20-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Nov-2024 | 179.65 |
19-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Nov-2024 | 179.16 |
18-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2024 | 178.99 |
15-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Nov-2024 | 182.36 |
14-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Nov-2024 | 183.28 |
13-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Nov-2024 | 183.46 |
12-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2024 | 185.01 |
11-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2024 | 185.49 |
08-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2024 | 185.49 |
07-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Nov-2024 | 183.35 |
06-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Nov-2024 | 182.21 |
05-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Nov-2024 | 180.85 |
04-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Nov-2024 | 181.58 |
01-Nov-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Oct-2024 | 179.94 |
31-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Oct-2024 | 183.37 |
30-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Oct-2024 | 183.85 |
29-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Oct-2024 | 183.45 |
28-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2024 | 183.13 |
25-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2024 | 183.13 |
24-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Oct-2024 | 183.94 |
23-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2024 | 185.2 |
22-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2024 | 186.3 |
21-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2024 | 186.9 |
18-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Oct-2024 | 186.15 |
17-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Oct-2024 | 185.87 |
16-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Oct-2024 | 186.25 |
15-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Oct-2024 | 186.79 |
14-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Oct-2024 | 185.03 |
11-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Oct-2024 | 185.03 |
10-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Oct-2024 | 185.29 |
09-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Oct-2024 | 184.56 |
08-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2024 | 183.84 |
07-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2024 | 185.51 |
04-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Oct-2024 | 184.73 |
03-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Oct-2024 | 185.54 |
02-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Oct-2024 | 185.01 |
01-Oct-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Sep-2024 | 186.26 |
30-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2024 | 186.71 |
27-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Sep-2024 | 186.74 |
26-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Sep-2024 | 185.1 |
25-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Sep-2024 | 185.55 |
24-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Sep-2024 | 184.14 |
23-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2024 | 183.52 |
20-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Sep-2024 | 184.5 |
19-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Sep-2024 | 181.44 |
18-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Sep-2024 | 182.23 |
17-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Sep-2024 | 182.33 |
16-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2024 | 182.06 |
13-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Sep-2024 | 180.84 |
12-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Sep-2024 | 179.4 |
11-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Sep-2024 | 178.04 |
10-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Sep-2024 | 177.89 |
09-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Sep-2024 | 176.36 |
06-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Sep-2024 | 178.58 |
05-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Sep-2024 | 179.18 |
04-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Sep-2024 | 179.32 |
03-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Aug-2024 | 182.41 |
02-Sep-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Aug-2024 | 181.29 |
30-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Aug-2024 | 181.29 |
29-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Aug-2024 | 179.91 |
28-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Aug-2024 | 180.89 |
27-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2024 | 180.88 |
26-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2024 | 179.53 |
23-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2024 | 179.53 |
22-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Aug-2024 | 180.37 |
21-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Aug-2024 | 179.92 |
20-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Aug-2024 | 180.1 |
19-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2024 | 178.2 |
16-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Aug-2024 | 177.94 |
15-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Aug-2024 | 175.97 |
14-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Aug-2024 | 175.61 |
13-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Aug-2024 | 173.5 |
12-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2024 | 173.97 |
09-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Aug-2024 | 173.09 |
08-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Aug-2024 | 170.23 |
07-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Aug-2024 | 170.78 |
06-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Aug-2024 | 172.49 |
05-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Aug-2024 | 175.41 |
02-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Aug-2024 | 175.41 |
01-Aug-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jul-2024 | 176.64 |
31-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2024 | 174.55 |
30-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2024 | 174.9 |
29-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2024 | 175.09 |
26-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jul-2024 | 173.31 |
25-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jul-2024 | 174.77 |
24-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jul-2024 | 178.39 |
22-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2024 | 176.16 |
19-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jul-2024 | 177.49 |
18-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jul-2024 | 178.45 |
17-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jul-2024 | 181.17 |
16-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jul-2024 | 180.93 |
15-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2024 | 181.13 |
12-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jul-2024 | 180.08 |
11-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jul-2024 | 180.28 |
10-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jul-2024 | 179.11 |
09-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jul-2024 | 179.65 |
08-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jul-2024 | 180.07 |
05-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jul-2024 | 179.17 |
04-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2024 | 178.25 |
03-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2024 | 178.25 |
02-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2024 | 177.3 |
01-Jul-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2024 | 177.88 |
28-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jun-2024 | 178.35 |
27-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jun-2024 | 177.93 |
26-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jun-2024 | 178.16 |
25-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jun-2024 | 177.13 |
24-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2024 | 177.81 |
21-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jun-2024 | 177.63 |
20-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jun-2024 | 177.21 |
19-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2024 | 176.82 |
18-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2024 | 176.82 |
17-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2024 | 176.24 |
14-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jun-2024 | 176.03 |
13-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jun-2024 | 177.07 |
12-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jun-2024 | 174.92 |
11-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jun-2024 | 175.22 |
10-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jun-2024 | 174.98 |
07-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jun-2024 | 175.85 |
06-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jun-2024 | 175.12 |
05-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jun-2024 | 172.25 |
04-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2024 | 171.72 |
03-Jun-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-May-2024 | 170.87 |
31-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-May-2024 | 170.87 |
30-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-May-2024 | 171.77 |
29-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-May-2024 | 173.4 |
28-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-May-2024 | 173.89 |
27-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-May-2024 | 173.2 |
24-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-May-2024 | 173.2 |
23-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-May-2024 | 174.33 |
22-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-May-2024 | 174.54 |
21-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-May-2024 | 175.38 |
20-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-May-2024 | 175.06 |
17-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-May-2024 | 174.74 |
16-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-May-2024 | 175.23 |
15-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-May-2024 | 173.37 |
14-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-May-2024 | 172.68 |
13-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-May-2024 | 172.77 |
10-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-May-2024 | 172.36 |
09-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-May-2024 | 172.04 |
08-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-May-2024 | 172.32 |
07-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-May-2024 | 170.23 |
06-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-May-2024 | 168.13 |
03-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-May-2024 | 168.13 |
02-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-May-2024 | 167.18 |
01-May-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Apr-2024 | 167.42 |
30-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2024 | 169.01 |
29-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Apr-2024 | 169.41 |
26-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Apr-2024 | 167.5 |
25-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Apr-2024 | 168.37 |
24-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Apr-2024 | 169.28 |
23-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Apr-2024 | 166.5 |
22-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Apr-2024 | 165.54 |
19-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Apr-2024 | 167.31 |
18-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Apr-2024 | 167.94 |
17-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Apr-2024 | 168.4 |
16-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Apr-2024 | 168.82 |
15-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Apr-2024 | 170.49 |
12-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Apr-2024 | 173.53 |
11-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Apr-2024 | 172.77 |
10-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Apr-2024 | 174.38 |
09-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Apr-2024 | 174.18 |
08-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2024 | 174.09 |
05-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Apr-2024 | 172.82 |
04-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Apr-2024 | 173.84 |
03-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Apr-2024 | 173.36 |
02-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Mar-2024 | 174.35 |
01-Apr-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2024 | 174.11 |
29-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2024 | 174.11 |
28-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2024 | 174.11 |
27-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Mar-2024 | 173.59 |
26-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Mar-2024 | 174.05 |
25-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Mar-2024 | 174.88 |
22-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Mar-2024 | 175.43 |
21-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Mar-2024 | 174.7 |
20-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Mar-2024 | 173.7 |
19-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2024 | 172.31 |
18-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Mar-2024 | 174.51 |
15-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Mar-2024 | 174.51 |
14-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Mar-2024 | 174.87 |
13-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Mar-2024 | 174.91 |
12-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Mar-2024 | 172.43 |
11-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Mar-2024 | 173.18 |
08-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Mar-2024 | 174 |
07-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Mar-2024 | 171.8 |
06-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Mar-2024 | 170.46 |
05-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Mar-2024 | 172.25 |
04-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Mar-2024 | 171.76 |
01-Mar-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Feb-2024 | 170.42 |
29-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Feb-2024 | 169.29 |
28-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Feb-2024 | 169.89 |
27-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Feb-2024 | 170.32 |
26-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Feb-2024 | 170.9 |
23-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Feb-2024 | 170.57 |
22-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Feb-2024 | 167.58 |
21-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Feb-2024 | 167.08 |
20-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Feb-2024 | 167.89 |
19-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Feb-2024 | 168.23 |
16-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Feb-2024 | 168.23 |
15-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Feb-2024 | 167.54 |
14-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Feb-2024 | 166.07 |
13-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Feb-2024 | 168.88 |
12-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Feb-2024 | 169.14 |
09-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Feb-2024 | 168.21 |
