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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