Performance
Fund | |
---|---|
August 2018 | 0.14% |
Jun-Jul-Aug.-2018 | 2.89% |
YTD | 9.09% |
Since inception | 41.83% |
NAV1410.2USD
Allocation by asset class
Allocation by country
Allocation by currency
Top 5 Holdings
Holding | Class asset / Country | Weight |
---|---|---|
Fonds 1 | Autres France |
4.07% |
Fonds 2 | Autres US |
2.87% |
Fonds 3 | Autres Autres |
2.68% |
Fonds 4 | Autres Autres |
2.33% |
Fonds 5 | Autres France |
2.29% |
Funds
Domicile | REPUBLIC OF SYECHELLES |
Inception date | 9/1/2018 |
Currency | USD |
Fund Managers | GANESH INTERNATIONAL FUND |
Liquidity | WEEKLY |
Cut Off | 7 DAYS BEFORE |
Management fees | 1,2% |
Entry fees | UP TO 2% |
Exit fees | 0.00% |
High Water Mark | PERF FEE |
ISIN | SC1721AGIF86 |
Custodian | MCB |
Administrator | AAROW FUND SERVICES LTD |