| 27Four Global Equity Fund of Funds |
PR09AUSD |
2.3340 |
2.3450 |
2.3590 |
2.3700 |
* |
| 27Four Global Equity Fund of Funds |
PR09CUSD |
2.5950 |
2.6060 |
2.6220 |
2.6350 |
* |
| 27Four Global Equity Fund of Funds |
PR09DUSD |
155.8160 |
156.5220 |
157.4850 |
158.2440 |
* |
| Abax Global Equity Fund |
PR012CUSD |
28.1569 |
28.2746 |
28.6078 |
28.4654 |
* |
| Abax Global Equity Fund |
PR012AUSD |
26.2937 |
26.4030 |
26.7137 |
26.5792 |
* |
| Abax Global Equity Fund |
PR012BUSD |
18.0563 |
18.1315 |
18.3449 |
18.2527 |
* |
| Abax Global Income Fund |
PR18CUSD |
13.5238 |
13.5214 |
13.5295 |
13.5383 |
* |
| Abax Global Income Fund |
PR18AUSD |
12.1207 |
12.1183 |
12.1255 |
12.1330 |
* |
| All Weather Capital Global Emerging Markets Fund |
PR35C1USD |
1.7450 |
1.7710 |
1.7670 |
1.7670 |
* |
| All Weather Capital Global Emerging Markets Fund |
PR35C2USD |
1.3490 |
1.3690 |
1.3660 |
1.3660 |
* |
| All Weather Capital Global Emerging Markets Fund |
PR35E1USD |
1.6320 |
1.6550 |
1.6520 |
1.6520 |
* |
| All Weather Capital Global Emerging Markets Fund |
PR35B1USD |
1.0440 |
1.0590 |
1.0570 |
1.0570 |
* |
| All Weather Capital Global Emerging Markets Fund |
PR35C3USD |
1.1190 |
1.1350 |
1.1330 |
1.1330 |
* |
| Alpha Alternative Global Fund |
PRQ16AUSD |
989.2053 |
989.3135 |
989.6573 |
990.0590 |
* |
| Alpha Alternative Global Fund |
PRQ16AGBP |
979.5030 |
983.0650 |
979.8170 |
983.4070 |
* |
| Alpha Alternative Plus Fund |
PRQ15AUSD |
1019.4670 |
1019.4772 |
1019.4559 |
1019.3797 |
* |
| Alpha Omni Asia Pacific Opportunities Equity Fund |
PRQ12AGBP |
1113.5980 |
1127.7650 |
1146.2710 |
1140.7420 |
* |
| Alpha Omni Sterling Money Market Fund |
PRQ10AGBP |
1014.5840 |
1014.8090 |
1015.2370 |
1015.2800 |
* |
| Alpha Omni Tactical Global Equity Fund |
PRQ11AUSD |
997.9777 |
1001.4611 |
1016.7372 |
1012.7204 |
* |
| Alpha Omni Tactical Global Growth Fund |
PRQ13AUSD |
931.6540 |
933.8250 |
942.2980 |
941.1020 |
* |
| Alpha Omni Tactical Global Growth Fund |
PRQ13AEUR |
932.0280 |
936.1840 |
941.2310 |
943.3690 |
* |
| Alpha Omni USD Money Market Fund |
PRQ09AUSD |
1014.8500 |
1014.8250 |
1015.0520 |
1015.2960 |
* |
| Aylett Global Equity Fund |
PR52B3USD |
147.2970 |
147.0148 |
149.5998 |
148.4978 |
* |
| Aylett Global Equity Fund |
PR52A1USD |
139.5227 |
139.2502 |
141.6935 |
140.6340 |
* |
| Aylett Global Equity Fund |
PR52A2USD |
152.2930 |
151.9970 |
154.6655 |
153.5135 |
* |
| Baymont Global Equity Fund |
PR37CUSD |
1.7030 |
1.7060 |
1.7310 |
1.7180 |
* |
| Baymont Global Equity Fund |
PR37BUSD |
1.6390 |
1.6410 |
1.6660 |
1.6530 |
* |
| Baymont Global Equity Fund |
PR37AUSD |
1.6320 |
1.6340 |
1.6590 |
1.6460 |
* |
| Benguela Global Equity Fund |
PR20CUSD |
21.2712 |
21.2815 |
21.4862 |
21.3969 |
* |
| Benguela Global Equity Fund |
PR20BUSD |
15.5440 |
15.5516 |
15.7012 |
15.6361 |
* |
| Benguela Global Equity Fund |
PR20DUSD |
12.1391 |
12.1455 |
12.2621 |
12.2110 |
* |
| Blue Quadrant USD Capital Growth Fund |
PR19AUSD |
34.5578 |
35.0077 |
34.5438 |
34.7003 |
* |
| Blue Quadrant USD Capital Growth Fund |
PR19CUSD |
15.3621 |
15.6187 |
15.3270 |
15.4434 |
* |
| ClucasGray Global Fund |
PR63DUSD |
130.3019 |
130.3410 |
132.0177 |
131.5815 |
