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Carbon fund announces unit details as of May 20, 2025

May 21, 2025 at 10:01 AM UTCBy FilingReader AI

As of May 20, 2025, Salt Investment Funds Limited has disclosed key details regarding the Carbon Fund. The total Units on Issue stand at 30,105,445.00, with a Net Tangible Asset (NTA) of 1.6788. The Fund aims to provide investors with exposure to carbon credit prices through emissions trading schemes in New Zealand and offshore. The Carbon Fund is managed by Salt Investment Funds Limited, a wholly owned subsidiary of Salt Funds Management Limited. Further details can be found in the Product Disclosure Statement at www.carbonfund.co.nz.

This report was generated by FilingReader's AI system from regulatory filings and company disclosures. To request a correction, contact editorial@filingreader.com

NZX:CO2New Zealand Exchange

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