ABERLIN CAPITAL SL January 02 2009 May 04 2015.pdf

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Account Overview
Cumulative Return
Net Asset Value
PortfolioAnalyst
Key Statistics
Beginning NAV:
0.00
Ending NAV:
934,894.82
Cumulative Return:
18.03%
1 Month Return:
1.20%
(May 2015)
3 Month Return:
0.81%
(Mar 2015 - May 2015)
Best Return:
33.56%
(Aug 2014)
Worst Return:
-14.86%
(Jul 2014)
Deposits/Withdrawals:
795,023.67
Ending Asset Allocation
Page: 4
