IN BRIEF: Genesis Emerging Markets Fund Nets Assets Up In First Half

Genesis Emerging Markets Fund Ltd - investment firm - Reports net asset value per share of ...

Alliance News 25 February, 2021 | 2:26PM
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Genesis Emerging Markets Fund Ltd - investment firm - Reports net asset value per share of GBP9.68 as at the end of 2020 compared to GBP8.23 at the end of June 2020. A rapid rebound in the global economy in the third quarter as lockdowns were lifted, combined with news of effective vaccines in the fourth quarter, propelled emerging market equities upwards in the second half of 2020, the company explains. A dividend of 12.95p per share was paid to shareholders on December 11.

Current stock price: 881.00 pence

Year-to-date change: down 1.0%

By Evelina Grecenko; evelinagrecenko@alliancenews.com

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Securities Mentioned in Article

Security Name Price Change (%) Morningstar
Rating
Genesis Emerging Markets Fund 648.60 GBX -0.81

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