BIFM Unit Trusts Daily Rates

Name of Fund: BIFM Global Sustainable Growth Fund
Date Name of Fund Net Asset Value
17/09/2026 BIFM Global Sustainable Growth Fund 160.66t
16/09/2026 BIFM Global Sustainable Growth Fund 160.19t
15/09/2026 BIFM Global Sustainable Growth Fund 159.80t
14/09/2026 BIFM Global Sustainable Growth Fund 160.90t
11/09/2026 BIFM Global Sustainable Growth Fund 158.65t
10/09/2026 BIFM Global Sustainable Growth Fund 160.33t
09/09/2026 BIFM Global Sustainable Growth Fund 161.99t
08/09/2026 BIFM Global Sustainable Growth Fund 161.97t
07/09/2026 BIFM Global Sustainable Growth Fund 161.98t
06/09/2026 BIFM Global Sustainable Growth Fund 161.56t
03/09/2026 BIFM Global Sustainable Growth Fund 160.04(t)
02/09/2026 BIFM Global Sustainable Growth Fund 161.66t
27/08/2026 BIFM Global Sustainable Growth Fund 161.56t
26/08/2026 BIFM Global Sustainable Growth Fund 161.15t
25/08/2026 BIFM Global Sustainable Growth Fund 160.81t
24/08/2026 BIFM Global Sustainable Growth Fund 160.25t
Name of Fund: BIFM Ya Masa Junior Fund
Date Name of Fund Net Asset Value
17/09/2026 BIFM Ya Masa Junior Fund 188.00t
16/09/2026 BIFM Ya Masa Junior Fund 188.30t
15/09/2026 BIFM Ya Masa Junior Fund 188.57t
14/09/2026 BIFM Ya Masa Junior Fund 189.21t
11/09/2026 BIFM Ya Masa Junior Fund 188.24t
10/09/2026 BIFM Ya Masa Junior Fund 189.26t
09/09/2026 BIFM Ya Masa Junior Fund 189.27t
08/09/2026 BIFM Ya Masa Junior Fund 189.38t
07/09/2026 BIFM Ya Masa Junior Fund 189.44t
06/09/2026 BIFM Ya Masa Junior Fund 189.14t
03/09/2026 BIFM Ya Masa Junior Fund 188.62(t)
02/09/2026 BIFM Ya Masa Junior Fund 188.96t
27/08/2026 BIFM Ya Masa Junior Fund 189.03t
26/08/2026 BIFM Ya Masa Junior Fund 188.72t
25/08/2026 BIFM Ya Masa Junior Fund 188.55t
24/08/2026 BIFM Ya Masa Junior Fund 188.22t
Name of Fund: BIFM Letlotlo Education Fund
Date Name of Fund Net Asset Value
17/09/2026 BIFM Letlotlo Education Fund 137.11t
16/09/2026 BIFM Letlotlo Education Fund 137.20t
15/09/2026 BIFM Letlotlo Education Fund 137.29t
14/09/2026 BIFM Letlotlo Education Fund 137.50t
11/09/2026 BIFM Letlotlo Education Fund 137.15t
10/09/2026 BIFM Letlotlo Education Fund 137.60t
09/09/2026 BIFM Letlotlo Education Fund 137.53t
08/09/2026 BIFM Letlotlo Education Fund 137.53t
07/09/2026 BIFM Letlotlo Education Fund 137.55t
06/09/2026 BIFM Letlotlo Education Fund 137.37t
03/09/2026 BIFM Letlotlo Education Fund 137.24(t)
02/09/2026 BIFM Letlotlo Education Fund 136.64t
27/08/2026 BIFM Letlotlo Education Fund 136.52t
26/08/2026 BIFM Letlotlo Education Fund 136.39t
25/08/2026 BIFM Letlotlo Education Fund 136.30t
24/08/2026 BIFM Letlotlo Education Fund 136.10t
Name of Fund: BIFM Local Equity Fund
Date Name of Fund Net Asset Value
17/09/2026 BIFM Local Equity Fund 144.80t
16/09/2026 BIFM Local Equity Fund 144.91t
15/09/2026 BIFM Local Equity Fund 145.03t
14/09/2026 BIFM Local Equity Fund 145.05t
11/09/2026 BIFM Local Equity Fund 144.91t
10/09/2026 BIFM Local Equity Fund 145.13t
09/09/2026 BIFM Local Equity Fund 145.10t
08/09/2026 BIFM Local Equity Fund 145.11t
07/09/2026 BIFM Local Equity Fund 145.17t
07/09/2026 BIFM Local Equity Fund 144.94t
03/09/2026 BIFM Local Equity Fund 144.91(t)
02/09/2026 BIFM Local Equity Fund 145.12t
27/08/2026 BIFM Local Equity Fund 145.08t
26/08/2026 BIFM Local Equity Fund 144.93t
25/08/2026 BIFM Local Equity Fund 144.97t
24/08/2026 BIFM Local Equity Fund 144.81t
Name of Fund: BIFM Balanced Prudential Fund
Date Name of Fund Net Asset Value
17/09/2026 BIFM Balanced Prudential Fund 269.73t
16/09/2026 BIFM Balanced Prudential Fund 270.07t
15/09/2026 BIFM Balanced Prudential Fund 270.39t
14/09/2026 BIFM Balanced Prudential Fund 271.08t
11/09/2026 BIFM Balanced Prudential Fund 270.01t
10/09/2026 BIFM Balanced Prudential Fund 271.28t
09/09/2026 BIFM Balanced Prudential Fund 271.23t
08/09/2026 BIFM Balanced Prudential Fund 271.32t
07/09/2026 BIFM Balanced Prudential Fund 271.39t
06/09/2026 BIFM Balanced Prudential Fund 270.44t
03/09/2026 BIFM Balanced Prudential Fund 270.43(t)
02/09/2026 BIFM Balanced Prudential Fund 270.59t
27/08/2026 BIFM Balanced Prudential Fund 270.67t
26/08/2026 BIFM Balanced Prudential Fund 270.30t
25/08/2026 BIFM Balanced Prudential Fund 270.10t
24/08/2026 BIFM Balanced Prudential Fund 269.61t
Name of Fund: BIFM Pula Money Market Fund
Date Name of Fund Effective Yield Nominal Annual Rate
17/09/2026 BIFM Pula Money Market Fund 8.77 8.43
16/09/2026 BIFM Pula Money Market Fund 8.75 8.42
15/09/2026 BIFM Pula Money Market Fund 8.78 8.45
14/09/2026 BIFM Pula Money Market Fund 8.85 8.51
11/09/2026 BIFM Pula Money Market Fund 8.87 8.53
10/09/2026 BIFM Pula Money Market Fund 8.88 8.56
09/09/2026 BIFM Pula Money Market Fund 8.94 8.59
08/09/2026 BIFM Pula Money Market Fund 8.97 8.62
07/09/2026 BIFM Pula Money Market Fund 9.05 8.69
06/09/2026 BIFM Pula Money Market Fund 9.18 8.81
03/09/2026 BIFM Pula Money Market Fund 9.25 8.88
02/09/2026 BIFM Pula Money Market Fund 9.30 8.92
27/08/2026 BIFM Pula Money Market Fund 9.23 8.86
26/08/2026 BIFM Pula Money Market Fund 9.22 8.85
25/08/2026 BIFM Pula Money Market Fund 9.18 8.81
24/08/2026 BIFM Pula Money Market Fund 9.14 8.77