USD NAV
Third Point Investors Limited LSE Code: TPOU LN
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*Net of dividend announced on 5th of January
**Includes the effect of the redemption of shares announced on 5 September 2018
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*Net of dividend announced on 10th of January
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*Net of dividend announced on 18th of December
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*Net of dividend announced on 14th of November
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*Net of dividend announced on 1st of November
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