Nuance Concentrated Value Fund

NCVLX

Net Asset ($)

Date Net Assets ($) Total Assets ($) Total Liabilities ($)
Mar 18, 2024 201.5M 201.7M 223.3K
Dec 21, 2023 223.4M 224.7M 1.3M
Sep 13, 2023 273.5M 274.4M 824.3K
Jun 21, 2023 286.1M 286.6M 521K
Mar 22, 2023 297M 297.9M 0.9M
Dec 9, 2022 313M 313.4M 404.4K
Sep 15, 2022 391.9M 397.9M 6.1M
Jun 28, 2022 424M 440.1M 16.1M
Mar 14, 2022 449.1M 453.9M 4.8M
Dec 16, 2021 494.2M 495M 800.4K
Sep 14, 2021 513.8M 516.3M 2.4M
Jun 21, 2021 516.2M 516.7M 524.1K
Mar 17, 2021 492.9M 494M 1.1M
Nov 19, 2020 432.7M 433.5M 774.2K
Sep 23, 2020 445.1M 447.7M 2.5M
Jun 24, 2020 433.5M 441.6M 8.1M
Mar 25, 2020 461.5M 465.8M 4.3M