FUND	2015-10-31	100000	0.00	0.00	-100.00
FUND	2015-11-30	200000	96820.35	15898.25	-51.59
FUND	2015-12-31	300000	186981.11	32238.12	-37.67
FUND	2016-01-31	400000	265000.68	49905.97	-33.75
FUND	2016-02-29	500000	381403.29	68845.36	-23.72
FUND	2016-03-31	600000	525923.24	86358.49	-12.35
FUND	2016-04-30	700000	662749.97	102751.94	-5.32
FUND	2016-05-31	800000	738217.16	118304.04	-7.72
FUND	2016-06-30	900000	862067.83	134278.48	-4.21
FUND	2016-07-31	1000000	1028185.43	149663.09	2.82
FUND	2016-08-31	1100000	1139975.74	164261.63	3.63
FUND	2016-09-30	1200000	1232543.21	178629.45	2.71
FUND	2016-10-31	1300000	1278089.72	193356.99	-1.69
FUND	2016-11-30	1400000	1453625.22	208554.56	3.83
FUND	2016-12-31	1500000	1647802.80	237435.56	9.85
FUND	2017-01-31	1600000	1730905.22	237435.56	8.18
FUND	2017-02-28	1700000	1895359.62	251041.00	11.49
FUND	2017-03-31	1800000	1963515.03	264268.52	9.08
FUND	2017-04-30	1900000	2091836.43	277800.32	10.10
FUND	2017-05-31	2000000	2191703.81	291062.92	9.59
FUND	2017-06-30	2100000	2241979.90	304203.52	6.76
FUND	2017-07-31	2200000	2389369.60	317735.32	8.61
FUND	2017-08-31	2300000	2482484.39	330997.92	7.93
FUND	2017-09-30	2400000	2660862.60	344225.43	10.87
FUND	2017-10-31	2500000	2810602.50	357128.66	12.42
FUND	2017-11-30	2600000	2951672.41	369883.76	13.53
FUND	2017-12-31	2700000	3029353.31	382494.10	12.20
FUND	2018-01-31	2800000	3192443.86	395104.44	14.02
FUND	2018-02-28	2900000	3247014.29	407404.56	11.97
FUND	2018-03-31	3000000	3271916.09	420014.90	9.06
FUND	2018-04-30	3100000	3338185.40	432968.27	7.68
FUND	2018-05-31	3200000	3553728.62	445888.17	11.05
FUND	2018-06-30	3300000	3584717.91	458403.82	8.63
FUND	2018-07-31	3400000	3666510.48	471273.83	7.84
FUND	2018-08-31	3500000	3837462.64	497080.67	9.64
FUND	2018-09-30	3600000	3668455.37	497080.67	1.90
FUND	2018-10-31	3700000	3426579.77	510667.62	-7.39
FUND	2018-11-30	3800000	3534188.19	525139.40	-7.00
FUND	2018-12-31	3900000	3120305.86	539845.28	-19.99
FUND	2019-01-31	4000000	3669655.34	556852.09	-8.26
FUND	2019-02-28	4100000	3952544.81	572003.60	-3.60
FUND	2019-03-31	4200000	4016644.16	586371.42	-4.37
FUND	2019-04-30	4300000	4212799.55	600969.96	-2.03
FUND	2019-05-31	4400000	3870086.72	615276.11	-12.04
FUND	2019-06-30	4500000	4253269.99	631048.98	-5.48
FUND	2019-07-31	4600000	4424468.52	645907.82	-3.82
FUND	2019-08-31	4700000	4472835.04	675654.85	-4.83
FUND	2019-09-30	4800000	4553913.54	675654.85	-5.13
FUND	2019-10-31	4900000	4751653.88	690647.35	-3.03
FUND	2019-11-30	5000000	4948773.61	704953.51	-1.02
FUND	2019-12-31	5100000	5293003.36	719158.05	3.78
FUND	2020-01-31	5200000	5253517.76	732708.19	1.03
FUND	2020-02-29	5300000	4860347.14	746597.08	-8.30
FUND	2020-03-31	5400000	3838411.46	761589.58	-28.92
FUND	2020-04-30	5500000	4421928.57	782642.21	-19.60
FUND	2020-05-31	5600000	4693023.00	800857.15	-16.20
FUND	2020-06-30	5700000	4824551.36	817720.56	-15.36
FUND	2020-07-31	5800000	5150089.72	834698.49	-11.21
FUND	2020-08-31	5900000	5333719.23	850672.93	-9.60
FUND	2020-09-30	6000000	5156098.34	866571.18	-14.07
FUND	2020-10-31	6100000	5140606.34	883265.67	-15.73
FUND	2020-11-30	6200000	6094066.66	900157.56	-1.71
