Net Asset Value(s)
08/06/2 026 Name Valuation Ticker ISIN Code Units Shareholder NAV per Currency Date Outstanding Equity Share Base Local (Shareclass)Palmer 08/06/2026 PCLS IE000JTHNWF0 1025000.00 52612108.93 44.399 GBPSquareEURCLOSeniorDebtIndexUCITSETFPalmer 08/06/2026 PCL0 IE000JTHNWF0 1025000.00 52612108.93 51.3289 EURSquareEURCLOSeniorDebtIndex