APS Diversified Bond Fund: Distributor Class B

PeriodPrice Start PeriodPrice End PeriodDeclared DistributionDistribution Yield
Mar 20240.78980.83630.01373.48%
Sep 20230.81310.80220.01243.07%
Mar 20230.81040.82480.01172.90%
Sep 20220.90660.82300.01262.79%
Mar 20220.99720.92060.01402.82%
Sep 20211.00101.00920.01202.32%
Mar 20210.99121.01140.01042.19%
Sep 20200.94101.00060.00941.93%
Mar 20201.01880.95330.01232.42%
Sep 20190.97891.03270.01392.85%
Mar 20190.94660.99270.01382.92%
Sep 20180.96870.96170.01513.13%
Mar 201810.98010.01142.97%


  1. Price Start Period is the price per share in the Fund on the last trading day of the previous period (Price End Period) less the Declared Distribution for the previous period. The Price Start Period on 8th November 2017 was the price per share in the Fund on its launching date.
  2. The Declared Distribution is the distribution per share in the Fund on the last day of the period net of charges, fees and expenses, as declared by the directors.
  3. The Price Start Period, the Price End Period and the Declared Distribution are denominated in Euro.
  4. The Distribution Yield is the annualised yield of the distribution using the Declared Distribution and the Price Start Period.

Source of information: ReAPS Asset Management Limited