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CD PRIVATE EQUITY FUND III — Net Asset Value 2019
Dec 12, 2019
64628_rns_2019-12-12_770ef3eb-09b2-44e5-b698-0325d3545f45.pdf
Net Asset Value
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13 December 2019
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Cordish Dixon Private Equity Fund III (Fund)
ASX: CD3
NTA & Fund Update – 30 November 2019
NTA update
The estimated unaudited net tangible asset value after tax as at 30 November 2019 was $1.92[1,2] per unit (31 October 2019 was $1.85[2] per unit).
Fund update
Capital called
At 30 November 2019, US Select Private Opportunities Fund III L.P. ( LP ) has called US$78.5 million (or 68.9% of capital committed). The Fund’s proportionate share is approximately US$55.9 million (a 71.2% share).
Authorised for release by Walsh & Company Investments Limited (ACN 152 367 649, AFSL 410 433), the responsible entity of Cordish Dixon Private Equity Fund III.
The Cordish Dixon Private Equity Fund series comprise ASX listed and unlisted investment trusts focused on investing with and alongside leading, highly differentiated and specialised private equity funds focused on lower middle-market operating businesses in the US.
- Based on estimated unaudited net tangible asset value before tax at 30 November 2019 of $1.94 per unit (31 October 2019 was $1.87)
- 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 454 801 F 1300 883 159 E [email protected] ARSN 612 132 813