AUD Strengthens

Since early February the AUD has appreciated sharply against the USD. This appreciation will have a material impact on the unit price as the Fund does not presently hedge its foreign currency exposure. The exact impact will be calculated at each month end when the Fund’s US assets are re-priced at the prevailing AUD:USD exchange…

Financial Statements Now Available

I’m pleased to advise that the external audit of the Fund’s financial statements for the six months ended 31 December 2015 is now complete. Please note that the Fund changed its financial year end from 30 June to 31 December, so although the current period is for six months, the comparative period is 12 months…

Investor Portal Now Live

A new and exciting feature has just been released – the investor portal. Clicking the ‘Investor Portal’ link on the top of every page will now take you to a special log in page. Once logged in you will be able to access a range of historical information unique to your investment, such as holding…

Fund Cap Reached

As of this morning we have (again) reached our Unit Holder cap of $75m. Accordingly we are now closed to new and top up applications until after the next redemption period scheduled for September / October 2016. The distribution reinvestment plan will remain open. Behind the scenes we are working on completing the December property…

Change Of Year End

I’m pleased to advise that the ATO has approved the Fund’s application to move its financial year end from 1 July – 30 June to 1 January – 31 December. This change allows our Australian and US operations to share a common year end and is expected to ease administration complexities and facilitate business efficiencies,…

Fund Now Open

I’m pleased to announce that following on from the recent redemption offer a very limited amount of capital is now available for new and top up investments. If you would like to find out more then please register your interest here to receive an information pack that contains the supplementary PDS, PDS and appropriate application…

General Advice Warning: This information is of a general nature only and does not take into account your objectives, financial situation or needs. You should consider the Product Disclosure Statement (dated 4 July 2018) issued by Plantation Capital Limited ACN 133 678 029 AFSL 339481 in deciding whether to acquire an interest in the Passive Income (USA Commercial Property) Fund. PropertyInvesting.com Pty Ltd is an authorised representative of Plantation Capital Limited ABN 98 096 059 353, AFSL 339481. Past performance is not a guarantee of future performance.