All Collections
Exchange Fund Participation
Post Investment
Do I get to see the value of my shares regularly?
Do I get to see the value of my shares regularly?
Updated over a week ago

Exchange fund participants are able to see updated performance information monthly. Our funds’ accountants review and sign off on the net asset value (NAV) at the end of each month, then participants receive a statement via email. Updated information is also available in our online portal.

Did this answer your question?