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- 2025-10-17 发布于北京
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MONTHLY
FACTSHEET
31stMay2016
providedby
SUMMARY
HypaassetsunderAdvisoryorManagement:USD$124.8m(£86.0m)asatMay31st2016
BondsunderManagement:15
FundDefaults:Zero
FundInterestPayments:Nodelayspresentlyoranticipated
AverageYieldtoRedemption:Greaterthan11%netoffees
FavouredSectors:RealEstate,RenewableEnergy,Leisure,Finance
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