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Newsletter Thirteen Diversified Fund September 2015

NAV September 2015: – 13,36% NAV Year to Date: – 13,03% NAV Year over Year: – 8,57% NAV Sinds Oprichting: – 9,35% Waarde Participatie: 90,65% Markten: “Een pijnlijk kwartaal voor de markten” kopte de Wall Street Journal op 1 oktober jongstleden; het werd uiteindelijk het slechtste kwartaal sinds 2011. Beleggers vrezen een afkoeling van de […]

NAV Thirteen Diversified Fund September 30, 2015: 90.65 | CACEIS Bank Luxembourg Amsterdam Branch

On September 30, 2015, the Net Asset Value (NAV) of Thirteen Diversified Fund is 90.65% 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 September 27, 2015

Weekly Market Outlook: Pfäffikon SZ, Switzerland – Investors are increasingly frustrated by the interest rate policy of the Fed. Last week, again, this caused much volatility in the stock markets. Several long-term investors, however, rightly define the current situation as ‘noise’. Nonetheless, in terms of equity prices, the third quarter seems set to become the […]

Weekly Market Outlook September 20, 2015

Weekly Market Outlook: Pfäffikon SZ, Switzerland – The Fed’s overhyped interest rate decision created a lot of volatility in the stock markets. The core of the matter is that the decision has little practical substance. The Fed aims for an interest rate level of 0.7% by the end of 2017, which is favorable for equities. More interesting is […]