BIFM Unit Trusts Daily Rates

Name of Fund: BIFM Global Sustainable Growth Fund
Date Name of Fund Net Asset Value
07/08/2026 BIFM Global Sustainable Growth Fund 161.24t
05/08/2026 BIFM Global Sustainable Growth Fund 160.02t
04/08/2026 BIFM Global Sustainable Growth Fund 158.87t
03/08/2026 BIFM Global Sustainable Growth Fund 157.64t
31/07/2026 BIFM Global Sustainable Growth Fund 156.69t
30/07/2026 BIFM Global Sustainable Growth Fund 156.57t
29/07/2026 BIFM Global Sustainable Growth Fund 156.16t
28/07/2026 BIFM Global Sustainable Growth Fund 157.89t
27/07/2026 BIFM Global Sustainable Growth Fund 154.93t
22/07/2026 BIFM Global Sustainable Growth Fund 154.67t
17/07/2026 BIFM Global Sustainable Growth Fund 155.82t
16/07/2026 BIFM Global Sustainable Growth Fund 156.18t
15/07/2026 BIFM Global Sustainable Growth Fund 154.29t
14/07/2026 BIFM Global Sustainable Growth Fund 154.80t
13/07/2026 BIFM Global Sustainable Growth Fund 154.36t
10/07/2026 BIFM Global Sustainable Growth Fund 153.83t
Name of Fund: BIFM Ya Masa Junior Fund
Date Name of Fund Net Asset Value
07/08/2026 BIFM Ya Masa Junior Fund 188.74t
05/08/2026 BIFM Ya Masa Junior Fund 189.20t
04/08/2026 BIFM Ya Masa Junior Fund 187.87t
03/08/2026 BIFM Ya Masa Junior Fund 187.52t
31/07/2026 BIFM Ya Masa Junior Fund 186.69t
30/07/2026 BIFM Ya Masa Junior Fund 186.40t
29/07/2026 BIFM Ya Masa Junior Fund 187.75t
28/07/2026 BIFM Ya Masa Junior Fund 187.90t
27/07/2026 BIFM Ya Masa Junior Fund 187.38t
22/07/2026 BIFM Ya Masa Junior Fund 187.13t
17/07/2026 BIFM Ya Masa Junior Fund 188.24t
16/07/2026 BIFM Ya Masa Junior Fund 188.60t
15/07/2026 BIFM Ya Masa Junior Fund 187.07t
14/07/2026 BIFM Ya Masa Junior Fund 187.06t
13/07/2026 BIFM Ya Masa Junior Fund 187.36t
10/07/2026 BIFM Ya Masa Junior Fund 186.39t
Name of Fund: BIFM Letlotlo Education Fund
Date Name of Fund Net Asset Value
07/08/2026 BIFM Letlotlo Education Fund 136.15t
05/08/2026 BIFM Letlotlo Education Fund 135.90t
04/08/2026 BIFM Letlotlo Education Fund 135.40t
03/08/2026 BIFM Letlotlo Education Fund 135.36t
31/07/2026 BIFM Letlotlo Education Fund 135.11t
30/07/2026 BIFM Letlotlo Education Fund 135.12t
29/07/2026 BIFM Letlotlo Education Fund 135.63t
28/07/2026 BIFM Letlotlo Education Fund 135.62t
27/07/2026 BIFM Letlotlo Education Fund 135.42t
23/07/2026 BIFM Letlotlo Education Fund 135.34t
17/07/2026 BIFM Letlotlo Education Fund 135.62t
16/07/2026 BIFM Letlotlo Education Fund 135.72t
15/07/2026 BIFM Letlotlo Education Fund 135.08t
14/07/2026 BIFM Letlotlo Education Fund 135.07t
13/07/2026 BIFM Letlotlo Education Fund 135.17t
10/07/2026 BIFM Letlotlo Education Fund 134.85t
Name of Fund: BIFM Local Equity Fund
Date Name of Fund Net Asset Value
07/08/2026 BIFM Local Equity Fund 144.91t
05/08/2026 BIFM Local Equity Fund 144.85t
04/08/2026 BIFM Local Equity Fund 144.45t
03/08/2026 BIFM Local Equity Fund 144.44t
31/07/2026 BIFM Local Equity Fund 144.08t
30/07/2026 BIFM Local Equity Fund 144.26t
29/07/2026 BIFM Local Equity Fund 144.55t
28/07/2026 BIFM Local Equity Fund 144.58t
27/07/2026 BIFM Local Equity Fund 144.50t
22/07/2026 BIFM Local Equity Fund 144.50t
17/07/2026 BIFM Local Equity Fund 144.76t
16/07/2026 BIFM Local Equity Fund 144.75t
15/07/2026 BIFM Local Equity Fund 143.90t
14/07/2026 BIFM Local Equity Fund 144.00t
13/07/2026 BIFM Local Equity Fund 143.98t
10/07/2026 BIFM Local Equity Fund 143.74t
Name of Fund: BIFM Balanced Prudential Fund
Date Name of Fund Net Asset Value
07/08/2026 BIFM Balanced Prudential Fund 270.20t
05/08/2026 BIFM Balanced Prudential Fund 270.59t
04/08/2026 BIFM Balanced Prudential Fund 269.01t
03/08/2026 BIFM Balanced Prudential Fund 268.74t
31/07/2026 BIFM Balanced Prudential Fund 267.80t
30/07/2026 BIFM Balanced Prudential Fund 267.66t
29/07/2026 BIFM Balanced Prudential Fund 269.25t
28/07/2026 BIFM Balanced Prudential Fund 269.34t
27/07/2026 BIFM Balanced Prudential Fund 268.71t
22/07/2026 BIFM Balanced Prudential Fund 268.46t
17/07/2026 BIFM Balanced Prudential Fund 269.65t
16/07/2026 BIFM Balanced Prudential Fund 270.02t
15/07/2026 BIFM Balanced Prudential Fund 268.17t
15/07/2026 BIFM Balanced Prudential Fund 268.18t
13/07/2026 BIFM Balanced Prudential Fund 268.51t
10/07/2026 BIFM Balanced Prudential Fund 267.42t
Name of Fund: BIFM Pula Money Market Fund
Date Name of Fund Effective Yield Nominal Annual Rate
07/08/2026 BIFM Pula Money Market Fund 9.36 8.98
05/08/2026 BIFM Pula Money Market Fund 9.42 9.04
Name of Fund: BIFM Pula Money Market Fund Class
Date Name of Fund Effective Yield Nominal Annual Rate
04/08/2026 BIFM Pula Money Market Fund Class 9.48 9.09
Name of Fund: BIFM Money Market Fund
Date Name of Fund Effective Yield Nominal Annual Rate
03/08/2026 BIFM Money Market Fund 9.53 9.13
31/07/2026 BIFM Money Market Fund 9.57 9.18
30/07/2026 BIFM Money Market Fund 9.83 9.41
29/07/2026 BIFM Money Market Fund 9.83 9.41
28/07/2026 BIFM Money Market Fund 9.80 9.39
27/07/2026 BIFM Money Market Fund 9.77 9.36
22/07/2026 BIFM Money Market Fund 9.54 9.15
17/07/2026 BIFM Money Market Fund 9.71 9.30
16/07/2026 BIFM Money Market Fund 9.75 9.34
15/07/2026 BIFM Money Market Fund 9.56 9.17
14/07/2026 BIFM Money Market Fund 9.57 9.18
13/07/2026 BIFM Money Market Fund 9.61 9.21
10/07/2026 BIFM Money Market Fund 9.86 9.44