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CD PRIVATE EQUITY FUND I Net Asset Value 2024

Dec 12, 2024

64626_rns_2024-12-12_715c89ee-3142-4c9a-8198-e6b003d5ed26.pdf

Net Asset Value

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13 December 2024

CD PRIVATE EQUITY FUND I: ASX: CD1

NET TANGIBLE ASSET UPDATE – 30 NOVEMBER 2024

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----- Start of picture text ----- Gross assets Distributions Distributions 5 year NTANTA per unit Fund Inception(million) Last 12 months Since Inception return$0.98 $36.4 $0.05 per unit $2.82 per unit August 2012 7.7% p.a.----- End of picture text -----

The estimated unaudited net tangible asset value (NTA) after tax as at 30 November 2024 was $0.98[1,3] per unit (31 October 2024 was $0.96[1,3] per unit).

The positive net asset value movement recorded during the month is the result of foreign exchange movements, with the Australian dollar falling by 1.1% during the month of November, as well as the adoption of positive asset valuations on the underlying portfolio following the receipt of all September quarter reports.

PERFORMANCE SUMMARY

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----- Start of picture text ----- 1 month 6 months 1 year 3 years p.a. 5 years p.a. Since Inception p.a.NTA Return [1,2]2.1% -3.0% -2.0% -0.4% 7.7% 10.9%----- End of picture text -----

On an NTA/Internal Rate of Return (IRR) basis, CD1 has achieved a return of 11.7% per annum since inception.

MONTHLY LP & FUND UPDATE

There were no capital calls or distribution notices received by the LP during the month.

As always, Unitholders are welcome to reach out to the team with any questions via email at [email protected], or by calling +61 3 9691 6110.

  1. Source: E&P Investments Limited (for data before 24 June 2023) and K2 Asset Management Ltd (for data post 24 June 2023). The historical performance is not a guarantee of the future performance of the Fund;

  2. Total returns are inclusive of distributions and based on the Fund’s post tax NTA. The tax component in the post tax NTA refers to the estimate of likely US tax the Fund will incur upon realisation of recorded fair value movements.

  3. Estimated unaudited net tangible asset value before tax at 30 November 2024 of $0.97 per unit (31 October 2024 was $0.95).

Authorised for release by K2 Asset Management Ltd (K2) (ACN 085 445 094, AFSL 244 393), the responsible entity of CD Private Equity Fund I (Fund or CD1). Notes: AUD:USD spot rate of 0.6512 as at 30 November 2024. Numbers may not sum due to rounding.

Email: [email protected] | Phone: +61 3 9691 6110 | Web: www.cdfunds.com.au Level 44, 101 Collins Street Melbourne VIC 3000

ARSN: 158 625 284 Page 1