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Updates

17 Dec 2015 - The NAV for November 2015 was $1670.673, up 2%.

23 Nov 2015 - The NAV for October 2015 was $1637.943, up 1.1%.

14 Oct 2015 - The 3Q15 newsletter is out.

6 Oct 2015 - The NAV for September 2015 was $1619.737, up 2.2% for the month but down 4.9% for the quarter.

17 Sep 2015 - The NAV for August 2015 was $1584.805, down 3.6%.

6 Aug 2015 - The NAV for July 2015 was $1644.503, down 3.5%.

24 Jul 2015 - The 2Q15 newsletter is out.

12 Jul 2015 - The NAV for June 2015 was $1703.257, down 2.3%.

16 Jun 2015 - The NAV for May 2015 was $1743.665, up 0.8%.

15 May 2015 - The NAV for April 2015 was $1729.686, up 5.9%.

20 Apr 2015 - The 1Q15 newsletter is out.

9 Apr 2015 - Michael Bloomberg's Tribute to Billy Salomon. Call me nostalgic, but the Street sadly does not operate like this any more. I truly yearn for the days when you lived the mantra "My Word is My Bond".

On another note, somebody please tell me how this is even possible? "Switzerland becomes first to sell 10-year debt at negative yield" (FT Access needed)

9 Apr 2015 - The NAV for March 2015 was $1633.232, up 1.2% for the month and 2.6% for the quarter.

23 Mar 2015 - The NAV for February 2015 was $1614.584, up 0.8%.

27 Feb 2015 - The NAV for January 2015 was $1602.491, up 0.7%.

23 Jan 2015 - The 4Q14 newsletter is out.

12 Jan 2015 - The NAV for December 2014 was $1591.478, down 0.8% for the month. The Fund was up 3.2% for the quarter and 4.5% for the year.


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