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* Weekly net asset value (“NAV”) is calculated as of the close of business on each Friday and posted on the following business day. In the event that Friday is not a business day, the company will calculate the close-of-business NAV as of the business day immediately preceding that Friday. The end-of-month NAV is calculated as of the close of business on the last day of the month and posted on the following day that is a business day. 

2023 Redox Fund Net Asset Value and Returns

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