Unit price performance

As at 30 June 2024.

1 Month 6 Months 1 Year 3 Years p.a. 5 Years p.a. Inception p.a.3
Unit Price1 2.0% -6.0% -2.6% 8.5% 6.8% 8.5%
NTA1,2 0.0% 0.5% 10.1% 9.3% 9.0% 10.5%

Notes:
1. NTA and Unit Price returns are inclusive of distributions. NTA return is net of fees and costs and post-tax.
2. Source: E&P Investments Limited (for data before 24 June 2023) and K2 Asset Management Ltd (for data post 24 June 2023). Historical performance is not a guarantee of the future performance of the Fund.
3. CD2 was listed on 9 April 2013, originally under the ticker USG.

*Past performance is not a reliable indicator of future performance.
The Fund was listed on 9 April 2013, originally under the ticker USG. The ASX code was changed to CD2 on 24 November 2017.

 

Distribution information

Due to the nature of the Fund being invested in private investments, the income generated by the Fund will be mostly by way of capital growth as opposed to income.  Payment of any distributions is likely to be based on the realisation of the underlying investments.

The Fund announced its maiden distribution on 12 February 2016.  The distribution was generated from capital returns and distributions received from a number of its underlying investment managers.

Distribution history

Date of distribution announcement Distribution per unit Record date Payment date
04 July 2024 $0.07 11 July 2024 est. 5 August 2024
23 January 2024 $0.05 30 January 2024 23 February 2024
11 August 2023 $0.195 18 August 2023 8 September 2023
1 February 2023 $0.06 9 February 2023 3 March 2023
31 October 2022 $0.28 4 November 2022 25 November 2022
20 December 2021 $0.355 30 December 2021 21 January 2022
11 June 2021 $0.34 18 June 2021 29 June 2021
29 January 2021 $0.08 5 February 2021 19 February 2021
28 February 2020 $0.12 5 March 2020 19 March 2020
25 July 2019 $0.22 31 July 2019 14 August 2019
30 November 2018 $0.09 6 December 2018 18 December 2018
18 May 2018 $0.04 24 May 2018 1 June 2018
8 November 2017 $0.23 14 November 2017 21 November 2017
26 May 2017 $0.10 2 June 2017 14 June 2017
23 June 2016 $0.08 30 June 2016 1 August 2016
12 February 2016 $0.07 29 February 2016 31 March 2016

Fund facts and performance

Inception date

April 2013