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CD PRIVATE EQUITY FUND II — Net Asset Value 2015
Sep 13, 2015
64627_rns_2015-09-13_5a36faee-6018-4411-a754-9a3b1a017085.pdf
Net Asset Value
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14 September 2015
US Select Private Opportunities Fund II (Fund)
ASX Code: USG
NTA & Fund Update – 31 August 2015
NTA update
The estimated unaudited net tangible asset value before withholding tax on unpaid distributions at 31 August 2015 was $2.39* per unit (31 July 2015 was $2.29* per unit).
Fund update
Capital commitment
At 31 August 2015, the US Select Private Opportunities Fund II, LP ( LP ) has called US$44.9 million (or 47.3% of capital committed). The Fund’s proportionate share is approximately US$39.2 million (an 87.3% share).
Drawdowns
At 31 August 2015, net drawdown requests from underlying investments were approximately US$34.9 million, or 36.7% of total funds committed to the LP.
For further information, contact:
Tom Kline 1300 454 801
- Source: Walsh & Company Investments Limited – historic performance is not a guarantee of the future performance of the Fund
The US Select Private Opportunities Fund II has a primary strategy of investing in US small-to-midmarket private investment funds, adopting a fund-of-funds investment strategy.
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