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EFTA01278815_sub_002 - EFTA01278815_160
are shown as' issuer est. value pet unit'. For Povae equty f unds, 'Est. value per u1 t' is a value updated quarterly, based on the Net ASSet value C Nan in the fund a or the date spedfeel [dusted by ading capital calls and subtracting dstnbsitions since the NAV date The NAV is primarily based on esti
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