*Next Valuation Day: 30 April 2025 - Prices Next Updated: 02 May 2025
Fund | NAV (US$) | NAV Date | Change Prev. | Bid Price (US$) | Offer Price (US$) |
---|---|---|---|---|---|
Vantage Global | 508.05 | 31/03/25 | 7.3% | 506.53 | 509.58 |
* The official NAV is calculated by MUFG as of each month end Valuation Day. Subscriptions take place at the offer price which is 0.3% above the Fund's NAV. Redemptions take place at the bid price which is 0.3% below the Fund's NAV. This Transaction Cost is retained by the Fund to offset the brokerage and spread costs of investing subscribed monies or divesting redeemed monies.
Fund | NAV (US$) | NAV Date | Change Prev. | Bid Price (US$) | Offer Price (US$) |
---|---|---|---|---|---|
Vantage Global | 508.34 | 02/04/25 | 0.1% | 506.82 | 509.87 |
* The internal NAV is Vantage's estimate of NAV as of the specified date, calculated weekly and for information purposes only.