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Page 4 - Eften United Property Fund News Today : Breaking News, Live Updates & Top Stories | Vimarsana

Net asset value of the EfTEN United Property Fund as of

The net asset value (NAV) of EfTEN United Property Fund was 10.61 euros as of September 30, 2023 increasing by 1.1% over the month and recovering fully the.

Net asset value of the EfTEN United Property Fund as of

The net asset value (NAV) of EfTEN United Property Fund was 10.49 euros as of August 31, 2023 decreasing by 1.1% over the month. The decrease in NAV was.

Net asset value of the EfTEN United Property Fund as of 31 08 2023

The net asset value of EfTEN United Property Fund was 10.49 euros as of August 31, 2023 decreasing by 1.1% over the month. The decrease in NAV was related to the investment into the listed EfTEN Real.

Net asset value of the EfTEN United Property Fund as of 31 07 2023

The net asset value of the EfTEN United Property Fund was 10.61 euros as of July 31, 2023, remaining unchanged as compared to the previous month. Since the start of the fund in late June 2021 the.

EfTEN United Property Fund unaudited financial results for

EfTEN United Property Fund earned a net loss of 71 thousand euros in the first half of 2023, including 37 thousand euros in the second quarter. The loss.

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