Premium/Discount Chart:
Fund Details:
| As of | 10-31-2025 | 
| NAV: | $36.55 | 
| NAV Change: | $-0.04 | 
| **Bid/Ask Midpoint: | - | 
| 30 Day Median Bid/Ask Spread: | 0.60% | 
| Market Price: | $36.55 | 
| Premium/Discount: | $0 | 
| Volume: | 9 | 
| Shares Outstanding: | 290,000 | 
| Net Assets: | $10,600,343.06 | 