FUND	2020-12-31	6300000	6311232.39	914671.35	0.18
FUND	2021-01-31	6400000	6821154.90	929312.64	6.58
FUND	2021-02-28	6500000	7154413.91	942610.51	10.07
FUND	2021-03-31	6600000	7454322.94	955682.40	12.94
FUND	2021-04-30	6700000	7891198.16	968245.22	17.78
FUND	2021-05-31	6800000	8372960.47	980440.34	23.13
FUND	2021-06-30	6900000	8441702.08	991974.37	22.34
FUND	2021-07-31	7000000	8230096.04	1003670.27	17.57
FUND	2021-08-31	7100000	8582943.64	1015733.00	20.89
FUND	2021-09-30	7200000	8518533.03	1027567.32	18.31
FUND	2021-10-31	7300000	9105775.67	1039472.08	24.74
FUND	2021-11-30	7400000	9026568.17	1050822.82	21.98
FUND	2021-12-31	7500000	9139214.41	1062699.30	21.86
FUND	2022-01-31	7600000	8797970.50	1074233.33	15.76
FUND	2022-02-28	7700000	9342397.35	1086325.23	21.33
FUND	2022-03-31	7800000	9957342.31	1097832.71	27.66
FUND	2022-04-30	7900000	9580324.46	1108833.81	21.27
FUND	2022-05-31	8000000	9722425.52	1120095.07	21.53
FUND	2022-06-30	8100000	8554318.64	1131523.64	5.61
FUND	2022-07-31	8200000	9384987.13	1144510.65	14.45
FUND	2022-08-31	8300000	8988302.28	1156795.66	8.29
FUND	2022-09-30	8400000	8048924.68	1169901.82	-4.18
FUND	2022-10-31	8500000	9195707.79	1183488.78	8.18
FUND	2022-11-30	8600000	10036350.25	1196227.63	16.70
FUND	2022-12-31	8700000	9729268.91	1220736.41	11.83
FUND	2023-01-31	8800000	10620406.52	1220736.41	20.69
FUND	2023-02-28	8900000	10596731.75	1232178.06	19.06
FUND	2023-03-31	9000000	10074284.35	1243738.75	11.94
FUND	2023-04-30	9100000	10110267.91	1255933.87	11.10
FUND	2023-05-31	9200000	9386180.10	1268402.70	2.02
FUND	2023-06-30	9300000	10189660.07	1281718.28	9.57
FUND	2023-07-31	9400000	10897581.79	1294249.61	15.93
FUND	2023-08-31	9500000	10579736.22	1306140.21	11.37
FUND	2023-09-30	9600000	9927856.01	1318440.34	3.42
FUND	2023-10-31	9700000	9418488.79	1332176.60	-2.90
FUND	2023-11-30	9800000	10230391.61	1346104.18	4.39
FUND	2023-12-31	9900000	10872729.52	1359091.19	9.83
FUND	2024-01-31	10000000	10589046.94	1371638.24	5.89
FUND	2024-02-29	10100000	10702505.57	1384541.47	5.97
FUND	2024-03-31	10200000	11234395.34	1397312.86	10.14
FUND	2024-04-30	10300000	10700479.82	1409812.86	3.89
FUND	2024-05-31	10400000	11284571.34	1423022.90	8.51
FUND	2024-06-30	10500000	10739255.78	1435729.38	2.28
FUND	2024-07-31	10600000	11738720.27	1449224.66	10.74
FUND	2024-08-31	10700000	11663493.39	1474525.11	9.00
FUND	2024-09-30	10800000	11353843.06	1474525.11	5.13
FUND	2024-10-31	10900000	11512953.37	1487461.72	5.62
FUND	2024-11-30	11000000	12213106.87	1500381.62	11.03
FUND	2024-12-31	11100000	11072061.99	1512576.74	-0.25
FUND	2025-01-31	11200000	11583722.99	1526182.18	3.43
FUND	2025-02-28	11300000	11468341.92	1539374.79	1.49
FUND	2025-03-31	11400000	11507996.49	1553036.00	0.95
FUND	2025-04-30	11500000	11138297.23	1566567.80	-3.15
FUND	2025-05-31	11600000	11300820.22	1580534.28	-2.58
FUND	2025-06-30	11700000	11925854.23	1594365.53	1.93
FUND	2025-07-31	11800000	12314296.70	1607610.57	4.36
FUND	2025-08-31	11900000	13423289.46	1633003.53	12.80
FUND	2025-09-30	12000000	13570260.02	1633003.53	13.09
FUND	2025-10-31	12100000	13733559.44	1633003.53	13.50