REG-World Trust Fund Net Asset Value(s)

Mon Nov 9, 2009 4:49am EST
 
[-] Text [+]
LONDON--(Business Wire)--


World Trust Fund announces that its unaudited Net Asset Value (NAV) per share in
US Dollars, based on the closing prices of 06/11/2009 was 28.03 (Sterling
equivalent rate being £1.6610). 

This NAV was calculated inclusive of current period income.

World Trust Fund 

Copyright Business Wire 2009

 

Featured Broker sponsored link

Editor's Choice

A selection of our best photos from the past 24 hours.  Slideshow 

Most Popular on Reuters

  • Articles
  • Video