* |
| ClucasGray Global Fund |
PR63AUSD |
120.0485 |
120.0796 |
121.6194 |
121.2025 |
* |
| ClucasGray Global Fund |
PR63CUSD |
128.2233 |
128.2592 |
129.9065 |
129.4692 |
* |
| ClucasGray Global Fund |
PR63BUSD |
125.4587 |
125.4929 |
127.1039 |
126.6734 |
* |
| Equitile Global Equity Fund |
PR41AUSD |
177.4740 |
177.9700 |
178.1890 |
176.7580 |
* |
| Equitile Global Equity Fund |
PR41ANOK |
191.9020 |
192.2060 |
192.1210 |
189.7260 |
* |
| Equitile Global Equity Fund |
PR41AGBP |
171.4920 |
172.5770 |
172.1590 |
171.3320 |
* |
| Equitile Global Equity Fund |
PR41AEUR |
184.0140 |
184.9190 |
184.4710 |
183.6380 |
* |
| Excelsia Global Equity Fund |
PR65A2USD |
165.2483 |
165.6631 |
167.7433 |
167.3898 |
* |
| Excelsia Global Equity Fund |
PR65B3USD |
158.3196 |
158.7203 |
160.7165 |
160.3878 |
* |
| Fairstone Market 100 |
PR88AEUR |
108.4053 |
108.9992 |
109.6068 |
109.8537 |
* |
| Fairstone Market 50 |
PR87AEUR |
103.3961 |
103.5963 |
104.0293 |
104.1196 |
* |
| Fairstone Market 75 |
PR73AEUR |
119.4708 |
119.9273 |
120.5275 |
120.7205 |
* |
| Fairtree Global Emerging Markets Fund |
PR89GUSD |
11.1060 |
11.1890 |
11.3270 |
11.2860 |
* |
| Fairtree Global Emerging Markets Fund |
PR89AUSD |
11.0620 |
11.1440 |
11.2810 |
11.2390 |
* |
| Fairtree Global Emerging Markets Fund |
PR89BUSD |
11.0720 |
11.1550 |
11.2920 |
11.2500 |
* |
| Fairtree Global Emerging Markets Fund |
PR89HUSD |
10.9270 |
11.0090 |
11.1440 |
11.1030 |
* |
| Fairtree Global Equity Fund |
PR45AUSD |
15.6170 |
15.6900 |
15.9190 |
15.8570 |
* |
| Fairtree Global Equity Fund |
PR45BUSD |
15.8030 |
15.8770 |
16.1090 |
16.0450 |
* |
| Fairtree Global Equity Fund |
PR45GUSD |
16.2990 |
16.3750 |
16.6150 |
16.5510 |
* |
| Fairtree Global Equity Fund |
PR45HUSD |
10.5780 |
10.6270 |
10.7820 |
10.7400 |
* |
| Fairtree Global Equity Fund |
PR45JUSD |
10.7630 |
10.8130 |
10.9710 |
10.9290 |
* |
| Fairtree Global Equity Fund |
PR45IUSD |
9.9210 |
9.9670 |
10.1130 |
10.0730 |
* |
| Fairtree Global Flexible Income Plus Fund |
PR22DEUR |
14.5610 |
14.5680 |
14.5580 |
14.6200 |
* |
| Fairtree Global Flexible Income Plus Fund |
PR22AEUR |
13.5880 |
13.5950 |
13.5850 |
13.6410 |
* |
| Fairtree Global Flexible Income Plus Fund |
PR22CUSD |
15.7170 |
15.6910 |
15.7370 |
15.7470 |
* |
| Fairtree Global Flexible Income Plus Fund |
PR22C2USD |
11.0860 |
11.0680 |
11.1010 |
11.1080 |
* |
| Fairtree Global Flexible Income Plus Fund |
PR22B3EUR |
10.3210 |
10.3250 |
10.3180 |
10.3610 |
* |
| Fairtree Global Listed Real Estate Fund |
PR36AUSD |
13.0650 |
13.1620 |
13.3170 |
13.2750 |
* |
| Fairtree Global Listed Real Estate Fund |
PR36CUSD |
14.2200 |
14.3260 |
14.4950 |
14.4510 |
* |
| Fairtree Global Listed Real Estate Fund |
PR36DUSD |
14.1620 |
14.2680 |
14.4370 |
14.3930 |
* |
| Fairtree Global Listed Real Estate Fund |
PR36BUSD |
11.3560 |
11.4410 |
11.5760 |
11.5400 |
* |
| FNB Global Alternatives Fund |
PRQ17ZUSD |
103.1990 |
103.2814 |
103.4953 |
103.4972 |
* |
| Galileo - Bellecapital Multi-Asset Balanced Fund |
PR91DGBP |
150.4470 |
150.9240 |
152.9980 |
152.7410 |
* |
| Galileo - Bellecapital Multi-Asset Balanced Fund |
PR91GGBP |
150.5250 |
151.0040 |
153.0800 |
152.8270 |
* |
