JFT Strategies Fund Commences Publishing Net Asset Value Per Unit Daily

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TORONTO, ONTARIO--(Marketwire - Dec. 4, 2012) - JFT Strategies Fund (the "Fund") JFS announces that its net asset value per Class A Units and Class F Units will be published on a daily basis commencing December 4, 2012. Formerly, the Fund published its net asset value per unit on a weekly basis.

FOR FURTHER INFORMATION PLEASE CONTACT:
First Asset
Rob MacNiven
Investor Relations
416-642-1289 or 1-877-642-1289
www.firstasset.com

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