BIFM Unit Trusts Daily Rates

Name of Fund: BIFM Local Equity Fund
Date Name of Fund Net Asset Value
24/03/2026 BIFM Local Equity Fund 140.86t
23/03/2026 BIFM Local Equity Fund 140.71t
20/03/2026 BIFM Local Equity Fund 140.93t
17/03/2026 BIFM Local Equity Fund 140.87t
16/03/2026 BIFM Local Equity Fund 141.04t
13/03/2026 BIFM Local Equity Fund 141.33t
12/03/2026 BIFM Local Equity Fund 140.98t
11/03/2026 BIFM Local Equity Fund 140.62t
10/03/2026 BIFM Local Equity Fund 140.38t
09/03/2026 BIFM Local Equity Fund 141.18t
06/03/2026 BIFM Local Equity Fund 141.33t
05/03/2026 BIFM Local Equity Fund 141.13t
04/03/2026 BIFM Local Equity Fund 141.37t
03/03/2026 BIFM Local Equity Fund 141.53t
02/03/2026 BIFM Local Equity Fund 141.36t
02/03/2026 BIFM Local Equity Fund 141.36t
02/03/2026 BIFM Local Equity Fund 141.36t
27/02/2026 BIFM Local Equity Fund 141.38t
26/02/2026 BIFM Local Equity Fund 141.14t
24/02/2026 BIFM Local Equity Fund 141.28t
23/02/2026 BIFM Local Equity Fund 141.29t
Name of Fund: BIFM Letlotlo Education Fund
Date Name of Fund Net Asset Value
24/03/2026 BIFM Letlotlo Education Fund 132.20t
23/03/2026 BIFM Letlotlo Education Fund 131.82t
20/03/2026 BIFM Letlotlo Education Fund 132.29t
17/03/2026 BIFM Letlotlo Education Fund 132.41t
16/03/2026 BIFM Letlotlo Education Fund 132.41t
13/03/2026 BIFM Letlotlo Education Fund 132.67t
12/03/2026 BIFM Letlotlo Education Fund 132.48t
11/03/2026 BIFM Letlotlo Education Fund 132.07t
10/03/2026 BIFM Letlotlo Education Fund 131.73t
09/03/2026 BIFM Letlotlo Education Fund 132.79t
06/03/2026 BIFM Letlotlo Education Fund 132.92t
05/03/2026 BIFM Letlotlo Education Fund 132.75t
04/03/2026 BIFM Letlotlo Education Fund 132.70t
03/03/2026 BIFM Letlotlo Education Fund 132.95t
02/03/2026 BIFM Letlotlo Education Fund 132.65t
02/03/2026 BIFM Letlotlo Education Fund 132.65t
02/03/2026 BIFM Letlotlo Education Fund 132.65t
27/02/2026 BIFM Letlotlo Education Fund 132.55t
26/02/2026 BIFM Letlotlo Education Fund 132.33t
24/02/2026 BIFM Letlotlo Education Fund 132.52t
23/02/2026 BIFM Letlotlo Education Fund 132.48t
Name of Fund: BIFM Ya Masa Junior Fund
Date Name of Fund Net Asset Value
24/03/2026 BIFM Ya Masa Junior Fund 176.13t
23/03/2026 BIFM Ya Masa Junior Fund 175.05t
20/03/2026 BIFM Ya Masa Junior Fund 176.25t
17/03/2026 BIFM Ya Masa Junior Fund 177.05t
16/03/2026 BIFM Ya Masa Junior Fund 177.68t
16/03/2026 BIFM Ya Masa Junior Fund 177.00t
12/03/2026 BIFM Ya Masa Junior Fund 177.86t
11/03/2026 BIFM Ya Masa Junior Fund 176.84t
10/03/2026 BIFM Ya Masa Junior Fund 175.87t
09/03/2026 BIFM Ya Masa Junior Fund 178.27t
06/03/2026 BIFM Ya Masa Junior Fund 178.98t
05/03/2026 BIFM Ya Masa Junior Fund 178.68t
04/03/2026 BIFM Ya Masa Junior Fund 178.45t
03/03/2026 BIFM Ya Masa Junior Fund 179.55t
02/03/2026 BIFM Ya Masa Junior Fund 179.00t
02/03/2026 BIFM Ya Masa Junior Fund 179.00t
02/03/2026 BIFM Ya Masa Junior Fund 179.00t
27/02/2026 BIFM Ya Masa Junior Fund 179.02t
26/02/2026 BIFM Ya Masa Junior Fund 178.55t
24/02/2026 BIFM Ya Masa Junior Fund 178.61t
23/02/2026 BIFM Ya Masa Junior Fund 178.68t
Name of Fund: BIFM Global Sustainable Growth Fund
Date Name of Fund Net Asset Value
