| Unit Trusts and Collective Investment Schemes | FundsData by Profile |
| Anglorand Management Company Ltd. | Return to index |
| Fund | Price date |
Max initial fee % |
TER as % of NAV |
NAV (Cents per unit) |
Effective Yield % |
Distibution last 12 months (c) |
NAV 12-month high |
NAV 12-month low |
| Anglorand Growth Fund Class A | Aug 13, 15 | 5.00 | n/a | 455.87 | n/a | n/a | 495.96 | 444.80 |
| Return to index |