08-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Feb-2024 | 167.99 |
07-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Feb-2024 | 166.59 |
06-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Feb-2024 | 166.66 |
05-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2024 | 165.31 |
02-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2024 | 165.31 |
01-Feb-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jan-2024 | 163.75 |
31-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jan-2024 | 165.87 |
30-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jan-2024 | 166.27 |
29-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jan-2024 | 165.58 |
26-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jan-2024 | 164.63 |
25-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jan-2024 | 164.02 |
24-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jan-2024 | 163.59 |
23-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jan-2024 | 163.52 |
22-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jan-2024 | 163.3 |
19-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jan-2024 | 161.74 |
18-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jan-2024 | 160.07 |
17-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jan-2024 | 161.6 |
16-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jan-2024 | 163.06 |
15-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2024 | 162.2 |
12-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2024 | 162.2 |
11-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jan-2024 | 162.43 |
10-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jan-2024 | 161.61 |
09-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jan-2024 | 162.47 |
08-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jan-2024 | 161.11 |
05-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jan-2024 | 161.26 |
04-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jan-2024 | 161.36 |
03-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jan-2024 | 163.69 |
02-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Dec-2023 | 165.61 |
01-Jan-2024 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Dec-2023 | 166.1 |
29-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Dec-2023 | 166.1 |
28-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2023 | 164.88 |
27-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2023 | 163.86 |
25-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2023 | 163.86 |
22-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2023 | 163.86 |
21-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Dec-2023 | 162.49 |
20-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Dec-2023 | 163.87 |
19-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Dec-2023 | 162.91 |
18-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Dec-2023 | 162.05 |
15-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Dec-2023 | 162.44 |
14-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Dec-2023 | 160.25 |
13-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Dec-2023 | 159.37 |
12-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Dec-2023 | 158.45 |
11-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Dec-2023 | 157.29 |
08-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Dec-2023 | 156.54 |
07-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Dec-2023 | 156.03 |
06-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Dec-2023 | 156.37 |
05-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Dec-2023 | 157.34 |
04-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Dec-2023 | 157.98 |
01-Dec-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Nov-2023 | 157.29 |
30-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Nov-2023 | 156.87 |
29-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Nov-2023 | 156.76 |
28-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Nov-2023 | 156.8 |
27-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Nov-2023 | 157.36 |
24-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Nov-2023 | 156.65 |
23-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Nov-2023 | 156.33 |
22-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Nov-2023 | 156.33 |
17-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Nov-2023 | 155.09 |
16-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2023 | 155.13 |
15-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Nov-2023 | 154.31 |
14-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Nov-2023 | 151.56 |
13-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Nov-2023 | 151.59 |
10-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2023 | 150.5 |
09-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2023 | 151.11 |
08-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2023 | 150.57 |
07-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Nov-2023 | 150.59 |
06-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Nov-2023 | 150.36 |
03-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Nov-2023 | 148.35 |
02-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Nov-2023 | 145.35 |
01-Nov-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Oct-2023 | 144.52 |
31-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Oct-2023 | 142.15 |
30-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Oct-2023 | 143.27 |
27-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Oct-2023 | 143.27 |
26-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Oct-2023 | 144.97 |
25-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2023 | 146.79 |
24-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Oct-2023 | 146.53 |
23-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Oct-2023 | 146.32 |
20-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Oct-2023 | 147.95 |
19-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2023 | 149 |
18-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Oct-2023 | 151.25 |
17-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Oct-2023 | 150.91 |
16-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Oct-2023 | 149.61 |
13-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Oct-2023 | 151.31 |
12-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Oct-2023 | 151.99 |
11-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Oct-2023 | 151.38 |
10-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Oct-2023 | 149.49 |
09-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2023 | 148 |
06-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2023 | 148 |
05-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2023 | 148.12 |
04-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Oct-2023 | 146.91 |
03-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Oct-2023 | 148.5 |
02-Oct-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Sep-2023 | 149.29 |
29-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Sep-2023 | 149.06 |
28-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2023 | 148.45 |
27-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Sep-2023 | 148.45 |
26-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Sep-2023 | 150.63 |
25-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Sep-2023 | 150.88 |
22-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Sep-2023 | 151 |
21-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2023 | 153.89 |
20-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Sep-2023 | 154.78 |
19-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Sep-2023 | 154.91 |
18-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Sep-2023 | 155.32 |
15-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Sep-2023 | 156.77 |
14-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2023 | 155.84 |
13-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Sep-2023 | 155.8 |
12-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Sep-2023 | 156.76 |
11-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Sep-2023 | 155.69 |
08-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Sep-2023 | 155.74 |
07-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Sep-2023 | 156.06 |
06-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Sep-2023 | 156.87 |
05-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Sep-2023 | 158.04 |
04-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Aug-2023 | 157.56 |
01-Sep-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Aug-2023 | 157.56 |
31-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Aug-2023 | 158.1 |
30-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Aug-2023 | 157.5 |
29-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Aug-2023 | 154.21 |
28-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2023 | 153.62 |
25-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2023 | 153.62 |
24-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2023 | 155.03 |
23-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2023 | 153.13 |
22-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Aug-2023 | 153.21 |
21-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Aug-2023 | 152.62 |
18-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Aug-2023 | 153.34 |
17-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2023 | 154.33 |
16-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Aug-2023 | 155.22 |
15-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Aug-2023 | 156.72 |
14-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Aug-2023 | 156.43 |
11-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Aug-2023 | 157.16 |
10-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2023 | 157.44 |
09-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Aug-2023 | 157.48 |
08-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Aug-2023 | 156.62 |
07-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Aug-2023 | 156.27 |
04-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Aug-2023 | 156.27 |
03-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Aug-2023 | 156.81 |
02-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Aug-2023 | 158.89 |
01-Aug-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jul-2023 | 159.46 |
31-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jul-2023 | 159.37 |
28-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jul-2023 | 158.41 |
27-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2023 | 159.06 |
26-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jul-2023 | 159.04 |
25-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jul-2023 | 158.21 |
24-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jul-2023 | 158.02 |
21-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jul-2023 | 157.34 |
20-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2023 | 158.84 |
19-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jul-2023 | 159.21 |
18-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jul-2023 | 157.95 |
17-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jul-2023 | 158.09 |
14-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jul-2023 | 157.63 |
13-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2023 | 155.65 |
12-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jul-2023 | 153.68 |
11-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jul-2023 | 152.48 |
10-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jul-2023 | 151.95 |
07-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jul-2023 | 151.71 |
06-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jul-2023 | 153.58 |
05-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jul-2023 | 154.6 |
04-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2023 | 154.57 |
03-Jul-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2023 | 154.57 |
30-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jun-2023 | 153.25 |
29-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2023 | 152.67 |
28-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jun-2023 | 152.47 |
27-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jun-2023 | 150.88 |
26-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jun-2023 | 151.43 |
23-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jun-2023 | 152.47 |
22-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2023 | 151.95 |
21-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jun-2023 | 152.23 |
20-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jun-2023 | 153.84 |
19-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2023 | 154.07 |
16-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2023 | 154.07 |
15-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2023 | 152.36 |
14-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jun-2023 | 151.99 |
13-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jun-2023 | 150.53 |
12-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jun-2023 | 149.36 |
09-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jun-2023 | 149.18 |
08-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jun-2023 | 148.75 |
07-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jun-2023 | 149.48 |
06-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jun-2023 | 149.34 |
05-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jun-2023 | 147.22 |
02-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jun-2023 | 147.22 |
01-Jun-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2023 | 145.78 |
31-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-May-2023 | 147.24 |
30-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-May-2023 | 148.11 |
29-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-May-2023 | 146.35 |
26-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-May-2023 | 146.35 |
25-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-May-2023 | 145.52 |
24-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-May-2023 | 146.77 |
23-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-May-2023 | 149.29 |
22-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-May-2023 | 148.71 |
19-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-May-2023 | 148.67 |
18-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-May-2023 | 147.5 |
17-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-May-2023 | 146.86 |
16-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-May-2023 | 147.52 |
15-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-May-2023 | 146.35 |
12-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-May-2023 | 146.47 |
11-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-May-2023 | 147.15 |
10-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-May-2023 | 146.44 |
09-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-May-2023 | 147.3 |
08-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-May-2023 | 145.56 |
05-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-May-2023 | 145.56 |
04-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-May-2023 | 146.6 |
03-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-May-2023 | 147.32 |
02-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Apr-2023 | 148.75 |
01-May-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Apr-2023 | 147.52 |
28-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Apr-2023 | 147.52 |
27-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Apr-2023 | 145.92 |
