Performance

Cumulative

+ 0 %
3-Months
+ 0 %
6-Months
+ 0 %
12-Months

Average Monthly

+ 0 %
3-Months
+ 0 %
6-Months
+ 0 %
12-Months

Percentage Winning Months

0 %
3-Months
0 %
6-Months
0 %
12-Months

As of 31 May 2020.

 

All returns are net of fees.

 

The Fund’s net asset value is calculated daily by UK-based fund administrator, IFINA, and independently audited annually by accounting firm, Baker Tilly (Cayman).

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