Last week all information has been submitted to Vistra Fund Services, the administrator of the Fund. Vistra will be producing the intrinsic value (NAV) of the Fund as well as the 2012 investor statements. Once the statements have been received, they will be added to the profile on the website or can be obtained via the Client Communication Agent, Oko-life.
Within one month after publication of the NAV, a news update will be send to all investors on the latest developments on the plantations.

Comments are closed.