| Galileo - Bellecapital Multi-Asset Balanced Fund |
PR91EGBP |
153.8100 |
154.2990 |
156.4190 |
156.1580 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92BCGBP |
147.3410 |
148.1970 |
150.6670 |
150.5150 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92DGBP |
147.1230 |
147.9730 |
150.4360 |
150.2710 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92IGBP |
147.2320 |
148.0850 |
150.5510 |
150.3930 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92EGBP |
150.3930 |
151.2630 |
153.7810 |
153.6150 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92GGBP |
147.1990 |
148.0510 |
150.5170 |
150.3560 |
* |
| Galileo - Bellecapital Multi-Asset Growth Fund |
PR92FGBP |
147.5720 |
148.4260 |
150.8970 |
150.7350 |
* |
| High Street Wealth Warriors Fund |
PR17AUSD |
2.4180 |
2.4340 |
2.4530 |
2.4640 |
* |
| High Street Wealth Warriors Fund |
PR17BUSD |
2.5530 |
2.5690 |
2.5900 |
2.6010 |
* |
| High Street Wealth Warriors Fund |
PR17DUSD |
2.7140 |
2.7320 |
2.7530 |
2.7650 |
* |
| Hollard Focused Global Equity Fund |
PR67CUSD |
126.8794 |
126.9132 |
127.8615 |
127.6850 |
* |
| Hollard Focused Global Equity Fund |
PR67DUSD |
114.2461 |
114.2788 |
115.1349 |
114.9826 |
* |
| Integrity Global Equity Fund |
PR16EEUR |
18.5000 |
18.6530 |
18.8070 |
18.7420 |
* |
| Integrity Global Equity Fund |
PR16DUSD |
20.3200 |
20.4450 |
20.6890 |
20.5450 |
* |
| Integrity Global Equity Fund |
PR16BUSD |
19.9130 |
20.0360 |
20.2750 |
20.1330 |
* |
| Integrity Global Equity Fund |
PR16AUSD |
20.3260 |
20.4520 |
20.6960 |
20.5520 |
* |
| Integrity Global Equity Fund |
PR16CUSD |
19.8790 |
20.0010 |
20.2400 |
20.0980 |
* |
| Integrity Global Flexible Fund |
PR32BUSD |
15.4100 |
15.4310 |
15.5330 |
15.5260 |
* |
| Integrity Global Flexible Fund |
PR32DGBP |
14.1140 |
14.1830 |
14.2250 |
14.2640 |
* |
| Integrity Global Flexible Fund |
PR32AUSD |
14.5660 |
14.5850 |
14.6820 |
14.6750 |
* |
| Laurium Africa USD Bond Fund |
PR43LABB3USD |
133.5060 |
133.2090 |
133.8660 |
133.9590 |
* |
| Laurium Africa USD Bond Fund |
PR43LABA1USD |
132.9170 |
132.6200 |
133.2740 |
133.3670 |
* |
| Laurium Africa USD Bond Fund |
PR43LABB6USD |
139.5090 |
139.2010 |
139.8900 |
139.9970 |
* |
| Laurium Africa USD Bond Fund |
PR43LABB5USD |
134.6870 |
134.3870 |
135.0490 |
135.1450 |
* |
| Laurium Enhanced Growth Hedge Fund |
PR70LEGB6 |
160.4497 |
160.0271 |
162.3690 |
160.7179 |
* |
| Laurium Enhanced Growth Hedge Fund |
PR70LEGA1 |
146.8401 |
146.5301 |
148.2236 |
147.0921 |
* |
| Laurium Enhanced Growth Hedge Fund |
PR70LEGB8 |
169.8176 |
169.3754 |
171.5633 |
170.1057 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE4 |
161.5250 |
161.3805 |
164.1949 |
162.5713 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE6 |
127.2222 |
127.1088 |
129.3259 |
128.0481 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE10 |
146.5360 |
146.4046 |
148.9574 |
147.4832 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE1 |
161.1367 |
160.9922 |
163.7993 |
162.1783 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE9 |
155.1671 |
155.0289 |
157.7332 |
156.1754 |
* |
| Laurium Global Active Equity Fund |
PR69LGAE7 |
164.7759 |
164.6379 |
167.5121 |
165.8646 |
* |
