MCGILL INVESTMENT POOL ("MIP") - UNIT VALUES
The unit values of the MIP are calculated quarterly (at the end of April, July, October and January) and income is distributed monthly and adjusted quarterly for capital additions and withdrawals.
Unit Value = market value of the MIP divided by the number of total units held in the MIP.
FISCAL YEAR | QUARTER ENDED聽 |
鲍狈滨罢听痴础尝鲍贰 |
---|---|---|
2024-25 |
31/01/25 |
$ $472.29 $467.34 $447.91 |
2023-24 |
31/01/24 |
$435.74 |
2022-23 |
31/01/23 |
$424.74 $398.91 $406.28 $414.62 |
2021-22 |
31/01/22 |
$447.92 |