Current Share Price | USD $25.00

Financial Information

The price at which investors can purchase or redeem shares will be based on the Net Asset Value (NAV) of the Fund, which is calculated at the end of each business week.
NAV is the price per share of the Fund, which is determined by dividing the Fund’s total assets (minus liabilities) by the total number of outstanding shares.

Current NAV

Coming Soon

Current NAV per Share

$25
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