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Monthly Commentary

Monthly Commentary

Monthly Commentary

Monthly Commentary

June

2026

Silverdale Funds Commentary

June

2026

Silverdale Funds Commentary

June

2026

Silverdale Funds

Commentary

June

2026

Silverdale Funds

Commentary

May

2026

Silverdale Funds Commentary

May

2026

Silverdale Funds Commentary

May

2026

Silverdale Funds

Commentary

May

2026

Silverdale Funds

Commentary

April

2026

Silverdale Funds Commentary

April

2026

Silverdale Funds Commentary

April

2026

Silverdale Funds

Commentary

April

2026

Silverdale Funds

Commentary

March

2026

Silverdale Funds Commentary

March

2026

Silverdale Funds Commentary

March

2026

Silverdale Funds

Commentary

March

2026

Silverdale Funds

Commentary

February

2026

Silverdale Funds Commentary

February

2026

Silverdale Funds Commentary

February

2026

Silverdale Funds

Commentary

February

2026

Silverdale Funds

Commentary

January

2026

Silverdale Funds Commentary

January

2026

Silverdale Funds Commentary

January

2026

Silverdale Funds

Commentary

January

2026

Silverdale Funds

Commentary

June

2026

Silverdale Funds Commentary

May

2026

Silverdale Funds Commentary

April

2026

Silverdale Funds Commentary

March

2026

Silverdale Funds Commentary

Global Investor Calls

Global Investor Calls

Global Investor Calls

Global Investor Calls

Silverdale Funds NAV/Redemption Holiday Schedule

Silverdale Funds NAV/Redemption Holiday Schedule

Silverdale Funds NAV/Redemption Holiday Schedule

Silverdale Funds NAV/Redemption Holiday Schedule

Revised NAV valuation and NAV release schedule for dates affected by Singapore and/or United States public holidays.

^ Weekly NAV: Silverdale Bond Fund, TRF January 2030; Fortnightly NAV: Credit Opportunities Fund, India Bond Fund; Month End NAV: All funds

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Notes:

  • No change to fund schedule

  • A business day is a day on which both the Singapore and United States markets are open.

  • Where a holiday falls on the Friday valuation day, the NAV is struck on the preceding business day. Where a holiday falls after the valuation day, release is deferred to the next available business day.

  • Dates are indicative and may change.

Disclaimer:

  • Silverdale reserves the right to amend the NAV valuation and release schedule without prior notice.

  • For the latest information or if you have any questions, please contact us at [email protected].