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Closing prices as at 03 September 2010:   6PM: 0.530 unch   BOV: 3.200 unch   CW: 0.400 unch   FIM: 0.995 unch   GCL: 1.280 unch   GO: 1.870 unch   GHM: 1.960 unch   HSB: 2.820 -0.020    IHI: 0.840 -0.040    IHG: 0.997 unch   LOM: 2.770 -0.030    LQS: 0.200 unch   MIA: 1.580 unch   MTP: 0.900 unch   MDS: 4.280 unch   MSI: 1.050 unch   PZC: 1.650 unch   RS2: 0.560 unch   STUM: 2.600 unch   SFC: 1.801 0.001   

APS Income Fund - Accumulator

Fund Data
Last Valid Date:  
27 Jul 2010
Share Price:  
110.0587
Previous Price:
110.9387
Change from previous day:  
-0.88
Base Currency:  
EUR
Fund Size:  
10,700,000
ISIN: MT0000075557
Manager:  
APS Funds SICAV p.l.c.

Company Information

Objective The investment objective of the APS Income Fund is to distribute income with the potential for capital growth principally through investment in Maltese debt securities and Maltese equity securities. The Fund may also invest in international debt and equity securities

Launch Date 22nd April 2008

Launch Price EUR100.279

Base Currency EURO

Minimal Investment Initial investment €2,000 per class

Minimal Additional Minimum of €100

Dealing Days Daily

Charges Upfront fee: 1.50% of the amount invested, Management fees: 0.75% per annum of the Net Asset Value of the Fund, Custodian fees: 0.03% per annum of the Net Asset Value of the Fund, Administration fees: 0.13% per annum of the Net Asset Value of the Fund

Manager  APS Funds SICAV plc

Prospectus  Click here



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