| Lodestar Global Core Equity Fund |
PR78CUSD |
109.7142 |
110.0710 |
111.0824 |
110.6948 |
* |
| Lodestar Global Core Equity Fund |
PR78BUSD |
125.7576 |
126.1677 |
127.3281 |
126.8871 |
* |
| Lodestar Global Core Equity Fund |
PR78FUSD |
104.9439 |
105.2859 |
106.2540 |
105.8855 |
* |
| Lodestar Global Core Equity Fund |
PR78AUSD |
124.3415 |
124.7459 |
125.8923 |
125.4533 |
* |
| Lodestar Global Core Equity Fund |
PR78DGBP |
99.4330 |
100.1070 |
100.6580 |
100.6330 |
* |
| Mazi Global Equity Fund |
PR66C1USD |
123.8527 |
124.3493 |
126.6129 |
126.3960 |
* |
| Mazi Global Equity Fund |
PR66A1USD |
149.3553 |
149.9508 |
152.6773 |
152.4056 |
* |
| Mazi Global Equity Fund |
PR66B1USD |
142.4131 |
142.9815 |
145.5818 |
145.3246 |
* |
| Morningstar Global Balanced Fund |
PR75AUSD |
118.8955 |
119.3985 |
120.1526 |
120.0141 |
* |
| Morningstar Global Cautious Fund |
PR76AUSD |
111.7738 |
111.9675 |
112.4752 |
112.4259 |
* |
| Morningstar Global Growth Fund |
PR77AUSD |
127.3730 |
128.2500 |
129.3974 |
129.0527 |
* |
| OMBA Global Equity Fund |
PR46AGBP |
130.4080 |
131.5530 |
132.8310 |
132.5340 |
* |
| OMBA Global Equity Fund |
PR46AUSD |
128.7640 |
129.4380 |
131.1740 |
130.4560 |
* |
| OMBA Global Equity Fund |
PR46BUSD |
128.3360 |
129.0080 |
130.7380 |
130.0220 |
* |
| OMBA Global Equity Fund |
PR46BDGBP |
134.6650 |
135.8470 |
137.1660 |
136.8590 |
* |
| OMBA Global Equity Fund |
PR46AEUR |
136.7470 |
137.7550 |
139.0920 |
138.8210 |
* |
| OMBA Global Equity Fund |
PR46BDEUR |
137.5650 |
138.5870 |
139.9440 |
139.6750 |
* |
| OMBA Global Thematic Fund |
PR47BDGBP |
127.6020 |
128.6230 |
129.6460 |
129.2460 |
* |
| OMBA Global Thematic Fund |
PR47AUSD |
108.0140 |
108.4960 |
109.7590 |
109.0660 |
* |
| OMBA Global Thematic Fund |
PR47AGBP |
108.9480 |
109.8200 |
110.6930 |
110.3520 |
* |
| OMBA Global Thematic Fund |
PR47BUSD |
108.0180 |
108.5000 |
109.7630 |
109.0700 |
* |
| OMBA Global Thematic Fund |
PR47AEUR |
143.5750 |
144.5210 |
145.6710 |
145.2630 |
* |
| OMBA Global Thematic Fund |
PR47BDEUR |
143.5220 |
144.4680 |
145.6170 |
145.2100 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33AUSD |
141.4100 |
141.7600 |
143.0450 |
142.5200 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33AGBP |
134.4780 |
135.2860 |
136.0140 |
135.9570 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33AEUR |
130.9410 |
131.5430 |
132.2510 |
132.2330 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33BGBP |
120.3270 |
121.0500 |
121.7020 |
121.6500 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33BDEUR |
117.2840 |
117.8230 |
118.4570 |
118.4410 |
* |
| OMBA Moderate Risk Global Allocation Fund |
PR33BDUSD |
130.2600 |
130.5900 |
131.7800 |
131.3000 |
* |
| Orient Opportunities China Fund |
PRQ08ZUSD |
9.9320 |
10.0100 |
10.3030 |
10.3030 |
* |
| Orient Opportunities China Fund |
PRQ08AUSD |
* |
* |
19.5650 |
19.5650 |
* |
| Orient Opportunities China Fund |
PRQ08BUSD |
* |
* |
19.2950 |
19.2950 |
* |
| Orient Opportunities China Fund |
PRQ08CUSD |
* |
* |
14.1130 |
14.1130 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition (CCF) Fund |
OMCXFFA |
16.9202 |
16.9573 |
17.2148 |
17.1576 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition (CCF) Fund |
