Fund Prices

The Share Price of the Valletta Fund Management Funds are issued on every business day by the administrator Valletta Fund Services Limited. All funds are priced daily with the exception of the La Valette Multi Manager Property Fund which is priced bi-monthly and the Wignacourt Capital Guaranteed AquaEnergy Fund which are priced every other Thursday.

  Initial Charge Share Price** XD Change from
previous NAV
Income
Yield***
La Valette Funds SICAV p.l.c.
Euro Income Fund* 2%€1.1615 +0.00043.345%
Far East Opportunities Fund 4%$1.6759 +0.0032 
High Yield Fund 3.5%€0.7955 +0.00146.9216%
Malta Bond Fund - Accumulator 0.5%€532.136 +0.2600 
Malta Bond Fund - Distributor 0.5%€346.514 +0.16903.8535%
Malta Fund - Accumulator 2%€7.916 +0.0080 
Malta Fund - Distributor 2%€6.255 +0.00704.6322%
Euro Malta Money Fund - Institutional -€2.9609 +0.00011.0681%
Euro Malta Money Fund - Retail -€2.9366 +0.00000.9581%
Monthly Income Fund - Accumulator 3%€3.069 +0.0012 
Monthly Income Fund - Distributor 3%€2.4867 +0.00093.3686%
Multi Manager Property Fund - Main Pool 4%€0.547 +0.00090.2805%
Multi Manager Property Fund - Side Pocket^ -€0.3544 -0.02730%
Sterling Income Fund* 2%£0.9952 -0.00055.0404%
Sterling Money Fund -£1.4092 +0.00000.3389%
United States Dollar Money Fund -$1.2032 +0.00000%
Vilhena Funds SICAV p.l.c.
Diversified Multi-Manager Income Fund 4%€0.6338 +0.00232.1014%
Dynamic Multi-Manager Fund 4%€0.7767 +0.0018 
European Multi-Manager Fund 4%€1.3778 +0.0105 
Malta Fund - Accumulator* 1%€595.056 +0.5650 
Malta Fund - Distributor* 1%€472.655 +0.44903.1063%
Malta Government Bond Fund - Accumulator 0.5%€485.246 +0.3070 
Malta Government Bond Fund - Distributor 0.5%€324.666 +0.20503.6331%
Mediterranean Rim Fund - USD Class 3.5%$1.4929 +0.00042.3968%
Mediterranean Rim Fund - EUR Class 3.5%€1.0201 -0.00112.3968%
Global Themed Fund - USD Class 4%$1.0314 +0.0093 
Global Themed Fund - EUR Class 4%€1.9845 +0.0167 
Global Themed Fund - GBP Class 4%£0.9758 +0.0067 
Broad Opportunities Fund 4%€0.7522 +0.0004 
Wignacourt Funds SICAV p.l.c.
Malta Fund - Accumulator 2.5%€2.665 +0.0040 
Malta Fund - Distributor 2.5%€2.22 +0.00303.8025%
Capital Guaranteed AquaEnergy Fund -€0.9885 +0.0145 

*An exit fee structure also applies.

** Share price as at  18 June 2013  except for the La Valette Multi Manager Property Fund which is priced bi-monthly and the Wignacourt Capital Guaranteed AquaEnergy Fund which is priced every other Thursday.

***Income yield as at 14 June 2013 net of the funds' fees, expenses and tax. This yield which constitutes the income that theassets of a fund produce in relation to their value or market price, may vary and is not guaranteed.

^In line with the Supplementary Prospectus and other than for the purpose of enabling the classification of the underlying investments as at time of creation of the Side Pocket, all dealings in shares and the determination of the net asset value are suspended in terms of Article 14 of the La Valette Funds SICAV plc Articles of Association and the estimate per share is provided solely for indicative purposes.

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