26-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Apr-2023 | 145.78 |
25-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Apr-2023 | 148.39 |
24-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Apr-2023 | 148.39 |
21-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Apr-2023 | 148.5 |
20-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Apr-2023 | 148.27 |
19-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Apr-2023 | 147.96 |
18-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Apr-2023 | 147.68 |
17-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Apr-2023 | 147.68 |
14-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Apr-2023 | 147.81 |
13-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Apr-2023 | 146.26 |
12-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Apr-2023 | 146.58 |
11-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Apr-2023 | 145.93 |
10-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2023 | 145.64 |
07-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2023 | 145.64 |
06-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2023 | 145.64 |
05-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Apr-2023 | 146.18 |
04-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Apr-2023 | 146.22 |
03-Apr-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2023 | 145.85 |
31-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Mar-2023 | 144.47 |
30-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Mar-2023 | 143.69 |
29-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Mar-2023 | 141.9 |
28-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2023 | 141.95 |
27-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Mar-2023 | 141.46 |
24-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Mar-2023 | 141.87 |
23-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Mar-2023 | 140.82 |
22-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Mar-2023 | 142.13 |
21-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Mar-2023 | 140.06 |
20-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Mar-2023 | 140.49 |
17-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2023 | 137.53 |
16-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2023 | 137.53 |
15-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Mar-2023 | 139.48 |
14-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Mar-2023 | 137.5 |
13-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Mar-2023 | 137.92 |
10-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Mar-2023 | 140.35 |
09-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Mar-2023 | 142.32 |
08-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Mar-2023 | 142.16 |
07-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Mar-2023 | 144.36 |
06-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Mar-2023 | 144.39 |
03-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Mar-2023 | 142.47 |
02-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Mar-2023 | 141.35 |
01-Mar-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Feb-2023 | 141.31 |
28-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Feb-2023 | 141.35 |
27-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Feb-2023 | 140.85 |
24-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Feb-2023 | 142.75 |
23-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Feb-2023 | 142.83 |
22-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Feb-2023 | 143.67 |
21-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Feb-2023 | 145.54 |
20-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Feb-2023 | 146.43 |
17-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Feb-2023 | 146.43 |
16-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Feb-2023 | 147.51 |
15-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Feb-2023 | 147.48 |
14-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Feb-2023 | 147.16 |
13-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Feb-2023 | 145.45 |
10-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Feb-2023 | 146.02 |
09-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Feb-2023 | 147.03 |
08-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Feb-2023 | 147.7 |
07-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Feb-2023 | 148.2 |
06-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Feb-2023 | 149.82 |
03-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Feb-2023 | 149.82 |
02-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2023 | 147.54 |
01-Feb-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jan-2023 | 146.04 |
31-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jan-2023 | 144.67 |
30-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jan-2023 | 145.6 |
27-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jan-2023 | 145.86 |
26-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jan-2023 | 144.48 |
25-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jan-2023 | 145.15 |
24-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jan-2023 | 145.87 |
23-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jan-2023 | 144.55 |
20-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jan-2023 | 142.11 |
19-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jan-2023 | 143.41 |
18-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jan-2023 | 144.39 |
17-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jan-2023 | 144.08 |
16-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jan-2023 | 143.43 |
13-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jan-2023 | 143.43 |
12-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2023 | 142.21 |
11-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jan-2023 | 140.46 |
10-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jan-2023 | 140.15 |
09-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jan-2023 | 138.27 |
06-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jan-2023 | 135.44 |
05-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jan-2023 | 137.72 |
04-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jan-2023 | 135.92 |
03-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2022 | 136.06 |
02-Jan-2023 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Dec-2022 | 136.79 |
30-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Dec-2022 | 136.79 |
29-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2022 | 135.87 |
28-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2022 | 135.23 |
27-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2022 | 135.23 |
26-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2022 | 135.23 |
23-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2022 | 135.23 |
22-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2022 | 137.03 |
21-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Dec-2022 | 135.29 |
20-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Dec-2022 | 134.61 |
19-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Dec-2022 | 135.85 |
16-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Dec-2022 | 137.47 |
15-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Dec-2022 | 140.8 |
14-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Dec-2022 | 141.53 |
13-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Dec-2022 | 139.79 |
12-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Dec-2022 | 138.53 |
09-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Dec-2022 | 139.03 |
08-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Dec-2022 | 137.59 |
07-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Dec-2022 | 138.6 |
06-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Dec-2022 | 140.35 |
05-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Dec-2022 | 141.49 |
02-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Dec-2022 | 142.08 |
01-Dec-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Nov-2022 | 140.48 |
30-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Nov-2022 | 136.72 |
29-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Nov-2022 | 137.03 |
28-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Nov-2022 | 139.03 |
25-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Nov-2022 | 139 |
24-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Nov-2022 | 138.14 |
23-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Nov-2022 | 138.14 |
22-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Nov-2022 | 137.04 |
21-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Nov-2022 | 137.4 |
18-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Nov-2022 | 136.84 |
17-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Nov-2022 | 138.34 |
16-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2022 | 139.61 |
15-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Nov-2022 | 137.66 |
14-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Nov-2022 | 135.36 |
11-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2022 | 128 |
10-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2022 | 128 |
09-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2022 | 130.17 |
08-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2022 | 129.07 |
07-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Nov-2022 | 126.76 |
04-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Nov-2022 | 124.08 |
03-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Nov-2022 | 126.99 |
02-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Nov-2022 | 129.98 |
01-Nov-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Oct-2022 | 130.77 |
28-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Oct-2022 | 129.33 |
27-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Oct-2022 | 129.88 |
26-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Oct-2022 | 130.1 |
25-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2022 | 128.03 |
24-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2022 | 126.38 |
21-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Oct-2022 | 124.81 |
20-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Oct-2022 | 125.6 |
19-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2022 | 126.74 |
18-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Oct-2022 | 125.81 |
17-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Oct-2022 | 123.03 |
14-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Oct-2022 | 125 |
13-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Oct-2022 | 123 |
12-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Oct-2022 | 123.13 |
11-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2022 | 126.29 |
10-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Oct-2022 | 129.96 |
07-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Oct-2022 | 129.96 |
06-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2022 | 130.96 |
05-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2022 | 130.81 |
04-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Oct-2022 | 126.62 |
03-Oct-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Sep-2022 | 124 |
29-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Sep-2022 | 126.2 |
28-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2022 | 124.68 |
27-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Sep-2022 | 125.63 |
26-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Sep-2022 | 126.57 |
23-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Sep-2022 | 128.55 |
22-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Sep-2022 | 130.33 |
21-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2022 | 132.18 |
20-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Sep-2022 | 133.33 |
19-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Sep-2022 | 134.78 |
16-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Sep-2022 | 134.78 |
15-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Sep-2022 | 137.16 |
14-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2022 | 137.95 |
13-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Sep-2022 | 142.99 |
12-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Sep-2022 | 141.46 |
09-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Sep-2022 | 139 |
08-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Sep-2022 | 137.99 |
07-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Sep-2022 | 135.9 |
06-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Sep-2022 | 136.49 |
05-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Sep-2022 | 137.13 |
02-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Sep-2022 | 137.13 |
01-Sep-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Aug-2022 | 137.75 |
31-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Aug-2022 | 138.6 |
30-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Aug-2022 | 140.96 |
29-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Aug-2022 | 145.5 |
26-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Aug-2022 | 145.5 |
25-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2022 | 144.17 |
24-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2022 | 143.86 |
23-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2022 | 144.71 |
22-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Aug-2022 | 147.97 |
19-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Aug-2022 | 150.34 |
18-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Aug-2022 | 150.47 |
17-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2022 | 151.77 |
16-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Aug-2022 | 151.78 |
15-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Aug-2022 | 151.33 |
12-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Aug-2022 | 149.23 |
11-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Aug-2022 | 148.82 |
10-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2022 | 146.4 |
09-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Aug-2022 | 147.94 |
08-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Aug-2022 | 148.02 |
05-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Aug-2022 | 148.25 |
04-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Aug-2022 | 147.44 |
03-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Aug-2022 | 145.61 |
02-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2022 | 147.33 |
01-Aug-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jul-2022 | 145.6 |
29-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jul-2022 | 145.6 |
28-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jul-2022 | 142.37 |
27-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2022 | 139.94 |
26-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jul-2022 | 141.76 |
25-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jul-2022 | 142.26 |
22-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jul-2022 | 143.16 |
21-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jul-2022 | 141.04 |
20-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2022 | 140.08 |
19-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jul-2022 | 136.44 |
18-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jul-2022 | 136.77 |
15-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jul-2022 | 134.23 |
14-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jul-2022 | 135.07 |
13-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2022 | 135.89 |
