Carbon fund reports units and net tangible assets
Salt Investment Funds Limited has released an update on the Carbon Fund, reporting 32,190,725.00 units on issue. The fund's net tangible assets (NTA) stand at 1.8253. The Carbon Fund aims to provide investors with total return exposure to carbon credit prices by investing in emission trading schemes. Managed by Salt Investment Funds Limited, a subsidiary of Salt Funds Management, the fund's Product Disclosure Statement is available at www.carbonfund.co.nz. Salt Funds Management, an award-winning boutique firm, manages approximately NZ$2 billion in funds, specializing in New Zealand and Australian listed equity and property portfolios. For further inquiries, investors can contact info@saltfunds.co.nz or write to Salt Investment Funds Limited, PO Box 106-587, Auckland, 1143.
This report was generated by FilingReader's AI system from regulatory filings and company disclosures. To request a correction, contact editorial@filingreader.com
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