04/04/2025 5:40:00 PM

Man AHL Diversified (Cayman) Ltd

Net Asset Value(s)

Provider: BNY Mellon Fund Services (Ireland) DAC

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Class A Man AHL Diversified (Cayman) USD non-voting participating redeemable USD0.0001 shares
ISIN: KYG5777Q1055
Currency NAV/Share NAV-Offer Shares in Issue Total Value Yield Valuation Date
USD1.6388 9,724,730.91715,936,889 03 Apr 2025

 

Class B Man AHL Diversified (Cayman) JPY non-voting participating redeemable JPY0.001 shares
ISIN: KYG5777Q1139
Currency NAV/Share NAV-Offer Shares in Issue Total Value Yield Valuation Date
JPY135.02 145,890,437.10319,698,126,818 03 Apr 2025

 

Class C Man AHL Diversified (Cayman) AUD non-voting participating redeemable AUD0.0001 shares
ISIN: KYG5777Q1212
Currency NAV/Share NAV-Offer Shares in Issue Total Value Yield Valuation Date
AUD1.5481 2,243,358.1993,472,943 03 Apr 2025