Investors

Total Adjusted NAV
US$258.6 million
As at 31 December 2017
Adjusted NAV Per Share
US$3.38(250p)
As at 31 December 2017
Portfolio Valuation
US$435.1 million
As at 31 December 2017

Share Price


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Literature


Interim Results 2018

Q1 2018 Investor Update

Fund Factsheet March 2018

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