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