Reports

MonthYearReport
September2019VIEW REPORT
August2019VIEW REPORT
July2019VIEW REPORT
June2019VIEW REPORT
May2019VIEW REPORT
April2019VIEW REPORT
March2019VIEW REPORT
QuarterYearReport
September2019VIEW REPORT
June2019VIEW REPORT
Fund Date NAV price Entry Exit
L1 Capital International Fund15/10/2019$1.1280$1.1297$1.1263
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