.42%

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