10/02/2021 12:00:00 PM

Pinnacle Residential Fund

Net Asset Value(s)

Provider: Vistra Fund Services (Guernsey) Ltd

Print

units
ISIN: GG00B1RMB912
Currency NAV/Share NAV-Offer Shares in Issue Total Value Yield Valuation Date
GBP0.140.1451,120,979.257,352,378 01 Dec 2020