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N23C3A

Wilshire Private Assets Fund Opens Redemption Window

Wilshire Private Assets Fund has opened its redemption window for the offering period ending June 26, 2026. Investors may redeem up to 5.0% of net asset value, or $6.94 million, based on the fund's NAV of $138.75 million as of the offering date of May 29, 2026. Approved redemption requests will be paid on July 3, 2026.