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Bullboard Post History

by oldtrustguy


T.DGS

RE:RE:RE:RE:What's the catch?

I think the price difference of DGS vs DF is because of the new stock...

December 11, 2017

T.FFN.P.A

RE:RE:FTN VS FFN TRIVIA

I agree with your thinking. a couple of notes. By my portfolio?? I have the...

December 6, 2017

T.FFN.P.A

Nov 30 NAV posted

18.29 >> 18.15 after distributions

December 5, 2017

T.FFN.P.A

FTN VS FFN TRIVIA

FTN 53% cdn 41% u.s. 6% cash FFN 39% cdn 52% u.s. 9% cash they are quite...

November 30, 2017

T.LFE

month end NAV

The NAV for Sept 29 has been posted as 15.16

October 3, 2017

T.LFE

RE:NAV crossed 15

Aug 15th the NAV was 5.01 . My portfolio of LFE shows that it has a higher...

September 27, 2017

T.LFE

NAV FOR THIS WEEK

Sept 15th NAV of LFE was 14.55. My LFE portfolio shows it is up 2.5% for the...

September 22, 2017

T.LFE

to pay or not pay??

The LFE website gives a NAV of 14.55 on the 15th. That means the we should...

September 19, 2017

T.LFE

NAV for the 15th???

The NAV for the end of Aug was 4.71 My portfolio of LFE shows it is down 01.3...

September 15, 2017

T.LFE

NAV updated

NAV for July 14th is 15.27 the portfolio is up 2.2% from the end of last June...

July 18, 2017

T.LFE

LFE end of month NAV

posted as 15.07 to 15.02 after preferred distribution. Portfolio is up over...

July 5, 2017

T.LFE

RE:RE:going to close -

NAV posted at 4.76

June 19, 2017

T.LFE

NAV for mid month

May mid month NAV was 4.82. Portfolio value dropped to a NAV of 4.44 at the...

June 16, 2017

T.LFE

NAV posted

The NAV has been posted on their website 4.49 and 4.44 after preferred...

June 2, 2017

T.LFE

NAV end of month

From the and of April to the 13th of May my portfolio shows LFE down 3.8...

May 31, 2017

T.LFE

NAV POSTED

The NAV as of May 15 th is $4.82 the portfolio is down another 3+ % since the...

May 17, 2017

T.LFE

NAV

I make up a portfolio of all their holding based on their last posted...

May 12, 2017

T.LFE

NAV April 13th and 17th

Go to. www.lifesplit.com click on fund features. Then Valuation.

April 19, 2017

T.LFE

just made it for payment

Their website shows a NAV of 4.93 on April 13. readjusted to 5.06 on April 17...

April 18, 2017

T.LFE

LFE NAV for April 15 est

my micky mouse portfolio is based on the latest posted values held in the...

April 15, 2017

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