Investors
Total Adjusted NAV
US$126.1 million
As at 30 September 2021
US$126.1 million
As at 30 September 2021
Adjusted NAV Per Share
US$2.04 (152p)
As at 30 September 2021
US$2.04 (152p)
As at 30 September 2021
Portfolio Valuation
US$265.4 million
As at 30 June 2021
US$265.4 million
As at 30 June 2021
Latest News
February 28, 2022
Half-year financial results for the period ended 31 December 2021
February 8, 2022Quarterly Net Asset Value Update
November 22, 2021Quarterly Net Asset Value Update
October 11, 2021Annual Results for the Year Ended 30 June 2021
August 9, 2021Quarter Net Asset Value Update
May 7, 2021Quarter 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
H2 2022 Investor Update
Fact Sheet December 2021
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