April 27, 2017 / 11:29 PM / 4 months ago

BRIEF-AP Alternative Assets NAV of $35.36 per unit as of march 31, 2017

April 27 (Reuters) - Ap Alternative Assets Lp

* Net asset value of $35.36 per unit as of March 31, 2017

* Decrease in net asset value associated with distribution was partially offset by an increase in fair value of investment in athene Source text for Eikon: Further company coverage:

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