EnerVest FTS 2008


Quick Facts

Inception Date:
June 4, 2008
Termination Date:
August 25, 2010
Capital Gains Distributions:
N/A
Investment Per Unit:
$25.00
Portfolio Manager:
RiverStream Asset Management

Fund Update


as of August 25, 2010


Net Asset Value
$11,626,040
Number of Units
839,600
$13.85
* NAV is updated on a weekly basis

EnerVest FTS Limited Partnership 2008 Notice to Unitholders - Repayment