Tortoise
Global Water ESG Fund (TBLU)

Fact Sheet Summary Prospectus Statutory Prospectus Statement of Additional Information Semi-Annual Report Annual Report XBRL Prospectus

Video


  • TBLU Update

    An Important Update to Tortoise Global Water ESG Fund (Cboe: TBLU)


  • Video Q&A

    Video Q&A introducing the Tortoise Water Fund (Cboe: TBLU)

Literature

TBLU
Fund Stats as of 12/17/2018
Symbol TBLU
Listing Exchange Cboe BZX
CUSIP 56167N753
Inception Date 2/14/2017
Market Price $26.30
NAV $26.15
NAV Change  $-0.39
Premium/(Discount) 0.56%
Price Change  $-0.13
Total Net Assets $3.92M
Total Market Value $3.95M
Shares Outstanding 150,000
Management Fee 0.40%
Total Expenses 0.40%


Shares of the Fund trade based on market prices rather than the Fund's net asset value per share ("NAV"). Consequently, shares of the Fund may trade at a price greater than (premium) or less than (discount) the Fund's NAV. The above table presents information for the period indicated about how often the most recent market closing price for the shares of the Fund reflected a premium or discount to the Fund's NAV for each trading day and the amount of each such premium or discount, expressed as a percentage of that day's NAV.

Fund Resources
Frequently Asked Questions  
Quarterly Fact Sheet  
Tax Information
Fund documents