Platinum Asia Fund Announces Estimated Final Distribution for the Financial Year Ended 30 June 2020
June 24, 2020 at 09:28 pm EDT
Platinum Asia Fund announced estimated final distribution of $0.101336 per unit for the financial year ended 30 June 2020. Distributions will be based on the number of units held by one as at the record date of 30 June 2020. Distributions will be paid on 15 July 2020. Ex-distribution date is 29 June 2020.