Interval Fund

October 31, 2023

Initial Offering Date July 27, 2017
Public Offering Price per Share
NAV per Share
Front-End Sales Load
Annual Management Fee 0.50%
Cash to Total Assets Ratio Not Provided
Asset Type Insurance-Linked Securities
Sponsor/Advisor City National Rochdale
Sub-Advisor N/A
Fiscal Year Ending January 31
Fund Operating Expense Ratio (Gross) Not Provided
Fund Operating Expense Ratio (Net) Not Provided
Leverage Ratio Not Provided
Waivers as % of Distributions Not Provided
Historical Nav
Net Offering
Proceeds
Historical
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GAAP Earnings
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Taxable Income
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