The net asset value (NAV) of the EfTEN United Property Fund was 10.65 euros as of May 31, 2023. As a result of the cash distribution to investors the NAV decreased by 1.8% over the month. Excluding the distribution, the NAV was almost unchanged, decreasin.
Correction: The unaudited financial report of EfTEN United Property Fund for 1st quarter 2023 has been added to the release The corrected notice reads as following: EfTEN United Property Fund earned. | May 4, 2023
EfTEN United Property Fund earned a net loss of 34 thousand euros in the first quarter of 2023 (2022 first quarter: 121 thousand euros of net profit). The.
EfTEN Capital AS, as the management company of the EfTEN United Property Fund decided to make a cash distribution of 18,179 euro cents per unit from the fund to the unitholders. The distribution. | May 3, 2023
The shareholders of EfTEN United Property Fund s management company, EfTEN Capital AS, have approved the management company s 2022 financial year report, which is available together with the auditor s. | May 2, 2023