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Ettevõte EfTEN United Property Fund / EFTEN Capital AS
Tüüp Korraldatud teave
Kategooria Juhtkonna vaheteadaanne või kvartaalne finantsaruanne
Avaldamise aeg 28 märts 2024 08:15:00 +0200
Keeleversioonid
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Valuuta
Pealkiri Net asset value of the EfTEN United Property Fund as of 29.02.2024
Tekst
The  net asset value (NAV) 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 reflected  on the basis  of its net
value, the NAV of EfTEN United Property Fund would be 10.70 euros.

In  March, the  general meeting  of shareholders  of EfTEN  Kinnisvarafond II AS
approved  the distribution of  dividends in the  amount of 3.1 million euros and
the  reduction of the share capital in  the amount of 5 million euros. Dividends
will be distributed in spring, and the payout related to share capital reduction
in  autumn, three months after the  respective registration in registry. For the
EfTEN  United Property Fund,  this results in  a cash flow  yield of 5.7% on the
investment,  which  according  to  the  fund  terms will be fully distributed to
investors upon receipt.

In the Uus-Järveküla residential development 15 terraced houses were handed over
to customers in March (real rights contracts were concluded) and the preparation
of  the second  stage of  construction work  began. During  the second stage 30
terraced and semi-detached houses will be built, of which 20 have been booked by
customers to date.

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)