Salt Carbon Fund updates net tangible assets, units on issue
Salt Investment Funds Limited announced details for the Carbon Fund as of November 17, 2025. The Carbon Fund reported 23,648,253 units on issue and a net tangible asset (NTA) value of 1.4457. No units were allotted as of the reporting date.
The Carbon Fund's objective is to offer investors exposure to the price of carbon credits, acquiring them from both New Zealand and international emissions trading schemes, with a focus on the NZ Emissions Trading Scheme. Salt Investment Funds Limited, a subsidiary of Salt Funds Management Limited, manages the Carbon Fund.
Salt Funds Management manages approximately NZ$2 billion in funds. It specializes in managing Trans Tasman and global listed equity and property portfolios, employing an active investment strategy.
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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