Net Asset Values and Returns
Starting from October 2018, LHG will publish the independently-reviewed Net Asset Value (NAV) Return reports on the flagship LHG Premium Investments fund annually to this publicly-accessible page.
NAV of €10 million invested in LHG Premium Investments Fund (since October 2018 public launch).
*Starting from HK FY 2022-2023, reports available ONLY to LHG Premium Investments Fund commingled investors.
**Annual/Semi-Annual reports and more NAV reports can be viewed by all current investors & eligible prospects within the Investors Area.