12-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jul-2022 | 137.73 |
11-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jul-2022 | 139.57 |
08-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jul-2022 | 139.63 |
07-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jul-2022 | 137.57 |
06-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jul-2022 | 136.52 |
05-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2022 | 136.28 |
04-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2022 | 135.66 |
01-Jul-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2022 | 135.66 |
30-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jun-2022 | 137.23 |
29-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2022 | 137.36 |
28-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jun-2022 | 140.08 |
27-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jun-2022 | 140.74 |
24-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jun-2022 | 136.69 |
23-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jun-2022 | 135.03 |
22-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2022 | 135.09 |
21-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2022 | 132.51 |
20-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jun-2022 | 132.06 |
17-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jun-2022 | 132.06 |
16-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2022 | 135.65 |
15-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2022 | 134.14 |
14-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jun-2022 | 135.13 |
13-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jun-2022 | 139.7 |
10-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jun-2022 | 143.74 |
09-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jun-2022 | 146.72 |
08-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jun-2022 | 147.95 |
07-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jun-2022 | 146.21 |
06-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2022 | 147.32 |
03-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2022 | 147.32 |
02-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2022 | 147.32 |
01-Jun-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2022 | 147.32 |
31-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-May-2022 | 147.67 |
30-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-May-2022 | 143.22 |
27-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-May-2022 | 143.22 |
26-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-May-2022 | 140.3 |
25-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-May-2022 | 139.43 |
24-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-May-2022 | 141.41 |
23-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-May-2022 | 139.47 |
20-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-May-2022 | 138.81 |
19-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-May-2022 | 139.59 |
18-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-May-2022 | 143.83 |
17-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-May-2022 | 141.1 |
16-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-May-2022 | 141.97 |
13-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-May-2022 | 138.28 |
12-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-May-2022 | 138.48 |
11-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-May-2022 | 139.52 |
10-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-May-2022 | 138.83 |
09-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-May-2022 | 143.55 |
06-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-May-2022 | 146.04 |
05-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-May-2022 | 150.13 |
04-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-May-2022 | 147.82 |
03-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2022 | 147.53 |
02-May-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Apr-2022 | 151.19 |
29-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Apr-2022 | 151.19 |
28-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Apr-2022 | 148.45 |
27-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Apr-2022 | 148.3 |
26-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Apr-2022 | 151.71 |
25-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Apr-2022 | 151.64 |
22-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Apr-2022 | 155.74 |
21-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Apr-2022 | 157.67 |
20-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Apr-2022 | 156.88 |
19-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Apr-2022 | 157.02 |
18-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Apr-2022 | 158.5 |
15-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Apr-2022 | 158.5 |
14-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Apr-2022 | 158.5 |
13-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Apr-2022 | 156.82 |
12-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Apr-2022 | 158.17 |
11-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Apr-2022 | 160.72 |
08-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Apr-2022 | 160.86 |
07-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Apr-2022 | 160.3 |
06-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2022 | 162.52 |
05-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Apr-2022 | 163.94 |
04-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Apr-2022 | 162.78 |
01-Apr-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2022 | 162.55 |
31-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Mar-2022 | 165.21 |
30-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Mar-2022 | 166.15 |
29-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Mar-2022 | 163.13 |
28-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Mar-2022 | 162.08 |
25-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Mar-2022 | 162.37 |
24-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Mar-2022 | 161.11 |
23-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Mar-2022 | 163.99 |
22-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Mar-2022 | 162.12 |
21-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Mar-2022 | 158.46 |
18-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2022 | 153.64 |
17-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2022 | 153.64 |
16-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2022 | 153.64 |
15-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Mar-2022 | 151.67 |
14-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Mar-2022 | 152.09 |
11-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Mar-2022 | 153.78 |
10-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Mar-2022 | 155.34 |
09-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Mar-2022 | 149.47 |
08-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Mar-2022 | 151.8 |
07-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Mar-2022 | 157.43 |
04-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Mar-2022 | 160.19 |
03-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Mar-2022 | 160.97 |
02-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Mar-2022 | 159.45 |
01-Mar-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Feb-2022 | 161.86 |
28-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Feb-2022 | 163.23 |
25-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Feb-2022 | 159.77 |
24-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Feb-2022 | 159.15 |
23-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Feb-2022 | 161.61 |
22-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Feb-2022 | 163.43 |
21-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Feb-2022 | 164.93 |
18-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Feb-2022 | 164.93 |
17-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Feb-2022 | 167.35 |
16-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Feb-2022 | 167.38 |
15-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Feb-2022 | 165.11 |
14-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Feb-2022 | 166.29 |
11-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Feb-2022 | 169.76 |
10-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Feb-2022 | 172.14 |
09-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Feb-2022 | 169.21 |
08-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Feb-2022 | 168.32 |
07-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Feb-2022 | 169.19 |
04-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Feb-2022 | 168.32 |
03-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Feb-2022 | 172.69 |
02-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2022 | 170.83 |
01-Feb-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jan-2022 | 169.53 |
31-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jan-2022 | 165.96 |
28-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jan-2022 | 163.04 |
27-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jan-2022 | 164.23 |
26-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jan-2022 | 164.81 |
25-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jan-2022 | 167.28 |
24-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jan-2022 | 168.04 |
21-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jan-2022 | 171.15 |
20-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jan-2022 | 171.86 |
19-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jan-2022 | 172.64 |
18-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jan-2022 | 176.33 |
17-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jan-2022 | 176.73 |
14-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jan-2022 | 176.73 |
13-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jan-2022 | 179.1 |
12-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2022 | 177.75 |
11-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jan-2022 | 175.83 |
10-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jan-2022 | 176.48 |
07-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jan-2022 | 177.58 |
06-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jan-2022 | 177.89 |
05-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jan-2022 | 180.77 |
04-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Dec-2021 | 180.8 |
03-Jan-2022 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2021 | 181.36 |
31-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2021 | 181.36 |
30-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2021 | 179.61 |
29-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2021 | 178.71 |
28-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2021 | 178.71 |
27-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2021 | 178.71 |
24-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2021 | 178.71 |
23-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2021 | 178.71 |
22-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2021 | 177.01 |
21-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Dec-2021 | 173.99 |
20-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Dec-2021 | 176.76 |
17-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Dec-2021 | 178.16 |
16-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Dec-2021 | 178.3 |
15-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Dec-2021 | 175.8 |
14-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Dec-2021 | 177.39 |
13-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Dec-2021 | 178.52 |
10-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Dec-2021 | 177.77 |
09-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Dec-2021 | 179.21 |
08-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Dec-2021 | 178.2 |
07-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Dec-2021 | 174.75 |
06-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Dec-2021 | 172.76 |
03-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Dec-2021 | 174.64 |
02-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Dec-2021 | 172.63 |
01-Dec-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Nov-2021 | 173.29 |
30-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Nov-2021 | 176.66 |
29-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Nov-2021 | 175.12 |
26-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Nov-2021 | 178.33 |
25-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Nov-2021 | 178.01 |
24-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Nov-2021 | 178.01 |
23-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Nov-2021 | 178.42 |
22-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Nov-2021 | 180.03 |
19-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Nov-2021 | 180.28 |
18-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Nov-2021 | 180.17 |
17-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Nov-2021 | 181.03 |
16-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2021 | 180.07 |
15-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Nov-2021 | 179.91 |
12-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Nov-2021 | 179.28 |
11-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2021 | 180.48 |
10-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2021 | 180.48 |
09-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2021 | 180.51 |
08-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Nov-2021 | 179.61 |
05-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Nov-2021 | 179.87 |
04-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Nov-2021 | 178.87 |
03-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Nov-2021 | 178.23 |
01-Nov-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Oct-2021 | 178.17 |
29-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Oct-2021 | 178.02 |
28-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Oct-2021 | 176.56 |
27-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Oct-2021 | 177.84 |
26-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2021 | 177.86 |
25-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2021 | 177.79 |
22-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2021 | 177.79 |
21-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Oct-2021 | 177.59 |
20-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Oct-2021 | 176.9 |
19-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2021 | 175.2 |
18-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Oct-2021 | 174.8 |
15-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Oct-2021 | 173.37 |
14-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Oct-2021 | 170.53 |
13-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Oct-2021 | 169.7 |
12-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Oct-2021 | 171.01 |
11-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2021 | 171.5 |
08-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2021 | 171.5 |
07-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Oct-2021 | 169.44 |
06-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2021 | 169.45 |
05-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2021 | 167.75 |
04-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Oct-2021 | 170.45 |
01-Oct-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Sep-2021 | 169.38 |
30-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Sep-2021 | 170.77 |
