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EnerVest FTS 2008
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EnerVest FTS Limited Partnership 2009 - CDE Units
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EnerVest FTS Limited Partnership 2009 - CEE Units
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EnerVest FTS 2008
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Quick Links
Adjusted Cost Base
Annual Report of the IRC
Features and Benefits
Historical NAVs
News Releases
Portfolio Holdings
Prospectus
Quarterly Portfolio Disclosure
Regulatory Reporting
Tax Examples
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
Net Asset Value Per Unit
$13.85
* NAV is updated on a weekly basis
EnerVest FTS Limited Partnership 2008 Notice to Unitholders - Repayment