UNIT INVESTMENT TRUST FUND

Unit Investment Trust Funds - Net Asset Values per unit (UITF NAVpus) as of Oct 10, 2025

Equity Index Tracker Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE CONSUMER EQUITY INDEX FUND 66.76 -20.1340 -11.7165
BPI PHILIPPINE EQUITY INDEX FUND 87.83 -16.8119 -5.7416
BPI PHILIPPINE INFRASTRUCTURE EQUITY INDEX FUND 177.37 6.7722 15.1529

Feeder Fund - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND INCOME FUND CLASS P (PHP CLASS) 107.39
* as of Oct 9, 2025
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Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI CATHOLIC VALUES GLOBAL EQUITY FEEDER FUND 228.77
* as of Oct 9, 2025
13.9974 14.9021
BPI US EQUITY INDEX FEEDER FUND CLASS P (PHIL PESO CLASS) 248.50
* as of Oct 9, 2025
18.0186 12.9751

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI MONEY MARKET FUND 302.16 4.2434 3.3379
BPI SHORT TERM FUND 178.24 4.2217 3.2198

Fixed Income Fund - Intermediate Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PREMIUM BOND FUND 218.84 3.6321 3.9126

Fixed Income Fund - Medium Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ODYSSEY PESO MEDIUM TERM BOND FUND 159.90 3.2946 3.9865

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
ABF PHILIPPINES BOND INDEX FUND 286.59
* as of Oct 9, 2025
3.2348 4.6178
ODYSSEY PESO BOND FUND 349.32 2.2839 3.5575

Multi-Asset Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI BALANCED FUND 175.16 -5.2831 0.7303
BPI BAYANIHAN BALANCED FUND 127.72 2.8093 3.9219
ODYSSEY DIVERSIFIED BALANCED FUND 207.10 -6.2726 0.2420
ODYSSEY DIVERSIFIED CAPITAL FUND 201.44 -2.4881 1.9949

Equity Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EQUITY VALUE FUND 145.97 -13.0821 -1.9085
BPI PHILIPPINE HIGH DIVIDEND EQUITY FUND 142.93 -4.5734 4.0323
ODYSSEY PHILIPPINE EQUITY FUND 401.52 -14.3132 -3.1291
ODYSSEY PHILIPPINE HIGH CONVICTION EQUITY FUND 111.74 -15.1685 -3.5227

Fund of Funds - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND FUND-OF-FUNDS 192.19
* as of Oct 9, 2025
5.1310 6.5001
BPI SUSTAINABLE GLOBAL BOND FUND-OF-FUNDS 109.78
* as of Oct 9, 2025
6.7172 7.0607

Fund of Funds - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL EQUITY FUND-OF-FUNDS 643.80
* as of Oct 9, 2025
12.3972 11.2955
BPI SUSTAINABLE GLOBAL EQUITY FUND-OF-FUNDS 125.12
* as of Oct 9, 2025
8.8947 12.5787

Feeder Fund - Equity

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI EUROPEAN EQUITY FEEDER FUND 235.49
* as of Oct 9, 2025
35.4481 40.4150
BPI GLOBAL HEALTH CARE FEEDER FUND 94.42
* as of Oct 9, 2025
-4.7705 6.1137
BPI US EQUITY INDEX FEEDER FUND CLASS A (USD CLASS) 356.84
* as of Oct 9, 2025
15.5645 12.2280
BPI WORLD TECHNOLOGY FEEDER FUND 140.92
* as of Oct 9, 2025
27.4371 20.2081
ODYSSEY ASIA PACIFIC HIGH DIVIDEND EQUITY FEEDER FUND 17.02
* as of Oct 9, 2025
23.0658 28.5498

Fund of Funds - Multi-Asset

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI SUSTAINABLE GLOBAL BALANCED FUND-OF-FUNDS 118.33
* as of Oct 9, 2025
7.3678 9.2512

Feeder Fund - Fixed Income

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI GLOBAL BOND INCOME FUND CLASS A (USD CLASS) 102.30
* as of Oct 9, 2025
---- ----

Money Market Fund

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI US DOLLAR SHORT TERM FUND 352.53 3.8411 2.9255

Fixed Income Fund - Long Term

Fund Name NAVpu ROI-YOY% ROI-YTD%
BPI PHILIPPINE DOLLAR BOND INDEX FUND 258.69 4.4959 7.1224
ODYSSEY PHILIPPINE DOLLAR BOND FUND 33.33 2.7119 5.9441