Investors
Total Adjusted NAV
US$200.2 million
As at 30 September 2018
US$200.2 million
As at 30 September 2018
Adjusted NAV Per Share
US$3.24(249p)
As at 30 September 2018
US$3.24(249p)
As at 30 September 2018
Portfolio Valuation
US$330.4 million
As at 30 September 2018
US$330.4 million
As at 30 September 2018
Latest News
November 2, 2018
Net asset value as at 30 September 2018
September 24, 2018Full-year financial results for the period ended 30 June 2018
August 9, 2018Net asset value as at 30 June 2018
May 8, 2018Net asset value as at 31 March 2018
March 26, 2018MPO completes sale of Senado Square project for HK$800 million
March 7, 2018Half-year financial results for the period ended 31 December 2017
— More NewsShould you require additional information, please contact:
Sniper Capital (Singapore) Pte Ltd
Tel: +65 6222 1440
Email: info@snipercapital.com
Share Price

Literature
Fund Fact Sheet – December 2018
Q42018 2019 Investor Update
Annual Results 2018
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