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NAV Thirteen Diversified Fund November 2013: + 0.09% (NAV 108.38) | CACEIS Bank Luxembourg Amsterdam Branch

On November 30, 2013, the Net Asset Value (NAV) of Thirteen Diversified Fund is 108.38%. 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 of Thirteen Diversified […]

Newsletter Thirteen Diversified Fund November 2013

NAV November 2013: + 0.09% NAV since inception: + 8.38% Value participation: 108.38% Markets: Pfäffikon SZ – The month of November began hesitantly, however, based on good business figures the upward direction on the global stock markets was gently found again. The ECB provided the surprise of the month by unexpectedly reducing the interest rate […]

Newsletter Thirteen Diversified Fund November 2013

NAV November 2013: + 0,09% NAV sinds oprichting: + 8,38% Waarde participatie: 108,38% Markten: Pfäffikon SZ – De maand november begon aarzelend, echter op basis van goede bedrijfscijfers werd de weg omhoog op de mondiale beurzen voorzichtig weer gevonden. De ECB zorgde voor de verrassing van de maand door de rente onverwachts te verlagen uit […]

Weekly Market Outlook December 1, 2013

Weekly Market Outlook: Pfäffikon SZ – The last important week of the year makes its appearance. Macro figures dominate the financial agenda, perhaps this will be the last reason to get the markets moving before the end of this year. Of course, the U.S. plays a leading role in this. The purchasing managers index for the […]