- Log in at https://portal.
passiveincomefund.com/py/sys. pyc - Select Performance tab
- Input your performance date (or click the calendar icon)
- Select whether you want the report generated on Redemption Pricing, or Issue Pricing
- Click ‘Generate Summary’
Note: Annualised performance is based on the date you were first issued units. If you purchased units in tranches then annualised performance will be understated as the formula assumes all units were purchased at the date of the first purchase.