Class: Class A shares
Description: Redeemable Preferred Shares
Date Listed: 1 September 2011
Fund Type: Mutual Fund Company - Open Ended
Min. Subscription Amount: 
1,000.00
Currency: USD
Fund Manager: Scotiabank & Trust (Cayman) Limited
Administrator: Scotiabank & Trust (Cayman) Limited
Listing Type: Primary Listing on CSX
Ticker Symbol: SCBUSGR KY
Contact: Maduro & Curiel's Bank N.V. (MCB)
Details: Scotiabank Cayman Island

 

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Markets: +++ 2 1/2% CuraÇao 2010/2020 (s/a)*; +++ 2 3/4% CuraÇao 2010/2025 (s/a)*; +++ 2 7/8% CuraÇao 2010/2030 (s/a); +++ 3% CuraÇao 2010/2035 (s/a)*; +++ 3 1/8% CuraÇao 2010/2040 (s/a)*; +++ 2 3/4% CuraÇao 2013/2043 (s/a)*;