Investors
Total Adjusted NAV
US$81.7 million
As at 31 December 2023
US$81.7 million
As at 31 December 2023
Adjusted NAV Per Share
US$1.61 (104p)
As at 31 December 2023
US$1.61 (104p)
As at 31 December 2023
Portfolio Valuation
US$183.5 million
As at 31 December 2023
US$183.5 million
As at 31 December 2023
Latest News
November 27, 2024
Quarterly Net Asset Value Update
September 30, 2024Annual Results for the Year Ended 30 June 2024
August 15, 2024Quarterly Net Asset Value Update
June 26, 2024Changes to Investment Management Agreement
May 17, 2024Quarterly Net Asset Value Update
April 22, 2024Further Update on Macau Property Market
— More NewsShould you require additional information, please contact: Sniper Capital Limited Group Communications Tel: +853 2870 5151 Email: info@snipercapital.com
Literature
Annual Results 2024
H1 2024 Investor Update
Fact Sheet May 2024
If you would like to be added to the Fund's email circulation list, please click on Email Subscription and complete the required fields.