Symbol

LFGF

Fund Type

N/A

Min. Subscription

1000.00

Currency

B$

Fund Manager

Leno Asset Management Ltd.

Administrator

Leno Corporate Services Limited

Security ID

N/A

Listing Types

Primary Listing on BISX

Valuation Date

31/07/2024

NAV

0.9815

Bid

0.9815

Offer

0.9815

Yield

YTD

Category

N/A

Fund Details

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