2026 Net Asset Values and Returns

  • As of Date
  • Period
  • NYSE
    Px/Share
  • GBP
    NAV/Share
  • LSE GBP
    Px/Share
  • LSE USD
    Px/Share
  • MTD
    Return
  • QTD
    Return
  • YTD
    Return
  • 12 May
  • Weekly
  • $40.75
  • £0.00
  • £0.00
  • $0.00
  • -0.2%
  • -2.6%
  • -2.6%
  • 5 May
  • Weekly
  • $42.98
  • £0.00
  • £0.00
  • $0.00
  • -0.1%
  • -2.5%
  • -2.5%
  • 29 April
  • IPO Price
  • $50.00
  • £50.00
  • £50.00
  • $46
  • --
  • --
  • --

The net asset value ("NAV") per share reflects the deduction from the $50.00 public offering price of (i) the sales load, placement fees and structuring fees, (ii) offering expenses and (iii) organizational and other expenses, in each case borne by PSUS in connection with the combined offering.

Weekly NAV is calculated as of the close of business on each Tuesday and posted on the following business day in New York. In the event that Tuesday is not a business day in New York, PSUS will calculate the close-of-business NAV as of the business day immediately preceding that Tuesday. 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 in New York. For weeks that include a month-end NAV report, PSUS will provide only the month-end NAV and not report the Tuesday NAV.

Performance is presented on a net-of-fees basis and reflects the deduction of, among other expenses: management fees, brokerage commissions and administrative fees. The performance figures include the reinvestment of all dividends, interest and capital gains. Depending on the timing of a specific investment, net performance for an individual investor may vary from the net performance as stated herein. Net performance is a geometrically linked time weighted calculation. Past performance is not indicative of future results.

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