29-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Sep-2021 | 170.58 |
28-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2021 | 174.7 |
27-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Sep-2021 | 175.58 |
24-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Sep-2021 | 175.84 |
23-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Sep-2021 | 173.7 |
22-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Sep-2021 | 172.9 |
21-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2021 | 172.65 |
20-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Sep-2021 | 175.35 |
17-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Sep-2021 | 176.84 |
16-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Sep-2021 | 177.31 |
15-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Sep-2021 | 176.97 |
14-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2021 | 177.74 |
13-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Sep-2021 | 178.72 |
10-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Sep-2021 | 179.36 |
09-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Sep-2021 | 180.02 |
08-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Sep-2021 | 180.19 |
07-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Sep-2021 | 180.14 |
06-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Sep-2021 | 180.18 |
03-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Sep-2021 | 180.18 |
02-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Sep-2021 | 179.86 |
01-Sep-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Aug-2021 | 178.32 |
31-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Aug-2021 | 177.31 |
30-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Aug-2021 | 175.88 |
27-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Aug-2021 | 175.88 |
26-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Aug-2021 | 177.13 |
25-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2021 | 177 |
24-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2021 | 176.05 |
23-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Aug-2021 | 174.37 |
20-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Aug-2021 | 173.65 |
19-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Aug-2021 | 174.25 |
18-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Aug-2021 | 175.81 |
17-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2021 | 176.7 |
16-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Aug-2021 | 176.56 |
13-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Aug-2021 | 176.19 |
12-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Aug-2021 | 175.9 |
11-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Aug-2021 | 176.06 |
10-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2021 | 176.4 |
09-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Aug-2021 | 176.46 |
06-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Aug-2021 | 176.51 |
05-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Aug-2021 | 175.86 |
04-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Aug-2021 | 175.76 |
03-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2021 | 175.79 |
02-Aug-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2021 | 176.38 |
30-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2021 | 176.38 |
29-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jul-2021 | 175.06 |
28-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jul-2021 | 174.55 |
27-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2021 | 175.19 |
26-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jul-2021 | 175.81 |
23-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jul-2021 | 173.99 |
22-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jul-2021 | 173.12 |
21-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jul-2021 | 172.09 |
20-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2021 | 170.25 |
19-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jul-2021 | 173.69 |
16-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jul-2021 | 174.46 |
15-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jul-2021 | 174.59 |
14-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jul-2021 | 174.61 |
13-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2021 | 174.86 |
12-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jul-2021 | 174.18 |
09-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jul-2021 | 172.69 |
08-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jul-2021 | 174.06 |
07-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jul-2021 | 173.72 |
06-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2021 | 173.7 |
05-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2021 | 172.77 |
02-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2021 | 172.77 |
01-Jul-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2021 | 171.94 |
30-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jun-2021 | 172.8 |
29-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2021 | 172.76 |
28-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jun-2021 | 172.62 |
25-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jun-2021 | 171.99 |
24-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jun-2021 | 170.96 |
23-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jun-2021 | 170.8 |
22-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2021 | 169.86 |
21-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jun-2021 | 168.08 |
18-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2021 | 169.67 |
17-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jun-2021 | 169.58 |
16-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2021 | 169.72 |
15-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2021 | 169.92 |
14-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jun-2021 | 169.18 |
11-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jun-2021 | 168.85 |
10-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jun-2021 | 167.93 |
09-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jun-2021 | 168.09 |
08-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jun-2021 | 168.63 |
07-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jun-2021 | 167.23 |
04-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jun-2021 | 167.23 |
03-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jun-2021 | 167.78 |
02-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jun-2021 | 167.92 |
01-Jun-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-May-2021 | 168.68 |
31-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-May-2021 | 168.24 |
28-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-May-2021 | 168.24 |
27-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-May-2021 | 167.94 |
26-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-May-2021 | 167.71 |
25-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-May-2021 | 167.61 |
24-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-May-2021 | 166.51 |
21-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-May-2021 | 166.45 |
20-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-May-2021 | 164.46 |
19-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-May-2021 | 164.65 |
18-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-May-2021 | 165.23 |
17-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-May-2021 | 165.93 |
14-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-May-2021 | 163.64 |
13-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-May-2021 | 162.52 |
12-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-May-2021 | 165.47 |
11-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-May-2021 | 167 |
10-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-May-2021 | 168.36 |
07-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-May-2021 | 166.94 |
06-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-May-2021 | 166.48 |
05-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-May-2021 | 166.27 |
04-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Apr-2021 | 168.01 |
03-May-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2021 | 170 |
30-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2021 | 170 |
29-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Apr-2021 | 168.97 |
28-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Apr-2021 | 168.5 |
27-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Apr-2021 | 168.19 |
26-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Apr-2021 | 167.61 |
23-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Apr-2021 | 165.86 |
22-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Apr-2021 | 165.85 |
21-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Apr-2021 | 164.57 |
20-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Apr-2021 | 165.8 |
19-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Apr-2021 | 166.71 |
16-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Apr-2021 | 166.2 |
15-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Apr-2021 | 164.82 |
14-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Apr-2021 | 165.27 |
13-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Apr-2021 | 164.55 |
12-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Apr-2021 | 164.78 |
09-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Apr-2021 | 163.8 |
08-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Apr-2021 | 162.27 |
07-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Apr-2021 | 162.62 |
06-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Apr-2021 | 160.51 |
05-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2021 | 158.29 |
02-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2021 | 158.29 |
01-Apr-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2021 | 158.29 |
31-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Mar-2021 | 158.01 |
30-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Mar-2021 | 158.56 |
29-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Mar-2021 | 158.53 |
26-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Mar-2021 | 156.11 |
25-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Mar-2021 | 156.27 |
24-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Mar-2021 | 157.3 |
23-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Mar-2021 | 157.99 |
22-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Mar-2021 | 157.22 |
19-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Mar-2021 | 157.33 |
18-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Mar-2021 | 158.64 |
17-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2021 | 158.49 |
16-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2021 | 158.49 |
15-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Mar-2021 | 157.74 |
12-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Mar-2021 | 158.96 |
11-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Mar-2021 | 156.45 |
10-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Mar-2021 | 156.33 |
09-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Mar-2021 | 154.75 |
08-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Mar-2021 | 155.09 |
05-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Mar-2021 | 153.44 |
04-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Mar-2021 | 155.33 |
03-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Mar-2021 | 157.13 |
02-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Mar-2021 | 158.43 |
01-Mar-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Feb-2021 | 154.52 |
26-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Feb-2021 | 156.26 |
25-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Feb-2021 | 159.14 |
24-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Feb-2021 | 158.09 |
23-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Feb-2021 | 157.98 |
22-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Feb-2021 | 159.48 |
19-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Feb-2021 | 160.02 |
18-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Feb-2021 | 160.73 |
17-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Feb-2021 | 161.5 |
16-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Feb-2021 | 161.45 |
15-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Feb-2021 | 160.77 |
12-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Feb-2021 | 160.77 |
11-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Feb-2021 | 159.21 |
10-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Feb-2021 | 159.4 |
09-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Feb-2021 | 159.08 |
08-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Feb-2021 | 158.29 |
05-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Feb-2021 | 157.31 |
04-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Feb-2021 | 156.32 |
03-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Feb-2021 | 156.86 |
02-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2021 | 154.34 |
01-Feb-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jan-2021 | 150.84 |
29-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jan-2021 | 153.28 |
28-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jan-2021 | 151.13 |
27-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jan-2021 | 155.69 |
26-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jan-2021 | 155.88 |
25-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jan-2021 | 156.07 |
22-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jan-2021 | 157.1 |
21-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jan-2021 | 157.43 |
20-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jan-2021 | 155.75 |
19-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jan-2021 | 154.13 |
18-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jan-2021 | 155.15 |
15-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jan-2021 | 155.15 |
14-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jan-2021 | 155.74 |
13-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jan-2021 | 156.27 |
12-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2021 | 156.81 |
11-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jan-2021 | 157.81 |
08-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jan-2021 | 156.49 |
07-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jan-2021 | 154.58 |
06-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jan-2021 | 153.81 |
05-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jan-2021 | 153.26 |
04-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Dec-2020 | 153.83 |
01-Jan-2021 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2020 | 153.65 |
31-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2020 | 153.65 |
30-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Dec-2020 | 150.78 |
29-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2020 | 150.48 |
28-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2020 | 150.48 |
25-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2020 | 150.48 |
24-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2020 | 150.48 |
23-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Dec-2020 | 150.35 |
22-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2020 | 150.5 |
21-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Dec-2020 | 152.15 |
