Fund
Name: CABA Hedge KL W
ISIN: DK0061677804
Estimated NAV
Calculated as of: 20-05-2025
NAV: DKK 139,58
Official NAV & AUM
Calculated for each Tuesday and end of month.
Calculated as of: 20-05-2025
NAV: DKK 139,58
Issuing price: DKK 140,98
Redemption price: DKK 138,18
AUM (strategy): DKK 991 million

The fund is open for investment.
For further information or to request a presentation, please contact us at info@cabacapital.dk.
Kindly note that the fund has a minimum investment of EUR 100,000.