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Pangolin Investment Management

Pangolin Asia Fund November 2020 NAV

  Date : 8th December 2020
As at the 30th of November 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$422.87 net of all fees and expenses, up 8.30% from US$390.47 in October.
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Pangolin Asia Fund October 2020 NAV

  Date : 5th November 2020
As at the 31st of October 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$390.47 net of all fees and expenses, down 0.19% from US$391.21 in September.
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Pangolin Asia Fund September 2020 NAV

  Date : 8th October 2020
As at the 30th of September 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$391.21 net of all fees and expenses, down 0.91% from US$394.82 in August.
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Pangolin Asia Fund August 2020 NAV

  Date : 8th September 2020
As at the 31st of August 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$367.99 net of all fees and expenses, up 7.29% from US$394.82 in July.
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Pangolin Letter to Investors 27 Aug 2020

  Date : 31st August 2020
Pangolin Letter to Investors 27 Aug 2020
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Pangolin Asia Fund July 2020 NAV

  Date : 7th August 2020
As at the 31st of July 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$367.99 net of all fees and expenses, up 1.02% from US$364.26 in June.
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Poh Huat AGM Presentation

  Date : 22nd July 2020
Poh Huat AGM is on 24 July 2020
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Pangolin Asia Fund June 2020 NAV

  Date : 7th July 2020
As at the 30th of June 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$364.26 net of all fees and expenses, up 1.59% from US$358.55 in May.
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Pangolin Asia Fund May 2020 NAV

  Date : 4th June 2020
As at the 29th of May 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$358.55 net of all fees and expenses, up 2.55% from US$349.63 in April.
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Pangolin Asia Fund April 2020 NAV

  Date : 11th May 2020
As at the 30th of April 2020 the NAV of the Class A shares of the Pangolin Asia Fund was US$349.63 net of all fees and expenses, up 11.41% from US$313.82 in March.
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