Buy (Cash) | Buy | Sell | |
CAD | NA | 4.53689 | 5.02548 |
EUR | NA | 7.00050 | 7.75440 |
GBP | NA | 8.40515 | 9.31032 |
USD | 6.67000 | 6.67000 | 6.77930 |
JPY | NA | 0.04309 | 0.04774 |
FOREX Rates
These rates are indicative, are subject to change without notice and based on availability.
Rates as at
Mutual Fund Rates
NAV as at (18/03/25) | Dist. Rate | 1 Yr. Return as at 28/02/25 | 3 Yr. Returns as at 28/02/25 | 5 Yr. Returns as at 28/02/25 | |
TT$ Income Fund | 550.56 | 1.75% | 1.75% | 2.85% | 8.69% |
US$ Income Fund | 111.32 | 1.50% | 1.50% | 8.40% | 13.18% |
TT$ Secured Fund | NA | 1.25% | |||
US$ Secured Fund | NA | 1.00% |