As at the 30th November 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$446.46 net of all fees and expenses, up 3.01% from US$433.40 in October.
As at the 31st of October 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$433.40 net of all fees and expenses, down 3.75% from US$450.29 in September.
As at the 30th of September 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$450.29 net of all fees and expenses, down 1.10% from US$455.31 in August. Please see the table at the end of this letter for further detail.
As at the 31st of August 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$455.31 net of all fees and expenses, down 2.56% from US$467.29 in July.
As at the 31st of July 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$467.29 net of all fees and expenses, down 1.17% from US$472.82 in June.
As at the 30th of June 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$472.82 net of all fees and expenses, down 4.90% from US$497.19 in May.
As at the 31st of May 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$497.19 net of all fees and expenses, up 0.80% from US$493.22 in April.
The HMRC has accepted Pangolin Asia Fund into the Reporting Fund regime with effect from 1 December 2013 for UK tax purposes. Investors who are subjected to UK taxation will be required to use the report available in this notice to calculate the amount of income that you will need to include in your tax return.
As at the 30th of April 2018 the NAV of the Class A shares of the Pangolin Asia Fund was US$493.22 net of all fees and expenses, down 2.59% from US$506.32 in March.