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Tortoise North Amer Pipeline Fund (TPYP)

Tortoise North Amer Pipeline Fund (TPYP)
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Overview

Name Tortoise North American Pipeline Fund
Fund Family Tortoise Capital
Underlying Index Tortoise North American Pipeline Index
Inception Date 06/30/15
First Trade Date 06/30/15
Leverage Long
Asset Class Equity

Description:

The Tortoise North American Pipeline Fund uses a passive management approach and seeks to track the total return performance of the Tortoise North American Pipeline Index.

Investment Information

Alpha 4.30
60-Month Beta 1.09
Standard Deviation +1.30
Shares Outstanding, K 17,300.00
Managed Assets, $K 463,773.20 K
Net Asset Value 26.81
First Trade Price 25.06
P/E Ratio 0.06
Management Fee 0.40%
Options Yes
Latest Dividend 0.332
Last Dividend Date 03/20/24
Annual Dividend 1.27
Annual Dividend Yield 4.72%
1-Year Return 9.08%
3-Year Return 28.36%
5-Year Return 12.20%
Management Expense Ratio 0.40%

TPYP Dividends

Date Value
03/20/24 $0.3320
12/28/23 $0.2980
09/20/23 $0.3050
06/21/23 $0.3310
03/22/23 $0.3200
12/29/22 $0.2700
09/21/22 $0.2860
06/22/22 $0.2710
03/23/22 $0.2800
12/30/21 $0.2740
09/22/21 $0.2920
06/23/21 $0.2670
03/24/21 $0.2470
12/30/20 $0.2420
09/23/20 $0.2680
06/24/20 $0.2440
03/25/20 $0.3100
12/30/19 $0.2230
09/25/19 $0.2800
06/26/19 $0.2780
03/20/19 $0.2630
12/28/18 $0.1550
09/26/18 $0.2740
06/20/18 $0.2290
03/21/18 $0.2540
12/28/17 $0.1690
09/20/17 $0.2690
06/20/17 $0.2170
03/28/17 $0.2110
12/28/16 $0.1740
09/20/16 $0.2110
06/21/16 $0.2310
03/22/16 $0.2110
12/29/15 $0.2260
09/23/15 $0.2230
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