OMCXFFB |
12.7680 |
12.8134 |
12.9909 |
12.9478 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFAAUD |
13.7939 |
13.8121 |
13.9439 |
13.9740 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFBGBP |
14.2583 |
14.3386 |
14.5027 |
14.5048 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFCUSD |
14.6888 |
14.7205 |
14.9417 |
14.8914 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFDUSD |
14.6811 |
14.7127 |
14.9338 |
14.8834 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFEUSD |
14.6735 |
14.7051 |
14.9261 |
14.8758 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFAAUDH |
14.3406 |
14.3782 |
14.5720 |
14.5385 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFEGBP |
13.6379 |
13.7147 |
13.8715 |
13.8734 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFBUSD |
11.4850 |
11.5098 |
11.6828 |
11.6436 |
* |
| Osmosis Developed Core Equity Fossil Fuel Transition Fund |
ODMCXFFBGBPH |
11.2447 |
11.2759 |
11.4283 |
11.4010 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBA |
27.7032 |
27.7635 |
28.0975 |
28.0185 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBB |
18.2800 |
18.3198 |
18.5402 |
18.4880 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBC |
24.9522 |
25.0065 |
25.3073 |
25.2359 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBD |
22.2393 |
22.2877 |
22.5557 |
22.4920 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBC3 |
12.0369 |
12.1051 |
12.2073 |
12.2157 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBD3 |
20.3825 |
20.4978 |
20.6710 |
20.6850 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBB2 |
15.5760 |
15.6450 |
15.7756 |
15.7880 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBD2 |
20.1951 |
20.2846 |
20.4538 |
20.4697 |
* |
| Osmosis Developed Core Equity Transition Fund |
OMWFSBD4 |
12.1115 |
12.1736 |
12.2406 |
12.2037 |
* |
| Osmosis Emerging Markets Core Equity Transition Fund |
OEMCETAUSD |
11.0886 |
11.2338 |
11.1957 |
11.2384 |
* |
| Osmosis Emerging Markets Core Equity Transition Fund |
OEMCETCUSD |
11.0819 |
11.2269 |
11.1887 |
11.2310 |
* |
| Osmosis Emerging Markets Core Equity Transition Fund |
OEMCETCGBP |
10.8764 |
11.0570 |
10.9805 |
11.0608 |
* |
| Osmosis Emerging Markets Core Equity Transition Fund |
OEMCETCEUR |
10.9337 |
11.1018 |
11.0239 |
11.1058 |
* |
| Osmosis Global Credit Fund - MANCO ONLY |
OIMGLD2GBPACC |
10.0269 |
10.0133 |
10.0568 |
10.0503 |
* |
| Osmosis Global Credit Fund - MANCO ONLY |
OIMGLD2USDACC |
10.0415 |
10.0273 |
10.0719 |
10.0638 |
* |
| Osmosis Global Credit Fund - MANCO ONLY |
OIMGLD2USDDIS |
9.9575 |
9.9436 |
9.9874 |
9.9802 |
* |
| Osmosis Global Credit Fund - MANCO ONLY |
OIMGLD2EURDIS |
9.8401 |
9.8246 |
9.8661 |
9.8609 |
* |
| Osmosis Global Credit Fund - MANCO ONLY |
OIMGLD2EURACC |
9.9648 |
9.9494 |
9.9912 |
9.9858 |
* |
| Osmosis RE Global Credit Fund - MANCO ONLY |
OIMGLCEUSDH |
10.3269 |
10.3125 |
10.3580 |
10.3506 |
* |
| Osmosis RE Global Credit Fund - MANCO ONLY |
OIMGLCCGBPDH |
10.0382 |
10.0252 |
10.0680 |
10.0619 |
* |
| Osmosis RE Global Credit Fund - MANCO ONLY |
OIMGLCDGBPDH |
10.1245 |
10.1114 |
10.1546 |
10.1486 |
* |
| Osmosis RE Global High Yield Fund - MANCO ONLY |
