
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