Announcement View
Company EfTEN United Property Fund / EFTEN Capital AS
Type Company Release
Category Management interim statement or quaterly financial report
Publicize date 29 Apr 2024 08:15:00 +0300
Languages
Kell English
Currency
Title Net asset value of the EfTEN United Property Fund as of 31.03.2024
Content
The  net asset value (NAV) 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 listed  fund EfTEN Real Estate
Fund  AS, which  closed by  1,3% down on  the Tallinn  stock market in March. In
April,  the share price of  EfTEN Real Estate Fund  AS has increased by 3,9%. If
the  fund's investment in the  EfTEN Real Estate Fund  AS shares is reflected on
the  basis of net value,  the NAV of EfTEN  United Property Fund would be 10.72
euros, increasing by 0,2% in March.

At  the end of March and in  April, the fund received dividends from investments
in  the shares of  EfTEN Real Estate  Fund AS and  EfTEN Kinnisvarafond II AS as
well as the distribution from EfTEN Residential Fund. EfTEN United Property Fund
will  distribute  these  proceeds  to  clients  in May. The proceeds of interest
income from investments in the EfTEN Real Estate Fund 5 and the Menulio 7 office
building  in Vilnius as well  as proceeds from share  capital reduction of EfTEN
Kinnisvarafond  II AS is planned  for the second half  of the year. EfTEN United
Property  Fund  will  distribute  these  proceeds  in  autumn.  Details  of each
distribution will be published in a separate stock market release.

A  more detailed overview of EfTEN United Property Fund's portfolio can be found
on the fund's website: https://eftenunitedpropertyfund.ee/en/fund-results-2/


Kristjan Tamla
Managing Director
Phone 655 9515
E-mail: kristjan.tamla@eften.ee (mailto:kristjan.tamla@eften.ee)