I think this was in the pipeline as normal business procedure even before the RE. options could include many things. Such as management changes, winding up of the fund or further improvements as will be defined in the future.
if they managed such a realised profit last year then maybe they haven't done to badly. the markets reflect the drop in SP anyhow. the big issue has always been why we trade at such a discount to NPV.
This is a market sentiment result and some items have been adjusted to improve this such as more regular updates on value.
I have held since issue ($1) and im not sure that im too bad a place. The income re-investments have certainly been good. However I bought more at a regretful time at the recent peak.
I think this was in the pipeline as normal business procedure...
Add to My Watchlist
What is My Watchlist?