Americas
Authorised Dealers
Individual Investors
Australia
Belgium
Canada
China
Spain
France
Germany
Hong Kong
Italy
Japan
United Kingdom
Intermediaries
Individual Investors
Singapore
Switzerland
Taiwan
Home
|
About Us
|
Press Room
|
Contact Us
Daily Prices
Product Literature
Products
Investment Managers
Batterymarch
Brandywine Global
ClearBridge Advisors
Esemplia Emerging Markets
Global Currents
Legg Mason Capital Management
Legg Mason Hong Kong Asset Management
Permal
Royce & Associates
Western Asset
Knowledge Centre
Corporate Overview
Commentaries
Home
|
Prices
Prices
Overview
Prices
Literature
Print
Adjust Font Size
Dublin Domiciled
Luxembourg Domiciled
Cayman Domiciled
No Filters Applied
ASSET CLASS
INVESTMENT MANAGER
Equity (1)
Legg Mason Hong Kong Asset Management (1)
Print All
1-1 of 1 Results
Fund Name
Share Class
Asset Class
Currency
NAV
Day Change
Date
Legg Mason - Hong Kong Equity Fund
Unit NAV Ord.
Equity
USD
39.49
-0.05
17 Apr 2012
1-1 of 1 Results