Highbridge Multi-Strategy Fund Ltd.’s NAV Per Share Increases By 2.17% In H1 FY19

Highbridge Multi-Strategy Fund Ltd (LSE: HMSF) in its half year results for the period ended 30 June 2019, has announced a 2.17 per cent increase in Net Asset Value (NAV) per share to £2.1984 from £2.1518 of the same period in 2018. The company has also reported an increase in total NAV by 0.8 per cent to £1.8 million, as retained income exceeded expenditure on buybacks during the period.

On 13th September 2019, at the time of writing, GMT 08:02 AM, HMSF shares were trading at GBX 206.00, flat against the previous day closing price.