OIMGHYEUSDH |
10.3811 |
10.3765 |
10.4057 |
10.4008 |
* |
| Peregrine Capital Global Equity Fund |
PR40DUSD |
190.6940 |
191.5830 |
194.1850 |
192.4540 |
* |
| Peregrine Capital Global Equity Fund |
PR40EUSD |
166.9870 |
167.7050 |
169.8800 |
168.5420 |
* |
| Peregrine Capital Global Equity Fund |
PR40AUSD |
178.5570 |
179.3280 |
181.6580 |
180.2230 |
* |
| Peregrine Capital Global Equity Fund |
PR40CUSD |
169.0980 |
169.8300 |
172.0350 |
170.6990 |
* |
| Point Capital Global Core Fund |
PR61AUSD |
159.8000 |
160.2390 |
161.3810 |
161.2720 |
* |
| Point Capital Global Core Fund |
PR61CGBP |
129.9110 |
130.7270 |
131.1790 |
131.5170 |
* |
| Point Capital Global Core Fund |
PR61SUSD |
104.9220 |
105.2120 |
105.9620 |
105.8930 |
* |
| Point Capital Global Core Fund |
PR61MUSD |
100.9130 |
101.1900 |
101.9100 |
101.8400 |
* |
| Point Capital Global Core Fund |
PR61BUSD |
104.5020 |
104.7890 |
105.5360 |
105.4640 |
* |
| Point Capital Global Equity Fund |
PR90SUSD |
101.3910 |
101.8770 |
102.8210 |
102.6820 |
* |
| Point Capital Global Equity Fund |
PR90MUSD |
102.0720 |
102.5600 |
103.5090 |
103.3650 |
* |
| Point Capital Global Equity Fund |
PR90BUSD |
101.3350 |
101.8200 |
102.7630 |
102.6220 |
* |
| PortfolioMetrix Global Diversified Fund |
PR27BGBP |
15.4990 |
15.5930 |
15.6430 |
15.6820 |
* |
| PortfolioMetrix Global Diversified Fund |
PR27BUSD |
15.9830 |
16.0250 |
16.1340 |
16.1220 |
* |
| PortfolioMetrix Global Diversified Fund |
PR27BEUR |
15.2230 |
15.2950 |
15.3430 |
15.3860 |
* |
| PortfolioMetrix Global Equity Fund |
PR23BGBP |
19.2450 |
19.4020 |
19.5200 |
19.5650 |
* |
| PortfolioMetrix Global Equity Fund |
PR23BEUR |
18.7190 |
18.8450 |
18.9600 |
19.0090 |
* |
| PortfolioMetrix Global Equity Fund |
PR23BUSD |
19.8470 |
19.9380 |
20.1340 |
20.1150 |
* |
| PortfolioMetrix Global Equity Fund |
PR23AUSD |
12.7170 |
12.7760 |
12.9010 |
12.8890 |
* |
| PPS Global Equity Fund |
PR34AUSD |
195.5470 |
195.3590 |
197.9100 |
196.6110 |
* |
| PPS Global Equity Fund |
PR34BUSD |
218.2400 |
218.0350 |
220.8880 |
219.4520 |
* |
| PPS Global Equity Fund |
PR34A2USD |
125.8590 |
125.7390 |
127.3830 |
126.5500 |
* |
| PPS Global Equity Fund |
PR34A3USD |
117.5460 |
117.4340 |
118.9690 |
118.1930 |
* |
| Prescient China – Growth Enhanced Absolute Return Fund |
PR53AUSD |
108.6470 |
108.7200 |
108.7600 |
108.8980 |
109.0000 |
| Prescient China – Growth Enhanced Absolute Return Fund |
PR53DUSD |
104.7000 |
104.7710 |
104.8090 |
104.9420 |
105.0410 |
| Prescient China Balanced Fund |
PR06CUSD |
2.6900 |
2.7110 |
2.7070 |
2.7200 |
2.7240 |
| Prescient China Balanced Fund |
PR06AUSD |
2.8210 |
2.8430 |
2.8390 |
2.8520 |
2.8570 |
| Prescient China Balanced Fund |
PR06DUSD |
2.5560 |
2.5760 |
2.5720 |
2.5840 |
2.5890 |
| Prescient China Balanced Fund |
PR06HUSD |
1.7140 |
1.7280 |
1.7250 |
1.7330 |
1.7360 |
| Prescient China Balanced Fund |
PR06FUSD |
1.5780 |
1.5900 |
1.5870 |
1.5950 |
1.5980 |
| Prescient China Balanced Fund |
PR06SUSD |
10.7040 |
10.7880 |
10.7710 |
10.8220 |
10.8410 |
| Prescient China Equity Fund |
PR21CUSD |
193.0000 |
195.3630 |
194.9970 |
196.2330 |
196.7680 |
| Prescient China Equity Fund |
PR21AUSD |
194.9140 |