18-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Dec-2020 | 151.93 |
17-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Dec-2020 | 150.64 |
16-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Dec-2020 | 150.13 |
15-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Dec-2020 | 148.71 |
14-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Dec-2020 | 149.05 |
11-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Dec-2020 | 148.96 |
10-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Dec-2020 | 148.48 |
09-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Dec-2020 | 149.41 |
08-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Dec-2020 | 149.56 |
07-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Dec-2020 | 149.6 |
04-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Dec-2020 | 148.09 |
03-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Dec-2020 | 148.28 |
02-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Dec-2020 | 148.57 |
01-Dec-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Nov-2020 | 146.76 |
30-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Nov-2020 | 147.65 |
27-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Nov-2020 | 146.57 |
26-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Nov-2020 | 146.98 |
25-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Nov-2020 | 146.98 |
24-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Nov-2020 | 145.59 |
23-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Nov-2020 | 145.6 |
20-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Nov-2020 | 146.19 |
19-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Nov-2020 | 145.98 |
18-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Nov-2020 | 147.01 |
17-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Nov-2020 | 147.85 |
16-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Nov-2020 | 146.07 |
13-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Nov-2020 | 144.45 |
12-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Nov-2020 | 144.67 |
11-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2020 | 145.98 |
10-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2020 | 145.98 |
09-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Nov-2020 | 143.81 |
06-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Nov-2020 | 143.28 |
05-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Nov-2020 | 141 |
04-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Nov-2020 | 137.45 |
03-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Nov-2020 | 135.08 |
02-Nov-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Oct-2020 | 133.52 |
30-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Oct-2020 | 134.92 |
29-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Oct-2020 | 134.15 |
28-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Oct-2020 | 139.06 |
27-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Oct-2020 | 140.79 |
26-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2020 | 140.04 |
23-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2020 | 140.04 |
22-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2020 | 139.69 |
21-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Oct-2020 | 139.55 |
20-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Oct-2020 | 138.65 |
19-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Oct-2020 | 139.88 |
16-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Oct-2020 | 139.02 |
15-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Oct-2020 | 140.34 |
14-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Oct-2020 | 141.35 |
13-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Oct-2020 | 140.62 |
12-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Oct-2020 | 139.01 |
09-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Oct-2020 | 139.01 |
08-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2020 | 138.17 |
07-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Oct-2020 | 136.59 |
06-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2020 | 137.31 |
05-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Oct-2020 | 135.57 |
02-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Oct-2020 | 136.7 |
01-Oct-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Sep-2020 | 135.67 |
30-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Sep-2020 | 134.69 |
29-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Sep-2020 | 134.58 |
28-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Sep-2020 | 132.58 |
25-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Sep-2020 | 131.18 |
24-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Sep-2020 | 132.26 |
23-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Sep-2020 | 133.82 |
22-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Sep-2020 | 133.3 |
21-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Sep-2020 | 135.26 |
18-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Sep-2020 | 136.05 |
17-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Sep-2020 | 137.21 |
16-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Sep-2020 | 137.68 |
15-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Sep-2020 | 136.52 |
14-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Sep-2020 | 135.12 |
11-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Sep-2020 | 135.05 |
10-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Sep-2020 | 133.61 |
01-Sep-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Aug-2020 | 139.47 |
31-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Aug-2020 | 138.74 |
28-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Aug-2020 | 138.74 |
27-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Aug-2020 | 139.42 |
26-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Aug-2020 | 137.37 |
25-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2020 | 136.62 |
24-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Aug-2020 | 135.04 |
21-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Aug-2020 | 134.35 |
20-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Aug-2020 | 134.57 |
19-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Aug-2020 | 134.95 |
18-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Aug-2020 | 133.99 |
17-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Aug-2020 | 133.31 |
14-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Aug-2020 | 133.86 |
13-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Aug-2020 | 133.6 |
12-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Aug-2020 | 131.94 |
11-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Aug-2020 | 131.77 |
10-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Aug-2020 | 132.36 |
07-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Aug-2020 | 132.95 |
06-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Aug-2020 | 132.33 |
05-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Aug-2020 | 130.64 |
04-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jul-2020 | 129.71 |
03-Aug-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2020 | 129.02 |
31-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2020 | 129.02 |
30-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2020 | 129.92 |
29-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jul-2020 | 128.05 |
28-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jul-2020 | 129.08 |
27-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jul-2020 | 127.45 |
25-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jul-2020 | 127.94 |
23-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jul-2020 | 128.87 |
22-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jul-2020 | 129.05 |
21-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jul-2020 | 128.3 |
20-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jul-2020 | 126.47 |
17-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jul-2020 | 125.91 |
16-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jul-2020 | 126.99 |
15-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jul-2020 | 125.14 |
14-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jul-2020 | 124.52 |
13-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jul-2020 | 125.29 |
10-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jul-2020 | 124.92 |
09-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jul-2020 | 123.47 |
07-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jul-2020 | 124.51 |
06-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2020 | 121.99 |
03-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2020 | 121.04 |
02-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2020 | 121.04 |
01-Jul-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jun-2020 | 119.92 |
30-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jun-2020 | 118.52 |
29-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jun-2020 | 117.77 |
26-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jun-2020 | 119.86 |
25-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jun-2020 | 119.2 |
24-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jun-2020 | 122.38 |
23-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jun-2020 | 121.17 |
22-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jun-2020 | 120.68 |
19-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jun-2020 | 121.23 |
18-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2020 | 121.26 |
17-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jun-2020 | 120.84 |
16-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2020 | 118.73 |
15-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jun-2020 | 118.7 |
12-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jun-2020 | 117.97 |
11-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jun-2020 | 123.91 |
10-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jun-2020 | 123.89 |
9-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jun-2020 | 124.64 |
8-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jun-2020 | 124.74 |
5-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jun-2020 | 122.19 |
4-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jun-2020 | 122.27 |
3-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jun-2020 | 120.06 |
2-Jun-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-May-2020 | 118.04 |
29-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-May-2020 | 117.27 |
29-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-May-2020 | 116.01 |
27-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-May-2020 | 114.84 |
26-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-May-2020 | 113.07 |
22-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-May-2020 | 113.88 |
21-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-May-2020 | 115.27 |
20-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-May-2020 | 113.55 |
19-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-May-2020 | 113.7 |
18-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-May-2020 | 110.41 |
15-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-May-2020 | 109.74 |
14-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-May-2020 | 109.75 |
13-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-May-2020 | 111.46 |
12-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-May-2020 | 112.57 |
11-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-May-2020 | 110.77 |
7-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-May-2020 | 109.81 |
6-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-May-2020 | 110.24 |
5-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-May-2020 | 110.25 |
1-May-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Apr-2020 | 112.04 |
30-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2020 | 112.75 |
29-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Apr-2020 | 110.23 |
28-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Apr-2020 | 110.57 |
27-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Apr-2020 | 108.8 |
24-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Apr-2020 | 108.1 |
23-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Apr-2020 | 107.99 |
22-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Apr-2020 | 106.04 |
21-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Apr-2020 | 109.45 |
20-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Apr-2020 | 110.19 |
17-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Apr-2020 | 107.39 |
16-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Apr-2020 | 106.53 |
15-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Apr-2020 | 108.6 |
14-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Apr-2020 | 106.71 |
9-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Apr-2020 | 105.62 |
8-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Apr-2020 | 103.66 |
7-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Apr-2020 | 103.37 |
6-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Apr-2020 | 97.79 |
3-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Apr-2020 | 99.16 |
2-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Apr-2020 | 97.51 |
1-Apr-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Mar-2020 | 101.46 |
31-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Mar-2020 | 101.43 |
30-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2020 | 98.81 |
27-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Mar-2020 | 102.16 |
26-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Mar-2020 | 97.2 |
25-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Mar-2020 | 95.39 |
24-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Mar-2020 | 89.08 |
23-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Mar-2020 | 92.58 |
20-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Mar-2020 | 94.22 |
19-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Mar-2020 | 94.19 |
18-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Mar-2020 | 95.38 |
16-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Mar-2020 | 104.42 |
13-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Mar-2020 | 97.75 |
12-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Mar-2020 | 106.87 |
11-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Mar-2020 | 110.27 |
10-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Mar-2020 | 107.53 |
9-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Mar-2020 | 114.26 |
6-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Mar-2020 | 116.77 |
5-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Mar-2020 | 119.42 |
4-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Mar-2020 | 116.18 |
3-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Mar-2020 | 117.47 |
2-Mar-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Feb-2020 | 113.42 |
28-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Feb-2020 | 115.32 |
27-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Feb-2020 | 118.71 |
26-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Feb-2020 | 118.48 |
25-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Feb-2020 | 121.16 |
24-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Feb-2020 | 124.84 |
21-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Feb-2020 | 125.96 |
