The net asset value of EfTEN United Property Fund unit was 10.62 euros at the end of March, decreasing by 0.1% over the month. The decrease in NAV was related to the investment in the shares of the.
EfTEN Capital AS, as the management company of the EfTEN United Property Fund decided to make a cash distribution of 10,451 euro cents per unit from the fund to the unitholders. The distribution.
The net asset value of EfTEN United Property Fund unit was 10.62 euros at the end of February, increasing by 0.3% over the month. If the fund s investment in the EfTEN Real Estate Fund AS share is.
The net asset value of EfTEN United Property Fund unit was 10.59 euros at the end of January, increasing by 0.2% over the month. If the fund s investment in the EfTEN Real Estate Fund AS share is.
On 15 February 2024, a webinar of EfTEN United Property Fund was held, where Kristjan Tamla, the managing director of EfTEN Capital AS, introduced the unaudited 2023 results of EfTEN United Property.