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Atlantic Cambrian Fund Ltd A NAV


Bid Offer Mid/NAV Change High Low
- - 1,382.22 14.04 on 15-Aug-2014 1,413.89 on 04-Jul-2014 1,088.67 on 30-Aug-2013
Latest price information as at: 22-Aug-2014

Performance

1 Month -1.11%
3 Month +1.77%
6 Month +5.08%
1 Year +23.98%
3 Year +78.88%
5 Year +150.23%
10 Year +152.06%
YTD +10.89%

Risk
  1 Year 3 Year 5 Year 10 Year
Standard deviation 0.016 0.057 0.055 0.065
Sharpe ratio 0.267 0.314 0.308 0.156

Contact information
Asset Management Company -
Fund Manager -
Email Address -
Website -

Fund details
ISIN VGG1766J1113
Currency USD
Management company name Atlantic Investment Management Inc
Category Hedge Funds
Investment type FT Offshore Funds
Unit type Accumulation
Price frequency Weekly
Domicile VG
Size 290.00

Data is provided by MoneyMate Investment Data Management. All Rights Reserved.


Charge
Initial charge -
Annual charge -
Exit charge 0.00%

Atlantic Cambrian Fund Ltd A NAV fund - price

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