20-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Feb-2020 | 126.88 |
19-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Feb-2020 | 126.25 |
18-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Feb-2020 | 126.87 |
14-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Feb-2020 | 126.06 |
13-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Feb-2020 | 126.22 |
12-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Feb-2020 | 125.17 |
11-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Feb-2020 | 124.71 |
10-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Feb-2020 | 124.36 |
7-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Feb-2020 | 125.32 |
6-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Feb-2020 | 125.19 |
5-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Feb-2020 | 124.91 |
4-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Feb-2020 | 122.77 |
3-Feb-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jan-2020 | 121.87 |
31-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jan-2020 | 123.89 |
30-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jan-2020 | 124.44 |
29-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jan-2020 | 124.25 |
28-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jan-2020 | 122.98 |
27-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jan-2020 | 125 |
24-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jan-2020 | 125.46 |
23-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jan-2020 | 126.22 |
22-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jan-2020 | 125.87 |
21-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jan-2020 | 126.75 |
17-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jan-2020 | 126.22 |
16-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jan-2020 | 125.31 |
15-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jan-2020 | 125.03 |
14-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jan-2020 | 125.15 |
13-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jan-2020 | 123.92 |
12-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jan-2020 | 123.73 |
9-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jan-2020 | 122.5 |
8-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jan-2020 | 121.9 |
7-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jan-2020 | 121.91 |
6-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jan-2020 | 121.6 |
3-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jan-2020 | 122.5 |
2-Jan-2020 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Dec-2019 | 121.26 |
31-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Dec-2019 | 121.11 |
30-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Dec-2019 | 121.1 |
24-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Dec-2019 | 121.04 |
23-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Dec-2019 | 120.97 |
20-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Dec-2019 | 120.22 |
19-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Dec-2019 | 119.9 |
18-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Dec-2019 | 120.19 |
17-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Dec-2019 | 120.01 |
16-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Dec-2019 | 119.21 |
13-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Dec-2019 | 118.86 |
12-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Dec-2019 | 118.03 |
11-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Dec-2019 | 117.47 |
10-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Dec-2019 | 117.61 |
9-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Dec-2019 | 118.11 |
6-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Dec-2019 | 117.15 |
5-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Dec-2019 | 116.6 |
4-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Dec-2019 | 116.06 |
3-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Dec-2019 | 116.37 |
2-Dec-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Nov-2019 | 117.24 |
29-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Nov-2019 | 117.96 |
27-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Nov-2019 | 117.32 |
26-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Nov-2019 | 116.72 |
25-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Nov-2019 | 115.57 |
22-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Nov-2019 | 115.43 |
21-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Nov-2019 | 115.64 |
21-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Nov-2019 | 116.38 |
19-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Nov-2019 | 116.06 |
18-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2019 | 115.97 |
15-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Nov-2019 | 114.97 |
14-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Nov-2019 | 114.83 |
13-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Nov-2019 | 114.6 |
12-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2019 | 114.63 |
8-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2019 | 114.85 |
7-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Nov-2019 | 114.47 |
6-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Nov-2019 | 114.08 |
5-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Nov-2019 | 114.87 |
4-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Nov-2019 | 114.38 |
1-Nov-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Oct-2019 | 113.36 |
31-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Oct-2019 | 113.5 |
30-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Oct-2019 | 113.04 |
29-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Oct-2019 | 112.19 |
25-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2019 | 111.65 |
24-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Oct-2019 | 111 |
23-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2019 | 110.9 |
22-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Oct-2019 | 112.03 |
21-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2019 | 111.48 |
18-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Oct-2019 | 112.21 |
17-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Oct-2019 | 111.95 |
16-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Oct-2019 | 112.13 |
15-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Oct-2019 | 111.05 |
11-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Oct-2019 | 109.82 |
10-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Oct-2019 | 109.13 |
9-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Oct-2019 | 107.99 |
8-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Oct-2019 | 109.36 |
7-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2019 | 109.42 |
4-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Oct-2019 | 108.1 |
3-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Oct-2019 | 107.08 |
2-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Oct-2019 | 109.15 |
1-Oct-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Sep-2019 | 110.52 |
30-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2019 | 110 |
27-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Sep-2019 | 110.99 |
26-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Sep-2019 | 110.89 |
25-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Sep-2019 | 110.79 |
24-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Sep-2019 | 111.13 |
23-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2019 | 111.22 |
20-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Sep-2019 | 111.38 |
19-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Sep-2019 | 111.24 |
18-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Sep-2019 | 111.1 |
17-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Sep-2019 | 110.14 |
16-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2019 | 111.03 |
13-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Sep-2019 | 111.12 |
12-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Sep-2019 | 110.33 |
11-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Sep-2019 | 109.52 |
10-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Sep-2019 | 110.66 |
9-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Sep-2019 | 111.83 |
6-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Sep-2019 | 111.47 |
5-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Sep-2019 | 110.31 |
4-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Sep-2019 | 108.48 |
3-Sep-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Aug-2019 | 109.41 |
30-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Aug-2019 | 109.04 |
29-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Aug-2019 | 107.78 |
28-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Aug-2019 | 107.7 |
27-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2019 | 106.63 |
23-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2019 | 108.52 |
22-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Aug-2019 | 109.19 |
21-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Aug-2019 | 108.29 |
20-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Aug-2019 | 108.71 |
19-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2019 | 107.53 |
16-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Aug-2019 | 105.98 |
15-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Aug-2019 | 105.35 |
14-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Aug-2019 | 108.18 |
13-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Aug-2019 | 107.08 |
12-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2019 | 107.84 |
9-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Aug-2019 | 108.54 |
8-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Aug-2019 | 106.51 |
7-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Aug-2019 | 105.9 |
6-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Aug-2019 | 107.56 |
2-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Aug-2019 | 108.79 |
1-Aug-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jul-2019 | 109.18 |
31-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2019 | 109.62 |
30-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jul-2019 | 110.39 |
29-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2019 | 110.93 |
26-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jul-2019 | 110.22 |
25-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jul-2019 | 110.68 |
24-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jul-2019 | 110.41 |
23-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jul-2019 | 110.1 |
22-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2019 | 109.66 |
19-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jul-2019 | 109.92 |
18-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jul-2019 | 109.51 |
17-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jul-2019 | 110.00 |
16-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jul-2019 | 110.17 |
15-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2019 | 109.86 |
12-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jul-2019 | 109.61 |
11-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jul-2019 | 109.22 |
10-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jul-2019 | 108.65 |
9-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jul-2019 | 108.75 |
8-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jul-2019 | 109.57 |
5-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jul-2019 | 110.15 |
3-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2019 | 109.64 |
2-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Jul-2019 | 109.33 |
1-Jul-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2019 | 108.48 |
28-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jun-2019 | 107.58 |
27-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jun-2019 | 107.13 |
26-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jun-2019 | 107.40 |
25-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jun-2019 | 108.00 |
24-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2019 | 107.83 |
21-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jun-2019 | 108.24 |
20-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jun-2019 | 106.87 |
19-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jun-2019 | 106.66 |
18-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jun-2019 | 105.45 |
17-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2019 | 105.41 |
14-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jun-2019 | 105.92 |
13-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jun-2019 | 106.03 |
12-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jun-2019 | 106.24 |
11-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jun-2019 | 106.03 |
10-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jun-2019 | 105.63 |
7-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jun-2019 | 104.45 |
6-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jun-2019 | 104.02 |
5-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jun-2019 | 103.09 |
4-Jun-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-May-2019 | 101.76 |
31-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-May-2019 | 102.66 |
30-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-May-2019 | 102.23 |
29-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-May-2019 | 102.95 |
28-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-May-2019 | 103.15 |
24-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-May-2019 | 102.85 |
23-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-May-2019 | 104.07 |
22-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-May-2019 | 104.08 |
21-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-May-2019 | 103.22 |
20-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-May-2019 | 103.99 |
17-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-May-2019 | 104.72 |
16-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-May-2019 | 103.66 |
15-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-May-2019 | 103.15 |
14-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-May-2019 | 102.13 |
13-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-May-2019 | 104.27 |
10-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-May-2019 | 103.77 |
9-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-May-2019 | 104.42 |
8-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-May-2019 | 104.15 |
7-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-May-2019 | 106.18 |
3-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-May-2019 | 105.30 |
2-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-May-2019 | 105.36 |
1-May-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Apr-2019 | 105.52 |
30-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Apr-2019 | 105.30 |
29-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Apr-2019 | 105.13 |
26-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Apr-2019 | 104.52 |
25-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Apr-2019 | 104.43 |
24-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Apr-2019 | 104.64 |
23-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Apr-2019 | 103.97 |
18-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Apr-2019 | 103.92 |
17-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Apr-2019 | 103.92 |
