Daily NAVs/Distribution

Securitized Asset Fund (Class I)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
11/01/202411/04/2024$0.0248nonenone$0.0248$7.6600
10/01/202410/02/2024$0.0256nonenone$0.0256$7.9000
09/03/202409/04/2024$0.0274nonenone$0.0274$7.8300
08/01/202408/02/2024$0.0258nonenone$0.0258$7.7400
07/01/202407/02/2024$0.0272nonenone$0.0272$7.5000
06/03/202406/04/2024$0.0241nonenone$0.0241$7.5300
05/01/202405/02/2024$0.0266nonenone$0.0266$7.4100
04/01/202404/02/2024$0.0259nonenone$0.0259$7.5200
03/01/202403/04/2024$0.0237nonenone$0.0237$7.5500
02/01/202402/02/2024$0.0362nonenone$0.0362$7.6800
12/18/202312/19/2023$0.0501nonenone$0.0501$7.5800
12/01/202312/04/2023$0.0369nonenone$0.0369$7.4700