BK Opportunities Fund 6 - Crystal Fund

BK Opportunities
Fund 6

30th September 2022

Dear all,

The estimated NAV of BK Opportunities Fund-6 (USD) as of 30th September 2022, is:

81.22%


Please note that BK Opportunities Fund-6 (USD) will make a distribution as of 30th September 2022 (record date), which will be announced along with the final NAV and wired around 22nd October 2022.

BK Opportunities Fund-6 estimated net performances

as of 30th September 2022, are:

September 2022 Monthly Return (non-annualized) -5.9%
September 2022 Year-to-Date (non-annualized) -8.3%
September 2022 Annual Return since inception1 +0.3%
Cumulative Distributions since inception/May 20192 +19.0%
Cumulative Return since inception/May 2019 (Distributions + NAV gain)3 +0.7%
1 — Based on the weighted average internal rate of return (“IRR”) of all classes from their respective closing date, at their respective entry price.
2 — Based on the number of shares (or the capital contribution) in the fund i.e. assuming an entry price of $1,000 per share or 100.0%.
3 — Based on the weighted average cumulative return of all classes.

Feel free to contact me if you need further information.
Best regards,
Olivier

Olivier Gozlan
Crystal & BK Opportunities Funds
Phone: +44 208 089 1135
Mobile: +44 795 794 5742
olivier.gozlan@crystalfund.com
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This is not for distribution to, or use by, any person or entity in any jurisdiction where such distribution or use would be contrary to law or regulation. The information contained herein is for information only and does not constitute an offer regarding any product. The document has been prepared by Oristan Ireland DAC and the data have not been audited nor verified. Past performance cannot indicate future performance. There is no assurance that the investment objective will be achieved and investment results may vary.