EnerVest FTS 2007


Quick Facts

Inception Date:
April 30, 2007
Dissolution Date:
June 30, 2009
Capital Gains Distributions:
N/A
Investment Per Unit:
$25.00
Portfolio Manager:
Cypress Capital Management Ltd.

 

Trust Update


as of June 30, 2009


Net Asset Value
$2,347,755
Number of Units
284,480
$8.25
* Updated on a daily basis
* NAV is updated on a weekly basis

 

Notice:  Effective June 30, 2009 all of the assets of the EnerVest FTS Limited Partnership 2007 were sold to the EnerVest Natural Resource Fund Ltd. (Fund Code ENV 040).

EnerVest Natural Resource Fund Ltd. is an open-end mutual fund corporation, specializing in investing in the oil and gas industry and is actively managed by Cypress Capital Management Ltd. For further information on this Fund please click here.