UNIT INVESTMENT TRUST FUND

Unit Investment Trust Funds - Net Asset Values per unit (UITF NAVpus) as of Oct 17, 2025

Equity Index Tracker Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE CONSUMER EQUITY INDEX FUND 66.98 -19.3206 -11.4255
BPI PHILIPPINE EQUITY INDEX FUND 88.55 -15.9787 -4.9689
BPI PHILIPPINE INFRASTRUCTURE EQUITY INDEX FUND 178.49 8.0644 15.8800

Feeder Fund - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND INCOME FUND CLASS P (PHP CLASS) 108.13
* as of Oct 16, 2025
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Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI CATHOLIC VALUES GLOBAL EQUITY FEEDER FUND 228.93
* as of Oct 16, 2025
12.1381 14.9824
BPI US EQUITY INDEX FEEDER FUND CLASS P (PHIL PESO CLASS) 244.09
* as of Oct 16, 2025
13.5831 10.9702

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI MONEY MARKET FUND 302.44 4.2357 3.4337
BPI SHORT TERM FUND 178.37 4.2124 3.2951

Fixed Income Fund - Intermediate Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PREMIUM BOND FUND 219.00 3.5804 3.9886

Fixed Income Fund - Medium Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ODYSSEY PESO MEDIUM TERM BOND FUND 160.16 3.3224 4.1556

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ABF PHILIPPINES BOND INDEX FUND 288.51
* as of Oct 16, 2025
3.8403 5.3187
ODYSSEY PESO BOND FUND 349.58 2.3630 3.6345

Multi-Asset Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI BALANCED FUND 175.96 -4.8402 1.1904
BPI BAYANIHAN BALANCED FUND 128.06 3.0332 4.1985
ODYSSEY DIVERSIFIED BALANCED FUND 207.90 -5.8467 0.6292
ODYSSEY DIVERSIFIED CAPITAL FUND 201.85 -2.2613 2.2025

Equity Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EQUITY VALUE FUND 147.15 -12.0810 -1.1155
BPI PHILIPPINE HIGH DIVIDEND EQUITY FUND 143.44 -4.5706 4.4035
ODYSSEY PHILIPPINE EQUITY FUND 403.86 -13.7291 -2.5646
ODYSSEY PHILIPPINE HIGH CONVICTION EQUITY FUND 112.62 -14.3444 -2.7629

Fund of Funds - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND FUND-OF-FUNDS 193.46
* as of Oct 16, 2025
5.3818 7.2038
BPI SUSTAINABLE GLOBAL BOND FUND-OF-FUNDS 110.48
* as of Oct 16, 2025
6.8059 7.7433

Fund of Funds - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL EQUITY FUND-OF-FUNDS 638.31
* as of Oct 16, 2025
10.9005 10.3464
BPI SUSTAINABLE GLOBAL EQUITY FUND-OF-FUNDS 124.08
* as of Oct 16, 2025
7.7083 11.6430

Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EUROPEAN EQUITY FEEDER FUND 235.50
* as of Oct 16, 2025
36.2690 40.4210
BPI GLOBAL HEALTH CARE FEEDER FUND 93.28
* as of Oct 16, 2025
-7.1933 4.8325
BPI US EQUITY INDEX FEEDER FUND CLASS A (USD CLASS) 351.17
* as of Oct 16, 2025
12.7605 10.4447
BPI WORLD TECHNOLOGY FEEDER FUND 139.60
* as of Oct 16, 2025
26.5180 19.0821
ODYSSEY ASIA PACIFIC HIGH DIVIDEND EQUITY FEEDER FUND 16.95
* as of Oct 16, 2025
22.9152 28.0211

Fund of Funds - Multi-Asset

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI SUSTAINABLE GLOBAL BALANCED FUND-OF-FUNDS 118.33
* as of Oct 16, 2025
6.9698 9.2512

Feeder Fund - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND INCOME FUND CLASS A (USD CLASS) 103.20
* as of Oct 16, 2025
---- ----

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI US DOLLAR SHORT TERM FUND 352.88 3.8554 3.0276

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE DOLLAR BOND INDEX FUND 259.81 4.6819 7.5862
ODYSSEY PHILIPPINE DOLLAR BOND FUND 33.46 2.8273 6.3573