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Crystal Amber Fund NAV rises in February

By BFN News | 10:07 AM | Wednesday 07 March, 2018


Crystal Amber Fund said its unaudited net asset value per share at 28 February 2018 was 202.98p up from 201.29p per share in January. At 10:07am: (LON:CRS) Crystal Amber Fund Limited share price was -0.5p at 192.5p Story provided by StockMarketWire.com

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