Cookies settings:

  • Strictly necessary cookies: Allowed
  • Advertising cookies: Not used on this website
  • Tracking cookies: Set according to user preference

We'll also set a temporary cookie to hide this notice.

Cookie preference:

LF Arch cru Investment Funds - Publication of 30 September 2022 Net Asset Value

LF Arch cru Investment Portfolio and LF Arch cru Specialist Portfolio (sub-funds of LF Arch cru Investment Funds, an Investment Company with Variable Capital) (the "Funds")

Link Fund Solutions Limited ("LFSL") as the Authorised Corporate Director of LF Arch cru Investment Funds has today published the Net Asset Value of the Funds as at 30 September 2022.

Select the relevant document to view the full communication.

Lf Arch Cru Specialist Portfolio Sep 22
Type: pdf Size: 253 kb Date: 17 Apr 2024

Lf Arch Cru Investment Portfolio Sep 22
Type: pdf Size: 253 kb Date: 17 Apr 2024