Performance Reports
Monthly Reports
Fund name Currency
NAV per unit
28.02.19
Performance 
MTD 28.02.19
Factsheet
Publication
Bloomberg
(daily price)
Monthly Report
Mistral Value Fund  -USD- 1'421.95 3.18% MISTRAL
Mistral Value Fund  -EUR- 1'695.05 3.83% MISTEUR
Mistral Value Fund  -CHF- 1'971.00 3.55% MISTCHF
Mistral Strategic Fund -EUR- 2'011.11 2.84% ALBIONS  
 
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