Edition:
India

Crystal Amber Fund Says NAV/Share Rose 1.8% To 249.1 Pence


Friday, 13 Sep 2019 

Sept 13 (Reuters) - Crystal Amber Fund Ltd ::NET ASSET VALUE PER SHARE ROSE BY 1.8% TO 249.12P (244.62P AT 30 JUNE 2018, 221.67P AT 31 DECEMBER 2018).PERIOD WAS DOMINATED BY UNCERTAINTY AROUND BREXIT. EQUITIES MOVED SIDEWAYS AS DEAL ACTIVITY REDUCED AND CONSUMER CONFIDENCE WEAKENED.INTERNATIONAL INVESTORS HAVE REDUCED THEIR EXPOSURE TO UK ASSETS TO HISTORICALLY LOW LEVELS."PROGRESS HAS BEEN FRUSTRATING IN SOME AREAS, SUCH AS DE LA RUE AND NORTHGATE".