Mutual Funds

NAL

Nalbra Fund Inc (NAL)

Fund Type N/A
Listing Types Primary Listing on BISX
Min. Subscription $50,000
Valuation Date 2023-12-31
Currency US$
NAV 1560.74
Fund Manager Icatu Gestao Patrimonial Ltda.
Bid 1560.74
Administrator Itau Bank & Trust Bahamas Ltd.
Offer 1560.74
Security ID N/A
Yield N/A
YTD 0.0000
Category

Up to 4,999,990 Participating Shares having a par value of US$.01 per share

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