← All funds

FSL Eurobond Fund

FSL Asset Management Limited
Dollar FundsUSD

YTD Return

+8.47%

as of 26 Jun 2026

Offer Price

$1.000362

1380.9329 per unit

Total NAV

$1.54M

2.12B NAV

Unitholders

16

Registered investors

Data Date

26 Jun 2026

Rate: ₦1,380.43/$

AI Analysis