03/07/2023 10:33:36 AM

Guernsey Portfolios PCC Ltd

Net Asset Value(s)

Provider: Zedra Fund Managers (Guernsey) Ltd

Print
Guernsey Portfolios PCC Ltd - Westbridge Fund

As at 31 March 2023

Net Asset Value per Share = 3.4968

Shares in Issue = 1,529,048.922325

Total Value = GBP 5,346,746.63