2025-01-24 |
FORTRESS CARIBBEAN GROWTH FUND |
w |
$7.6647 |
$7.6647 |
$7.6647 |
$0.0900 |
2025-01-24 |
FORTRESS HIGH INTEREST FUND - ACC. |
w |
$2.2264 |
$0.0000 |
$0.0000 |
$0.0053 |
2025-01-24 |
FORTRESS HIGH INTEREST FUND - DIST. |
w |
$1.0643 |
$0.0000 |
$0.0000 |
$0.0025 |
2024-12-31 |
ROYAL FIDELITY PREMIUM INCOME FUND |
m |
$1.8381 |
$1.8381 |
$1.8013 |
$0.0054 |
2024-12-31 |
ROYAL FIDELITY SELECT BALANCED FUND |
m |
$5.8282 |
$5.8282 |
$5.7116 |
$-0.0143 |
2024-12-31 |
ROYAL FIDELITY STRATEGIC GROWTH FUND |
m |
$1.0476 |
$1.0476 |
$1.0267 |
$-0.0052 |
2025-01-24 |
SAGICOR GLOBAL BALANCED FUND |
w |
$3.1130 |
$0.0000 |
$0.0000 |
$0.0420 |
2025-01-24 |
SAGICOR PREFERRED INCOME FUND |
w |
$1.0010 |
$0.0000 |
$0.0000 |
$0.0020 |
2025-01-31 |
SAGICOR RENEWABLE ENERGY FUND |
w |
$1.0150 |
$0.0000 |
$0.0000 |
$0.0000 |
2025-01-24 |
SAGICOR SELECT GROWTH FUND |
w |
$1.9980 |
$0.0000 |
$0.0000 |
$0.0550 |
2025-01-24 |
VM WEALTH CAPITAL GROWTH FUND |
w |
$1.4299 |
$0.0000 |
$0.0000 |
$0.0040 |
2025-01-24 |
VM WEALTH INCOME FUND |
w |
$1.4491 |
$0.0000 |
$0.0000 |
$0.0007 |
2025-01-24 |
VW WEALTH PROPERTY FUND |
w |
$0.6189 |
$0.0000 |
$0.0000 |
$0.0580 |