Securing Your Future Is Our Main Investment

Updated: 03-11-2025 - 12:00PM   8 4 CLOSED

Financial News

Oct 2025 Financial News

Wind up of Praetorian Property Mutual Fund

Oct 29, 2025

Based on the final audited financial statements, the Net Asset Value of the Fund has been determined at $0.092 per unit. Accordingly, the Portfolio Managers have declared a final capital repayment of 9.2 cents ($0.092) per unit. This payment will be made to all unitholders on record by October 29, 2025, via bank transfer or cheque in accordance with instructions previously provided.


Click to read more on PPMF Final Repayment