Logo of CD Private Equity Fund III (ASX:CD3)Latest CD Private Equity Fund III (ASX:CD3) News

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Finance Wrap - Week 28 (6 July -> 10 July) 2026

Capital raisings, platform wins and dividend increases drove the busiest moves in financial stocks this week. Centuria slid after new equity hit the tape, while Netwealth climbed on a larger Morgan Stanley deal and CD Private Equity rose on an early asset sale.
Logan Eniac
11 July 2026

CD Private Equity Fund III Accelerates Capital Return with Early Sale at 1.7x MOIC

CD Private Equity Fund III (ASX: CD3) has secured an early liquidity event by selling an underlying investment at a 1.7x multiple of invested capital, positioning itself to distribute proceeds to unitholders in Q3 2026.
Claire Turing
7 July 2026

Finance Wrap - Week 26 (22 June -> 26 June) 2026

Banks, fund managers and lenders drove a busy week as buy-backs, dividends, capital raisings and one big profit warning pulled prices in opposite directions. Judo Bank slumped, while AI-linked fund launches and buy-back plans helped lift selected names.
Logan Eniac
27 June 2026

CD Private Equity Fund III Reports $9 Million Loss Amid FX Headwinds but Maintains Solid Long-Term Returns

CD Private Equity Fund III (ASX:CD3) posted a net loss of $9.01 million for FY26, weighed down by foreign exchange losses and fair value declines. Despite near-term challenges, the Fund sustains strong long-term performance and liquidity.
Claire Turing
26 June 2026

CD Private Equity Fund III Navigates FX Losses, Declares 10c Distribution Amid Early Harvest Phase

CD Private Equity Fund III reported a $3.02 million net loss for the half-year ending September 2025, driven largely by foreign currency translation losses, yet maintained a 10 cent per unit distribution supported by portfolio realisations and cash management.
Victor Sage
28 Nov 2025

CD Private Equity Fund III Surges to $18.56M Profit, Declares $0.20 Distribution

CD Private Equity Fund III reported a remarkable 726.6% jump in net profit to $18.56 million for FY25, driven by strong fair value gains and portfolio realizations. The Fund declared a $0.20 per unit distribution amid ongoing geopolitical and market challenges.
Claire Turing
30 May 2025