Investors
Total Adjusted NAV
US$132.2 million
As at 31 December 2020
US$132.2 million
As at 31 December 2020
Adjusted NAV Per Share
US$2.14 (157p)
As at 31 December 2020
US$2.14 (157p)
As at 31 December 2020
Portfolio Valuation
US$267.5 million
As at 31 December 2020
US$267.5 million
As at 31 December 2020
Latest News
February 25, 2021
Half-year financial results for the period ended 31 December 2020
February 1, 2021Quarterly Net Asset Value update
November 6, 2020Quarterly Net Asset Value update
October 8, 2020Full-year financial results for the year ended 30 June 2020
September 18, 2020Update on Refinancing and Divestments
August 4, 2020Quarterly Net Asset Value update
— More NewsShould you require additional information, please contact: Sniper Capital Limited Group Communications Tel: +852 2292 6789 Email: info@snipercapital.com
Literature
Interim Results 2021
Fund Fact Sheet January 2021
H2 2020 Investor Update
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