UNIT INVESTMENT TRUST FUND

Unit Investment Trust Funds - Net Asset Values per unit (UITF NAVpus) as of Jul 18, 2025

Equity Index Tracker Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE CONSUMER EQUITY INDEX FUND 71.15 -10.2548 -5.9111
BPI PHILIPPINE EQUITY INDEX FUND 91.51 -4.1680 -1.7922
BPI PHILIPPINE INFRASTRUCTURE EQUITY INDEX FUND 166.38 11.7019 8.0179

Fund of Funds - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI FIXED INCOME PORTFOLIO FUND-OF-FUNDS 126.52
* as of Mar 31, 2024
4.7351 -0.0316

Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI CATHOLIC VALUES GLOBAL EQUITY FEEDER FUND 208.76
* as of Jul 17, 2025
3.6802 4.8518
BPI US EQUITY INDEX FEEDER FUND CLASS P (PHIL PESO CLASS) 229.15
* as of Jul 17, 2025
10.1418 4.1780

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI MONEY MARKET FUND 299.36 4.4121 2.3803
BPI SHORT TERM FUND 176.67 4.3902 2.3106

Fixed Income Fund - Intermediate Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PREMIUM BOND FUND 215.35 3.6433 2.2555

Fixed Income Fund - Medium Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ODYSSEY PESO MEDIUM TERM BOND FUND 157.42 3.7159 2.3737

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ABF PHILIPPINES BOND INDEX FUND 281.52
* as of Jul 17, 2025
4.9117 2.7670
ODYSSEY PESO BOND FUND 341.76 3.2196 1.3163

Multi-Asset Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI BALANCED FUND 176.92 2.0418 1.7425
BPI BAYANIHAN BALANCED FUND 126.49 4.5199 2.9211
ODYSSEY DIVERSIFIED BALANCED FUND 210.44 1.4658 1.8587
ODYSSEY DIVERSIFIED CAPITAL FUND 201.44 2.5505 1.9949

Equity Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EQUITY VALUE FUND 152.51 -0.0262 2.4864
BPI PHILIPPINE HIGH DIVIDEND EQUITY FUND 144.92 6.6451 5.4807
ODYSSEY PHILIPPINE EQUITY FUND 417.81 -0.8072 0.8010
ODYSSEY PHILIPPINE HIGH CONVICTION EQUITY FUND 117.87 -1.0743 1.7700

Fund of Funds - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND FUND-OF-FUNDS 186.31
* as of Jul 17, 2025
3.4136 3.2417
BPI SUSTAINABLE GLOBAL BOND FUND-OF-FUNDS 105.93
* as of Jul 17, 2025
4.7050 3.3060

Fund of Funds - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL EQUITY FUND-OF-FUNDS 609.68
* as of Jul 17, 2025
8.7627 5.3971
BPI SUSTAINABLE GLOBAL EQUITY FUND-OF-FUNDS 122.81
* as of Jul 17, 2025
6.8842 10.5003

Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EUROPEAN EQUITY FEEDER FUND 228.40
* as of Jul 17, 2025
32.4212 36.1875
BPI GLOBAL HEALTH CARE FEEDER FUND 83.11
* as of Jul 17, 2025
-17.7943 -6.5970
BPI US EQUITY INDEX FEEDER FUND CLASS A (USD CLASS) 334.47
* as of Jul 17, 2025
12.0803 5.1925
BPI WORLD TECHNOLOGY FEEDER FUND 125.66
* as of Jul 17, 2025
15.3903 7.1910
ODYSSEY ASIA PACIFIC HIGH DIVIDEND EQUITY FEEDER FUND 15.31
* as of Jul 17, 2025
14.2537 15.6344

Feeder Fund - Multi-Asset

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI US DOLLAR INCOME FEEDER FUND 79.61
* as of Jul 17, 2025
1.8812 1.6990

Fund of Funds - Multi-Asset

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI SUSTAINABLE GLOBAL BALANCED FUND-OF-FUNDS 115.33
* as of Jul 17, 2025
5.1897 6.4814

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI US DOLLAR SHORT TERM FUND 349.54 4.0267 2.0525

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE DOLLAR BOND INDEX FUND 250.36 4.3732 3.6730
ODYSSEY PHILIPPINE DOLLAR BOND FUND 32.35 2.9927 2.8290