Apex Fund Performance: Based on a Lump Sum Investment

Apex Fund Performance: Based on a Lump Sum Investment
Apex Fund Performance
Net Asset Value (NAV)
1/1/2014 10,000
2/1/2014 10,310
3/1/2014 10,524
4/1/2014 10,768
5/1/2014 10,582
6/1/2014 10,464
7/1/2014 10,813
8/1/2014 10,794
9/1/2014 11,185
10/1/2014 11,727
11/1/2014 12,038
12/1/2014 12,600
1/1/2015 13,082
2/1/2015 13,016
3/1/2015 12,991
4/1/2015 13,492
5/1/2015 13,408
6/1/2015 13,958
7/1/2015 14,691
8/1/2015 15,349
9/1/2015 16,267
10/1/2015 15,008
11/1/2015 15,643
12/1/2015 16,128
1/1/2016 16,529
2/1/2016 16,416
3/1/2016 16,198
4/1/2016 16,934
5/1/2016 17,685
6/1/2016 16,215
7/1/2016 16,459
8/1/2016 16,861
9/1/2016 16,534
10/1/2016 16,294
11/1/2016 16,657
12/1/2016 16,934
1/1/2017 17,628
2/1/2017 17,934
3/1/2017 17,592
4/1/2017 18,243
5/1/2017 18,628
6/1/2017 19,245
7/1/2017 18,867
8/1/2017 19,612
9/1/2017 20,367
10/1/2017 20,358
11/1/2017 21,404
12/1/2017 22,522
1/1/2018 23,352
2/1/2018 23,962
3/1/2018 23,971
4/1/2018 23,624
5/1/2018 23,468
6/1/2018 24,263
7/1/2018 24,932
8/1/2018 25,829
9/1/2018 26,734
10/1/2018 27,316
11/1/2018 27,862
12/1/2018 27,476
1/1/2019 27,348
2/1/2019 27,294
3/1/2019 27,953
4/1/2019 28,834
5/1/2019 29,762
6/1/2019 30,913
7/1/2019 30,767
8/1/2019 31,629
9/1/2019 31,428
10/1/2019 31,834
11/1/2019 32,726
12/1/2019 33,521
1/1/2020 34,168
2/1/2020 34,754
3/1/2020 34,256
4/1/2020 34,028
5/1/2020 34,165
6/1/2020 33,854
7/1/2020 33,694
8/1/2020 34,359
9/1/2020 35,262
10/1/2020 35,164
11/1/2020 34,927
12/1/2020 35,532
1/1/2021 36,782
2/1/2021 36,496
3/1/2021 37,248
4/1/2021 37,164
5/1/2021 37,986
6/1/2021 39,127
7/1/2021 40,768
8/1/2021 40,439
9/1/2021 41,983
10/1/2021 43,249
11/1/2021 43,124
12/1/2021 44,060
1/1/2022 45,623
2/1/2022 46,702
3/1/2022 48,090
4/1/2022 49,271
5/1/2022 50,156
6/1/2022 50,822
7/1/2022 49,346
8/1/2022 48,285
9/1/2022 47,223
10/1/2022 48,910
11/1/2022 50,034
12/1/2022 51,990
1/1/2023 50,227