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LYXOR/HAVENS INTERNATIONAL FUND LIMITED - Class B
  Legend: Funds Subfunds Classes Fund Security Document
LYXOR/HAVENS INTERNATIONAL FUND LIMITED
Class B 1
Status Listed
Date Listed 02/02/2007
Geographic Focus Global
Investment Policy The investment objective of the Fund is, through alternative investment strategies, to seek medium term capital appreciation.
Minimum Subscription Currency USD
Minimum Subscription 100,000
shares Sedol: B1RMVY6
NAV 144.38
Currency USD
Nav Calculation Date 15/04/2014
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Nav Last Bid/Offer Date
Publication Date 18/04/2014
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