197.3020 |
196.9330 |
198.1830 |
198.7250 |
| Prescient China Equity Fund |
PR21BUSD |
186.8840 |
189.1300 |
188.7520 |
189.9710 |
190.4940 |
| Prescient Core Global Emerging Markets Equity Fund |
PR58BUSD |
17.3780 |
17.5490 |
17.6260 |
17.6060 |
* |
| Prescient Core Global Emerging Markets Equity Fund |
PR58CUSD |
17.0850 |
17.2530 |
17.3280 |
17.3100 |
* |
| Prescient Core Global Emerging Markets Equity Fund |
PR58FZAR |
18.0960 |
18.3340 |
18.1100 |
18.3310 |
* |
| Prescient Core Global Emerging Markets Equity Fund |
PR58DZAR |
19.1820 |
19.3730 |
19.4500 |
19.4400 |
* |
| Prescient Core Global Equity Fund |
PR39CUSD |
16.7350 |
16.7610 |
16.9960 |
16.9290 |
* |
| Prescient Core Global Equity Fund |
PR39BUSD |
16.3730 |
16.3980 |
16.6270 |
16.5620 |
* |
| Prescient Core Global Equity Fund |
PR39AUSD |
16.3900 |
16.4160 |
16.6460 |
16.5800 |
* |
| Prescient Core Global Equity Fund |
PR39DZAR |
17.3460 |
17.3750 |
17.6130 |
17.5520 |
* |
| Prescient Core Global Equity Fund |
PR39FZAR |
18.4480 |
18.5370 |
18.4860 |
18.6580 |
* |
| Prescient Flexible Global Income (USD) Fund |
PRQ03DZAR |
20.9950 |
20.9740 |
21.0540 |
21.0500 |
* |
| Prescient Global Absolute Return Fund |
PR74AUSD |
11.0359 |
11.0373 |
11.0664 |
11.0533 |
* |
| Prescient Global Balanced Fund |
PR30DZAR |
19.8100 |
19.8390 |
20.0990 |
20.0260 |
* |
| Prescient Global Balanced Fund |
PR30CUSD |
17.3900 |
17.4140 |
17.6500 |
17.5750 |
* |
| Prescient Global Balanced Fund |
PR30BUSD |
15.8060 |
15.8270 |
16.0410 |
15.9730 |
* |
| Prescient Global Income Provider Fund |
PR03AUSD |
1.5470 |
1.5460 |
1.5500 |
1.5490 |
* |
| Prescient Global Income Provider Fund |
PR03BUSD |
1.7410 |
1.7400 |
1.7450 |
1.7440 |
* |
| Prescient Global Income Provider Fund |
PR03CUSD |
1.8570 |
1.8560 |
1.8610 |
1.8600 |
* |
| Prescient Global Income Provider Fund |
PR03DUSD |
1.5130 |
1.5130 |
1.5160 |
1.5160 |
* |
| Prescient Global Income Provider Fund |
PR03EZAR |
13.9210 |
13.9170 |
13.9480 |
13.9500 |
* |
| Prescient Global Income Provider Fund |
PR03IZAR |
12.9810 |
12.9770 |
13.0050 |
13.0060 |
* |
| Prescient Global Income Provider Fund |
PR03KGBP |
9.9850 |
10.0160 |
10.0050 |
10.0330 |
* |
| Prescient Global Income Provider Fund |
PR03JUSD |
10.1240 |
10.1190 |
10.1450 |
10.1410 |
* |
| Prescient Global Positive Return Fund |
PR04AEUR |
1.2960 |
1.2970 |
1.3010 |
1.3010 |
* |
| Prescient Global Positive Return Fund |
PR04BEUR |
0.8830 |
0.8840 |
0.8870 |
0.8870 |
* |
| Prescient Global Positive Return Fund |
PR04CEUR |
1.0540 |
1.0550 |
1.0590 |
1.0580 |
* |
| Prescient Global Positive Return Fund |
PR04DEUR |
1.3460 |
1.3480 |
1.3520 |
1.3520 |
* |
| Prescient Global Positive Return Fund |
PR04GZAR |
32.5400 |
32.5810 |
32.6700 |
32.6890 |
* |
| Prescient Global Positive Return Fund |
PR04EUSD |
1.5470 |
1.5490 |
1.5540 |
1.5540 |
* |
| RisCura China Equity Fund |
PR56CUSD |
110.6600 |
111.9220 |
112.9640 |
112.5110 |
* |
| RisCura China Equity Fund |
PR56AUSD |
108.0640 |
109.2940 |
110.3100 |
109.8630 |
* |
| RisCura China Equity Fund |
PR56BUSD |
109.4900 |
110.7370 |
111.7680 |
111.3180 |
* |
| RisCura China Equity Fund |
PR56FUSD |
129.3960 |
130.8710 |
132.0890 |
131.5580 |
