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Aspiriant Real Assets Fund Opens Redemption Window

Aspiriant Real Assets Fund opened its redemption window on July 28, 2026, offering to repurchase up to 5.0% of net asset value, or a maximum of $9.45 million. The fund's NAV stood at $189.01 million as of the offering date. Shareholders had until September 16, 2026 to submit redemption requests.

More updates for Aspiriant Real Assets Fund