Turnstone Asian Fund

July 2008 - US Dollar Class -1.88%, NAV $96.5888, YTD -16.33%     Euro Class -1.72%, NAV €90.0687, YTD -17.22%     Sterling Class -1.85%, NAV £86.3168, YTD -17.16%

   

Prices

Turnstone
Asian Fund SPC
US Dollar Class NAV
at Month End
Euro Class NAV
at Month End
Sterling Class NAV
at Month End
$
£
July 2008
96.5888
90.0687
86.3168
Click Here for Historical Prices

 

 

 

 

 

 

 
 
 
 
Turnstone Asset Management Limited is Authorised and Regulated by the Financial Services Authority.