16-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Apr-2019 | 103.85 |
15-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Apr-2019 | 104.00 |
12-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Apr-2019 | 103.35 |
11-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Apr-2019 | 103.45 |
10-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Apr-2019 | 103.35 |
9-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Apr-2019 | 103.62 |
8-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Apr-2019 | 103.50 |
5-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Apr-2019 | 103.17 |
4-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Apr-2019 | 103.20 |
3-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Apr-2019 | 102.68 |
2-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Apr-2019 | 102.49 |
1-Apr-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Mar-2019 | 101.62 |
29-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Mar-2019 | 100.69 |
28-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Mar-2019 | 100.13 |
27-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Mar-2019 | 100.55 |
26-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Mar-2019 | 99.77 |
25-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Mar-2019 | 99.90 |
22-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Mar-2019 | 101.79 |
21-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Mar-2019 | 101.18 |
20-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Mar-2019 | 101.57 |
19-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Mar-2019 | 100.90 |
15-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Mar-2019 | 100.35 |
14-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Mar-2019 | 100.14 |
13-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Mar-2019 | 99.45 |
12-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Mar-2019 | 98.89 |
11-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Mar-2019 | 97.81 |
8-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Mar-2019 | 98.20 |
7-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Mar-2019 | 98.78 |
6-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Mar-2019 | 99.09 |
5-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Mar-2019 | 99.40 |
4-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Mar-2019 | 99.90 |
1-Mar-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Feb-2019 | 98.81 |
28-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Feb-2019 | 98.94 |
27-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Feb-2019 | 98.90 |
26-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Feb-2019 | 98.56 |
25-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Feb-2019 | 98.01 |
22-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Feb-2019 | 97.49 |
21-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Feb-2019 | 97.59 |
20-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Feb-2019 | 97.12 |
19-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Feb-2019 | 96.97 |
15-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Feb-2019 | 96.33 |
14-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Feb-2019 | 96.27 |
13-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Feb-2019 | 95.84 |
12-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Feb-2019 | 94.54 |
11-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Feb-2019 | 94.52 |
8-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Feb-2019 | 94.31 |
7-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Feb-2019 | 95.39 |
6-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Feb-2019 | 96.03 |
5-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Feb-2019 | 95.27 |
4-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Feb-2019 | 95.22 |
1-Feb-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jan-2019 | 94.93 |
31-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jan-2019 | 93.76 |
30-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jan-2019 | 92.52 |
29-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jan-2019 | 93.01 |
28-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jan-2019 | 93.57 |
25-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jan-2019 | 92.62 |
24-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jan-2019 | 92.51 |
23-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jan-2019 | 92.55 |
22-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jan-2019 | 93.32 |
18-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jan-2019 | 92.01 |
17-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jan-2019 | 91.57 |
16-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jan-2019 | 91.30 |
15-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jan-2019 | 90.44 |
14-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jan-2019 | 91.18 |
11-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jan-2019 | 91.26 |
10-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jan-2019 | 90.81 |
9-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Jan-2019 | 89.86 |
8-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Jan-2019 | 89.06 |
7-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Jan-2019 | 88.52 |
4-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jan-2019 | 85.87 |
3-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jan-2019 | 87.60 |
2-Jan-2019 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Dec-2018 | 87.59 |
31-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Dec-2018 | 87.21 |
28-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Dec-2018 | 84.23 |
24-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Dec-2018 | 85.43 |
21-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Dec-2018 | 86.78 |
20-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Dec-2018 | 87.64 |
19-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Dec-2018 | 88.58 |
18-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Dec-2018 | 88.74 |
17-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Dec-2018 | 89.99 |
14-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Dec-2018 | 91.31 |
13-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Dec-2018 | 91.45 |
12-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Dec-2018 | 90.39 |
11-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Dec-2018 | 90.08 |
10-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Dec-2018 | 90.76 |
7-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Dec-2018 | 91.66 |
6-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Dec-2018 | 92.88 |
4-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Dec-2018 | 94.91 |
3-Dec-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Nov-2018 | 93.99 |
30-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Nov-2018 | 93.72 |
29-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Nov-2018 | 93.53 |
28-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Nov-2018 | 92.39 |
27-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Nov-2018 | 92.55 |
26-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Nov-2018 | 91.35 |
23-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Nov-2018 | 92.10 |
21-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Nov-2018 | 91.41 |
20-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Nov-2018 | 92.78 |
19-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Nov-2018 | 94.11 |
16-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Nov-2018 | 93.89 |
15-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Nov-2018 | 93.26 |
14-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Nov-2018 | 93.81 |
13-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Nov-2018 | 95.38 |
9-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Nov-2018 | 96.30 |
8-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Nov-2018 | 96.62 |
7-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Nov-2018 | 94.92 |
6-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Nov-2018 | 94.58 |
5-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Nov-2018 | 95.06 |
2-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Nov-2018 | 95.39 |
1-Nov-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Oct-2018 | 94.15 |
31-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Oct-2018 | 92.83 |
30-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Oct-2018 | 92.50 |
26-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Oct-2018 | 93.63 |
25-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Oct-2018 | 92.44 |
24-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Oct-2018 | 94.43 |
23-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Oct-2018 | 95.15 |
22-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Oct-2018 | 95.28 |
19-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Oct-2018 | 95.34 |
18-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Oct-2018 | 96.53 |
17-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Oct-2018 | 96.78 |
16-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Oct-2018 | 94.84 |
15-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Oct-2018 | 95.20 |
12-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Oct-2018 | 93.56 |
11-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Oct-2018 | 94.88 |
10-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Oct-2018 | 97.82 |
9-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Oct-2018 | 98.74 |
5-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Oct-2018 | 99.32 |
4-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Oct-2018 | 101.07 |
3-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Oct-2018 | 100.80 |
2-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Oct-2018 | 101.50 |
1-Oct-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Sep-2018 | 101.19 |
28-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Sep-2018 | 101.77 |
27-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Sep-2018 | 101.60 |
26-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Sep-2018 | 101.53 |
25-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Sep-2018 | 101.46 |
24-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Sep-2018 | 102.06 |
21-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Sep-2018 | 101.99 |
20-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Sep-2018 | 100.99 |
19-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Sep-2018 | 100.38 |
18-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Sep-2018 | 100.01 |
17-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Sep-2018 | 100.90 |
14-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Sep-2018 | 100.63 |
13-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Sep-2018 | 100.14 |
12-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Sep-2018 | 99.80 |
11-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Sep-2018 | 99.89 |
10-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Sep-2018 | 100.02 |
7-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Sep-2018 | 99.88 |
6-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Sep-2018 | 100.46 |
5-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 04-Sep-2018 | 101.49 |
4-Sep-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Aug-2018 | 102.23 |
31-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Aug-2018 | 102.11 |
30-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Aug-2018 | 102.66 |
29-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Aug-2018 | 101.99 |
28-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Aug-2018 | 100.93 |
24-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Aug-2018 | 100.28 |
23-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Aug-2018 | 100.68 |
22-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Aug-2018 | 100.55 |
21-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Aug-2018 | 100.10 |
20-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Aug-2018 | 99.53 |
17-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Aug-2018 | 99.34 |
16-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Aug-2018 | 98.58 |
15-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Aug-2018 | 99.54 |
14-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Aug-2018 | 99.10 |
13-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Aug-2018 | 99.47 |
10-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Aug-2018 | 100.61 |
9-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 08-Aug-2018 | 100.54 |
8-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 07-Aug-2018 | 100.73 |
7-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Aug-2018 | 100.70 |
3-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Aug-2018 | 100.04 |
2-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 01-Aug-2018 | 100.05 |
1-Aug-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 31-Jul-2018 | 99.92 |
31-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 30-Jul-2018 | 100.03 |
30-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jul-2018 | 101.15 |
27-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jul-2018 | 101.63 |
26-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jul-2018 | 102.43 |
25-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 24-Jul-2018 | 101.78 |
24-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 23-Jul-2018 | 101.46 |
23-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jul-2018 | 101.58 |
20-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jul-2018 | 101.21 |
19-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jul-2018 | 101.56 |
18-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 17-Jul-2018 | 101.38 |
17-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 16-Jul-2018 | 100.97 |
16-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 13-Jul-2018 | 100.86 |
13-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 12-Jul-2018 | 100.61 |
12-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 11-Jul-2018 | 99.65 |
11-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 10-Jul-2018 | 100.14 |
10-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 09-Jul-2018 | 100.12 |
9-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 06-Jul-2018 | 99.38 |
6-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 05-Jul-2018 | 98.05 |
5-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 03-Jul-2018 | 97.37 |
3-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 02-Jul-2018 | 97.44 |
2-Jul-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 29-Jun-2018 | 97.61 |
29-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 28-Jun-2018 | 97.01 |
28-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 27-Jun-2018 | 96.70 |
27-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 26-Jun-2018 | 97.33 |
26-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 25-Jun-2018 | 97.23 |
25-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 22-Jun-2018 | 98.76 |
22-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 21-Jun-2018 | 98.12 |
21-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 20-Jun-2018 | 98.72 |
20-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 19-Jun-2018 | 98.32 |
19-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 18-Jun-2018 | 99.18 |
18-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 15-Jun-2018 | 99.90 |
15-Jun-2018 | |||
Fund Name | Currency | Date | NAV |
USD Class | USD | 14-Jun-2018 | 100.01 |