Total Adjusted NAV
US$174.9 million
As at 30 June 2019
Adjusted NAV Per Share
As at 30 June 2019
Portfolio Valuation
US$311.1 million
As at 30 June 2019

Should you require additional information, please contact: Sniper Capital (Singapore) Pte Ltd Tel: +65 6222 1440 Email:  

Share Price

... Loading... ...


H2 2019 Investor Update

Fund Fact Sheet – November 2019

Annual Results 2019

If you would like to be added to the Fund's email circulation list, please click on Email Subscription and complete the required fields.

This website uses cookies to understand visitors’ use of our website and to improve browsing experience. By continuing on this website, you give your consent to the use of cookies. For more information, including how to change your cookies preferences, please refer to the “Cookie” section in our Privacy Policy