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Newsletter Thirteen Diversified Fund October 2015

NAV October 2015: + 24.09% NAV Year to Date: + 7.90% NAV Year over Year: + 4.49% NAV since inception: + 12.49% Value participation: 112.49% Markets October registered the strongest positive turn since 2011; the S&P 500 closed a whopping 8.3 percent higher. The reason for the change was the disappointing jobs figures in the U.S., […]

Newsletter Thirteen Diversified Fund Oktober 2015

NAV Oktober 2015: + 24,09% NAV Year to Date: + 7,90% NAV Year over Year: + 4,49% NAV Sinds Oprichting: + 12,49% Waarde Participatie: 112,49% Markten: De maand oktober kende de sterkste positieve draai sinds 2011; de S&P 500 sloot maar liefst 8,30% hoger. Aanleiding voor de ommezwaai was het tegenvallende banencijfer in de VS, […]

NAV Thirteen Diversified Fund October 31, 2015: 112.49 | CACEIS Bank Luxembourg Amsterdam Branch

On October 31, 2015, the Net Asset Value (NAV) of Thirteen Diversified Fund is 112.49% Net of Fees. This NAV is calculated by CACEIS Bank Luxembourg Amsterdam Branch. The NAV of Thirteen Diversified Fund is calculated by CACEIS Bank Luxembourg Amsterdam Branch, the fund’s administrator, on a monthly basis. Each month, the officially calculated NAV […]

Weekly Market Outlook November 1, 2015

Weekly Market Outlook: Pfäffikon SZ, Switzerland – Again, our indicators have improved compared to last week. A further recovery is obvious even though there may be a temporarily limited consolidation in the S&P 500. The worries about a hard landing of the Chinese economy are rightly fading into the background. The coming week: It is […]