Guernsey funds reach £303.6bn NAV
According to new data, the total net asset value (NAV) of Guernsey funds reached £303.6bn at the end of Q4 2021.
We Are Guernsey stated this is the first time the NAV of Guernsey funds has reached this total.
Guernsey Financial Services Commission’s Fourth Quarter 2021 Investment Statistics found the last quarter for 2021 saw a 4.7% increase on Q3, which is equivalent to £13.6bn.
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