* |
| RisCura China Equity Fund |
PR56ZUSD |
92.6020 |
93.6580 |
94.5310 |
94.1540 |
* |
| RisCura Emerging Markets Equity Fund |
PR59AUSD |
171.3140 |
172.3500 |
174.6790 |
173.9500 |
* |
| RisCura Emerging Markets Equity Fund |
PR59CUSD |
170.6590 |
171.6940 |
174.0160 |
173.2960 |
* |
| RisCura Emerging Markets Equity Fund |
PR59ZUSD |
165.2630 |
166.2660 |
168.5160 |
167.8230 |
* |
| RisCura Emerging Markets Equity Fund |
PR59FUSD |
166.2810 |
167.2890 |
169.5510 |
168.8490 |
* |
| RisCura Sanders Global Equity Fund |
PR79ZUSD |
108.4720 |
108.3290 |
110.0810 |
108.9950 |
* |
| RisCura Sanders Global Equity Fund |
PR79AUSD |
138.1160 |
137.9340 |
140.1640 |
138.7800 |
* |
| Saffron Global Enhanced Income Fund |
PR60B1USD |
123.2020 |
123.1690 |
123.3530 |
123.3550 |
* |
| Saffron Global Enhanced Income Fund |
PR60B2USD |
121.5940 |
121.5600 |
121.7420 |
121.7440 |
* |
| Saffron Global Enhanced Income Fund |
PR60A2USD |
122.7220 |
122.6880 |
122.8720 |
122.8740 |
* |
| Seed Global Equity Fund |
PR48CUSD |
116.6305 |
117.1586 |
118.5455 |
117.9629 |
* |
| Seed Global Equity Fund |
PR48AUSD |
116.8723 |
117.4017 |
118.7916 |
118.2083 |
* |
| Seed Global Equity Fund |
PR48BUSD |
118.0860 |
118.6216 |
120.0268 |
119.4399 |
* |
| Seed Global Equity Fund |
PR48DGBP |
116.8614 |
117.8054 |
118.7658 |
118.5697 |
* |
| Seed Global Fund |
PR15BUSD |
1.9616 |
1.9689 |
1.9860 |
1.9806 |
* |
| Seed Global Fund |
PR15AUSD |
1.8282 |
1.8349 |
1.8508 |
1.8456 |
* |
| Seed Global Fund |
PR15CUSD |
1.4156 |
1.4209 |
1.4332 |
1.4292 |
* |
| Seed Global Fund |
PR15DGBP |
131.8254 |
132.7783 |
133.4409 |
133.5020 |
* |
| Sigma Select Global Leaders Fund |
PR31DUSD |
181.1820 |
181.7130 |
182.9270 |
184.3650 |
* |
| Sigma Select Global Leaders Fund |
PR31EUSD |
184.2080 |
184.7480 |
185.9820 |
187.4460 |
* |
| Sigma Select Global Leaders Fund |
PR31BUSD |
167.4880 |
167.9780 |
169.0990 |
170.4260 |
* |
| Sigma Select Global Leaders Fund |
PR31AUSD |
159.1120 |
159.5760 |
160.6400 |
161.8980 |
* |
| Sigma Select Global Leaders Fund |
PR31BGBP |
144.4740 |
145.4080 |
145.8440 |
147.4670 |
* |
| Steyn Capital Global Emerging Markets Fund |
PR71AUSD |
152.8588 |
152.8666 |
154.4433 |
153.6695 |
* |
| Steyn Capital Global Emerging Markets Fund |
PR71BUSD |
140.9551 |
140.9586 |
142.4089 |
141.6843 |
* |
| Stylo Global Growth Fund |
PR68CUSD |
144.2428 |
144.6889 |
146.5491 |
145.7434 |
* |
| Stylo Global Growth Fund |
PR68AUSD |
137.7586 |
138.1833 |
139.9585 |
139.1850 |
* |
| Stylo Global Growth Fund |
PR68BUSD |
137.9728 |
138.3988 |
140.1772 |
139.4040 |
* |
| TBI Global Multi-Asset Income Fund |
PR62AZAR |
127.0660 |
127.1290 |
127.3090 |
127.4210 |
* |
| TBI Global Multi-Asset Income Fund |
PR62CZAR |
1.288 |
1.335 |
1.493 |
1.57 |
* |
| TBI Global Targeted Yield UCITS Fund |
PR85ADZAR |
0.271 |
0.282 |
0.321 |
0.365 |
* |
| Umbra Balanced Fund |
PR51BUSD |
11.3140 |
11.3350 |
11.4960 |
11.4080 |
* |
| Umbra Balanced Fund |
PR51EUSD |
15.3030 |
15.3310 |
15.5490 |
15.4300 |
* |
| Vunani Global Equity Fund |
PR64BUSD |
133.7513 |
133.6660 |
135.3235 |
134.3951 |
* |
| Vunani Global Equity Fund |
PR64CUSD |
131.5112 |
131.4251 |
133.0527 |
132.1333 |
* |