Brief: Crystal Amber Fund HY NAV/Shr Up By 13.7%
March 28 (Reuters) - Crystal Amber Fund Ltd CRSL.L :
* CRYSTAL AMBER FUND LTD - NET ASSET VALUE ("NAV") PER SHARE
INCREASED BY 13.7% OVER SIX-MONTH PERIOD TO 31 DECEMBER 2023 TO
107.33P
Source text for Eikon: ID:nRSb6070Ia
Further company coverage: CRSL.L
((Reuters.Briefs@thomsonreuters.com;))