LONDON (Alliance News) - Genesis Emerging Markets Fund Ltd Thursday said its net asset value per share rose to 549.8 pence at the end of March, from 553.3 pence at December 31. In an interim management statement for the period January 1 to March 31, the company said its total assets were va
Read moreFTSE 250 Genesis Emerging Markets Fund posted lacklustre half year numbers, with the vehicle lagging its benchmark for the period. For its half-year ended December 31st 2013, the closed end Fund's net asset value per share (NAV) declined from £5.61 to £5.53, a -1.4% return, under performing its be
Read moreLONDON (Alliance News) - Genesis Emerging Markets Fund Ltd said Tuesday that it had lagged its benchmark in the half-year ended December 31 2013. The investment trust posted a negative total return on net asset value per share of -1.4%, under performing its benchmark the MSCI Emerging Marke
Read moreLondon investment fund Genesis Emerging said directors did not recommend shareholders receive a dividend payment after releasing its half-year results despite an increase in profits. Total profit for the period came to $146m for the six months to December 31st 2012, compared to a total loss of $210
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