October 2018 NAV 0,48% YTD 9,94

We are happy to release the October NAV 2018 finally.

Although a considerable cash drag existed of 56% we remain content with the result of 0,48%

Amicorp is working diligently, and aiming to release one NAV per week; therefore we expect to release the November NAV next week.

As previously explained we expect the performance of the fund to increase significantly with the release of the March 2019 NAV, until then we have to accept a steady but positive monthly return.

We are looking forward to updating you with the November NAV within a week.

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