Lyrical US Value Equity Fund

LYRIX

Net Asset ($)

Date Net Assets ($) Total Assets ($) Total Liabilities ($)
Apr 19, 2024 679.2M 680.3M 1.1M
Jan 25, 2024 565.1M 572.2M 7.1M
Oct 23, 2023 572.3M 573M 731.5K
Jul 25, 2023 507.7M 509.4M 1.7M
Apr 27, 2023 710.4M 713.4M 3M
Jan 23, 2023 663.1M 699.1M 36M
Oct 26, 2022 646.7M 648.1M 1.4M
Jul 27, 2022 725.1M 727.2M 2M
Apr 27, 2022 739.8M 741.4M 1.6M
Jan 26, 2022 704.1M 705M 0.9M
Oct 26, 2021 694.6M 695.5M 1M
Jul 27, 2021 648.9M 649.8M 875.7K
Apr 22, 2021 421.1M 421.5M 410.6K
Jan 20, 2021 332M 332.4M 362.2K
Oct 26, 2020 300.3M 300.6M 384.5K
Jul 27, 2020 276.6M 277.2M 580.5K
Apr 8, 2020 480.9M 484.2M 3.4M
Jan 15, 2020 624.4M 645.4M 21.1M