Turnstone European Fund

July 2008 - A Class -2.14% NAV £134.6817, YTD -0.12%     B Class -2.60% NAV €149.4984, YTD -0.64%     C Class -2.99% NAV $122.1939, YTD -1.68%

   

Prices

Turnstone
European Fund
Class A NAV
at Month End
Class B NAV
at Month End
Class C NAV
at Month End
£
$
July 2008
134.6817
149.4984
122.1939
Click Here for Historical Prices

 

 

 

 

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