At what price IIGF units will be allocated?

IIGF issue price for secondary offer issue

Tom Wilson avatar
Written by Tom Wilson
Updated over a week ago

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Units in the secondary offer will be based on the funds net asset value at market close on Friday 26th of May.

The number of units issued to you will be your application amount divided by the NAV per unit, rounded down to the nearest whole unit.

What is the current price? Click here to go to the fund homepage and scroll down to Key Facts to see the latest indicative net asset value.

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