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Genesis Emerging Markets Fund Says NAV Per Share Has Increased

15th May 2014 17:04

LONDON (Alliance News) - Genesis Emerging Markets Fund Ltd Thursday said its net asset value per share rose to 549.8 pence at the end of March, from 553.3 pence at December 31.

In an interim management statement for the period January 1 to March 31, the company said its total assets were valued at GBP742 million at the period-end compared with GBP747 million

The stock closed up 1.5% at 518 pence Thursday.

By Anthony Tshibangu; [email protected]; @AnthonyAllNews

Copyright 2014 Alliance News Limited. All Rights Reserved.


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