Prices

 
Prices
 
Adjust Font Size Increase font size Decrease font size    
 
No Filters Applied
ASSET CLASSINVESTMENT MANAGER
Equity (1)
Legg Mason Hong Kong Asset Management (1)
Print All  
1-1 of 1 Results 
Fund NameShare ClassAsset ClassCurrencyNAVDay ChangeDate
Legg Mason - Hong Kong Equity Fund Unit NAV Ord.EquityUSD39.49-0.0517 Apr 2012
1-1 of 1 Results