24/03/2026 BIFM Global Sustainable Growth Fund 138.47t
23/03/2026 BIFM Global Sustainable Growth Fund 135.76t
20/03/2026 BIFM Global Sustainable Growth Fund 136.71t
17/03/2026 BIFM Global Sustainable Growth Fund 140.23t
16/03/2026 BIFM Global Sustainable Growth Fund 140.29t
16/03/2026 BIFM Global Sustainable Growth Fund 140.30t
12/03/2026 BIFM Global Sustainable Growth Fund 141.73t
11/03/2026 BIFM Global Sustainable Growth Fund 140.09t
10/03/2026 BIFM Global Sustainable Growth Fund 136.90t
09/03/2026 BIFM Global Sustainable Growth Fund 140.94t
06/03/2026 BIFM Global Sustainable Growth Fund 143.04t
05/03/2026 BIFM Global Sustainable Growth Fund 143.20t
04/03/2026 BIFM Global Sustainable Growth Fund 140.28t
03/03/2026 BIFM Global Sustainable Growth Fund 142.80t
02/03/2026 BIFM Global Sustainable Growth Fund 144.19t
02/03/2026 BIFM Global Sustainable Growth Fund 144.19t
02/03/2026 BIFM Global Sustainable Growth Fund 144.19t
27/02/2026 BIFM Global Sustainable Growth Fund 145.46t
26/02/2026 BIFM Global Sustainable Growth Fund 144.37t
24/02/2026 BIFM Global Sustainable Growth Fund 144.72t
23/02/2026 BIFM Global Sustainable Growth Fund 143.99t
Name of Fund: BIFM Money Market Fund
Date Name of Fund Effective Yield Nominal Annual Rate
24/03/2026 BIFM Money Market Fund 12.29 11.65
23/03/2026 BIFM Money Market Fund 12.18 11.55
20/03/2026 BIFM Money Market Fund 12.45 11.79
17/03/2026 BIFM Money Market Fund 12.35 11.71
16/03/2026 BIFM Money Market Fund 12.36 11.71
13/03/2026 BIFM Money Market Fund 12.12 11.50
12/03/2026 BIFM Money Market Fund 11.91 11.31
11/03/2026 BIFM Money Market Fund 11.96 11.35
10/03/2026 BIFM Money Market Fund 12.03 11.42
09/03/2026 BIFM Money Market Fund 12.02 11.40
06/03/2026 BIFM Money Market Fund 11.87 11.27
05/03/2026 BIFM Money Market Fund 12.08 11.46
04/03/2026 BIFM Money Market Fund 12.05 11.43
03/03/2026 BIFM Money Market Fund 11.95 11.34
02/03/2026 BIFM Money Market Fund 11.90 11.29
27/02/2026 BIFM Money Market Fund 11.73 11.14
26/02/2026 BIFM Money Market Fund 11.67 11.09
24/02/2026 BIFM Money Market Fund 11.76 11.17
23/02/2026 BIFM Money Market Fund 11.89 11.29
Name of Fund: BIFM Balanced Prudential Fund
Date Name of Fund Net Asset Value
24/03/2026 BIFM Balanced Prudential Fund 255.77t
23/03/2026 BIFM Balanced Prudential Fund 254.47t
20/03/2026 BIFM Balanced Prudential Fund 256.00t
17/03/2026 BIFM Balanced Prudential Fund 256.91t
16/03/2026 BIFM Balanced Prudential Fund 256.87t
13/03/2026 BIFM Balanced Prudential Fund 257.73t
12/03/2026 BIFM Balanced Prudential Fund 257.85t
11/03/2026 BIFM Balanced Prudential Fund 256.56t
10/03/2026 BIFM Balanced Prudential Fund 255.40t
09/03/2026 BIFM Balanced Prudential Fund 258.57t
06/03/2026 BIFM Balanced Prudential Fund 259.30t
05/03/2026 BIFM Balanced Prudential Fund 258.86t
04/03/2026 BIFM Balanced Prudential Fund 258.67t
03/03/2026 BIFM Balanced Prudential Fund 259.84t
02/03/2026 BIFM Balanced Prudential Fund 259.05t
02/03/2026 BIFM Balanced Prudential Fund 259.05t
27/02/2026 BIFM Balanced Prudential Fund 258.97t
26/02/2026 BIFM Balanced Prudential Fund 258.31t
24/02/2026 BIFM Balanced Prudential Fund 258.63t
23/02/2026 BIFM Balanced Prudential Fund 258.60t