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CD PRIVATE EQUITY FUND II Net Asset Value 2017

Nov 13, 2017

64627_rns_2017-11-13_3f5c4f58-f43c-4def-82e8-0feed72e26fc.pdf

Net Asset Value

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14 November 2017

US Select Private Opportunities Fund II (Fund)

ASX Code: USG

NTA & Fund Update – 31 October 2017

NTA update

The estimated unaudited net tangible asset value before withholding tax on unpaid distributions at 31 October 2017 was $2.10* per unit (30 September 2017 was $2.05* per unit).

The Fund is a long-term investor and seeks to make investments in a tax-effective manner. If tax at 35% on estimated underlying investment values were to be recognised, the estimated unaudited net asset backing after tax as at 31 October 2017 would be $2.05* per unit.

Fund update

Capital commitment

At 31 October 2017, US Select Private Opportunities Fund II, L.P. ( LP ) has called US$70.4 million (or 74.1% of capital committed). The Fund’s proportionate share is approximately US$61.5 million (an 87.3% share).

Drawdowns

During the month, the LP received drawdown requests from DFW Capital Partners IV, L.P., NMS Fund II, L.P., RFE Investment Partners VIII, L.P. and U.S. Select Direct Private Equity (US), LP as well as capital returns from DFW Capital Partners IV, L.P. and High Road Capital Partners Fund II, L.P. for a net consideration of US$0.9 million.

At 31 October 2017, net drawdown requests from underlying investments were approximately US$62.4 million (or 63.6% of total funds committed by the LP).

For further information, contact:

Alex MacLachlan 1300 454 801

*Source: Walsh & Company Investments Limited – the historical 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 multi-manager investment strategy.

Level 15, 100 Pacific Highway North Sydney NSW 2060 uspof.com.au T 1300 454 801 F 1300 883 159 E [email protected] ARSN 162 057 089