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CD PRIVATE EQUITY FUND II — Net Asset Value 2019
Jul 11, 2019
64627_rns_2019-07-11_31953989-e979-4f65-b970-0915fda89f46.pdf
Net Asset Value
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12 July 2019
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Cordish Dixon Private Equity Fund II (Fund)
ASX: CD2
NTA & Fund Update – 30 June 2019
NTA update
The estimated unaudited net tangible asset value before withholding tax on unpaid distributions at 30 June 2019 was $2.42[1] per unit (31 May 2019 was $2.45[1] per unit).
The Fund is a long-term investor and seeks to make investments in a tax-effective manner. If tax at 21% on estimated underlying investment values were to be recognised, the estimated unaudited net asset backing after tax as at 30 June 2019 would be $2.28[1] per unit.
Fund update
Capital called
At 30 June 2019, US Select Private Opportunities Fund II, L.P. ( LP ) has called US$81.4 million (or 85.6% of capital committed). The Fund’s proportionate share is approximately US$71.1 million (an 87.3% share).
For further information, contact:
Investor Relations 1300 454 801
- Source: Walsh & Company Investments Limited – the historical performance is not a guarantee of the future performance of the Fund.
Level 15, 100 Pacific Highway North Sydney NSW 2060 cordishdixonfunds.com.au T 1300 883 158 F 1300 883 159 E [email protected] ARSN 162 057 089