| Fund Manager | |
| Fund Structure | |
| Fund Type | |
| Fund Launch Date | |
| Fund Benchmark | |
| Fund Size (₦m) | |
| No of Unit Holders | |
| Fund Base Currency | |
| Custodian | |
| Trustees | |
| Minimum Investment Amount | |
| Additional Investment Amount | |
| Minimum Holding Period (No of Days) | |
| Early Redemption Penalty | |
| Risk Grade | |
| Valuation Period |
| NAV per unit | ||||
| Last year end close | ||||
| NAV per unit change (₦) | ||||
| NAV per unit change (%) | ||||
| Dividend Distribution Frequency | ||||
| Dividend Reinvestment |
| Management Fees | |
| Trustee Fees | |
| Custodian Fees | |
| Regulatory Fees | |
| Total Fees Before VAT | |
| VAT on Fees | |
| Total Annual Fees | |
| Income Distribution | |
| Auditor Fee |